Rules of Practice and Procedure for Hearings Before the Office of Administrative Law Judges, 72141-72193 [2012-28516]
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Vol. 77
Tuesday,
No. 233
December 4, 2012
Part IV
Department of Labor
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Office of the Secretary
29 CFR Part 18
Rules of Practice and Procedure for Hearings Before the Office of
Administrative Law Judges; Proposed Rule
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DEPARTMENT OF LABOR
Office of the Secretary
29 CFR Part 18
RIN 1290–AA26
Rules of Practice and Procedure for
Hearings Before the Office of
Administrative Law Judges
Office of the Secretary, Labor.
Notice of proposed rulemaking.
AGENCY:
ACTION:
The Department of Labor
proposes to revise and reorganize the
Rules of Practice and Procedure for
Administrative Hearings Before the
Office of Administrative Law Judges,
from our regulations, which provide
procedural guidance to administrative
law judges, claimants, employers, and
Department of Labor representatives
seeking to resolve disputes under a
variety of employment and labor laws.
The Office of Administrative Law
Judges promulgated these regulations in
1983. The regulations were modeled on
the Federal Rules of Civil Procedure
(FRCP) and have proved extraordinarily
helpful in providing litigants with
familiar rules governing hearing
procedure.
Since 1983, the FRCP have been
amended many times. Moreover, in
2007 the FRCP were given a complete
revision to improve style and clarity.
The nature of litigation has also changed
in the past 28 years, particularly in the
areas of discovery and electronic
records. Thus, OALJ has revised its
regulations to make the rules more
accessible and useful to parties, and to
harmonize administrative hearing
procedures with the current FRCP. The
goal in amending the regulations is to
provide clarity through the use of
consistent terminology, structure and
formatting so that parties have clear
direction when pursuing or defending
against a claim.
In addition to revising the regulations
to conform to modern legal procedure,
the rules need to be modified to reflect
the types of claims now heard by OALJ.
When the rules were promulgated in
1983, OALJ primarily adjudicated
occupational disease and injury cases.
Presently, and looking ahead to the
future, OALJ is and will be increasingly
tasked with hearing whistleblower and
other workplace retaliation claims, in
addition to the occupational disease and
injury cases. These types of cases
require more structured management
and oversight by the presiding
administrative law judge and more
sophisticated motions and discovery
procedures than the current regulations
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SUMMARY:
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provide. In order to best manage the
complexities of whistleblower and
discrimination claims, OALJ needs to
update its rules to address the
procedural questions that arise in these
cases.
DATES: Submit comments on or before
February 4, 2013.
ADDRESSES: You may submit comments
by any of the following methods:
Electronically: You may submit your
comments and attachments
electronically at www.regulations.gov.
Mail, hand delivery, express mail,
messenger or courier service: You may
submit your comments and attachments
to the U.S. Department of Labor, Office
of Administrative Law Judges, 800 K
Street NW., Suite 400-North,
Washington, DC 20001–8002; telephone
(202) 693–7300. Deliveries (hand,
express mail, messenger, and courier
service) are accepted during the Office
of Administrative Law Judges’ normal
business hours, 8:00 a.m.–4:30 p.m., e.t.
Instruction for submitting comments:
Please submit only one copy of your
comments via any of the methods noted
in this section. All submissions received
must include the agency name, as well
as RIN 1290–AA26. Also, please note
that due to security concerns, postal
mail delivery in Washington, DC may be
delayed. Therefore, in order to ensure
that comments are received on time, the
Department encourages the public to
submit comments electronically as
indicated above. For further information
on submitting comments, plus
additional information on the
rulemaking process, see the ‘‘Public
Participation’’ heading in the
SUPPLEMENTARY INFORMATION section of
this notice.
FOR FURTHER INFORMATION CONTACT:
Todd Smyth at the U.S. Department of
Labor, Office of Administrative Law
Judges, 800 K Street NW Suite 400North, Washington, DC 20001–8002;
telephone (202) 693–7300.
SUPPLEMENTARY INFORMATION:
I. Background
Administrative law judges at the
Office of Administrative Law Judges
(OALJ), United States Department of
Labor (Department), conduct formal
hearings under the Administrative
Procedure Act, 5 U.S.C. 554 through
557. An administrative law judge
manages hearings that mirror federal
civil litigation, is bound by applicable
rules of evidence and procedure, and is
insulated from political influence. See
Tennessee v. U.S. Dep’t of Transp., 326
F.3d 729, 735–36 (6th Cir. 2003). An
administrative law judge acts as the
functional equivalent of a trial judge.
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See Fed. Mar. Comm’n v. S.C. State
Ports Auth., 535 U.S. 743, 756–57
(2002). The types of cases heard by
administrative law judges involve a full
range of complexity, from simple
administrative review of an existing
administrative record to de novo, trialtype litigation. Consequently, rules of
practice and procedure are essential to
a just, speedy, and inexpensive
determination of every proceeding.
The current Rules of Practice and
Procedure for Administrative Hearings
before the Office of Administrative Law
Judges, 29 CFR part 18, subpart A (Part
18, Subpart A), were published on July
15, 1983. See 48 FR 32538, 32538, July
15, 1983. Rarely have they been altered.
Some rules relating to discovery were
amended in 1994. See 59 FR 41874,
41876, Aug. 15, 1994. The most recent
amendment, made in August 1999,
permitted the appointment of settlement
judges in cases arising under the
Longshore and Harbor Workers’
Compensation Act (Longshore Act), 33
U.S.C. 901 et seq., and associated
statutes. See 64 FR 47088, 47089, Aug.
27, 1999. Since its original publication,
Part 18, Subpart A has never been
comprehensively revised to keep abreast
of ongoing changes to the procedures
that govern civil litigation in federal
trial courts.
The OALJ rules of practice and
procedure are analogous to the Federal
Rules of Civil Procedure used in the
United States District Courts. Congress
authorized the Supreme Court to
prescribe rules for the United States
District Courts in 1934, under the Rules
Enabling Act, 28 U.S.C. 2072. The
original version of those rules became
effective on September 16, 1938.1 Since
1938, thirty-three sessions of Congress
have approved changes to the FRCP,
from 1941 through the most recent
amendments that took effect on
December 1, 2010. Significant
amendments became effective in 1948,
1963, 1966, 1970, 1980, 1983, 1987,
1993, 2000, 2006, 2007, 2009, and 2010.
Id. The procedural rules for OALJ have
not kept pace with the eight groups of
changes to the FRCP since the early
1980s.
The disputes that comprise the docket
at OALJ have also changed with time.
When the rules of practice and
procedure were first published, OALJ’s
judges mainly (but not exclusively) were
devoting their efforts to deciding benefit
claims under two broad statutory
categories:
1 Staff of H. Comm. on the Judiciary, 111th Cong.,
Federal Rules of Civil Procedure with Forms at vii
(Comm. Print 2010), www.uscourts.gov/uscourts/
RulesAndPolicies/rules/2010%20Rules/
Civil%20Procedure.pdf.
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• The Black Lung Benefits Act,
subchapter 4 of the Federal Coal Mine
Health and Safety Act of 1969, as
amended, 30 U.S.C. 901 et seq. (1969);
and
• The Longshore Act and its
extensions, which included the
Nonappropriated Fund
Instrumentalities Act, 5 U.S.C. 8171
(1927); the Outer Continental Shelf
Lands Act, 43 U.S.C. 1333 (1953); and
the Defense Base Act, as amended, 42
U.S.C. 1651 (1941).2
Over the last nearly two decades,
Congress charged the Department of
Labor (and consequently the OALJ) with
the responsibility to hear and decide
matters under many new statutes. Most
relate to complaints by employees who
assert their employers retaliated against
them after they engaged in
whistleblower activity. Some of these
statutes for example are:
• Section 110 of the Comprehensive
Environmental Response, Compensation
and Liability Act, 42 U.S.C. 9610, Public
Law 96–510, 94 Stat. 2787, enacted on
December 11, 1980;
• Section 405 of the Surface
Transportation Assistance Act of 1982
(STAA), 49 U.S.C. 31105, Public Law
97–424, 96 Stat. 2097, 2157–58, first
enacted on January 6, 1983 (and
originally codified as 49 U.S.C. 2301 et
seq.), and last amended by sec. 1536 of
the Implementing Recommendations of
the 9/11 Commission Act of 2007,
Public Law 110–53, 121 Stat. 464,
enacted on August 3, 2007;
• Section 212(n)(2)(C)(iv) of the
Immigration and Nationality Act, 8
U.S.C. 1182(n)(2)(C)(iv), as amended by
the American Competitiveness and
Workforce Improvement Act of 1998,
which was part of the Omnibus
Consolidated and Emergency
Supplemental Appropriations Act of
1998, Public Law 105–277, div. C, tit.
IV, sec. 411(a), 112 Stat. 2681–641 to
2681–657, enacted on October 21,1998;
• Section 519 of the Wendell H. Ford
Aviation Investment and Reform Act for
the 21st Century (AIR21), 49 U.S.C.
42121, Public Law 106–181, 114 Stat.
145, enacted on April 5, 2000;
• Section 6(a) of the Pipeline Safety
Improvement Act of 2002, 49 U.S.C.
60129, Public Law 107–355, 116 Stat.
2989, enacted on December 17, 2002;
2 Judges at OALJ continue to hear a very few
claims under another Longshore Act extension, the
District of Columbia Workmen’s Compensation Act
of 1928, 36 DC Code § 501 et seq., despite the
District’s adoption of its own workers’
compensation law. For claims that involve an injury
suffered before the District’s own law took effect in
mid-1982, judges at OALJ continue to hear them.
Keener v. Wash. Metro. Transit Auth., 800 F.2d
1173, 1175 (D.C. Cir. 1986).
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• Section 806 of the Corporate and
Criminal Fraud Accountability Act of
2002 (the Sarbanes-Oxley Act), 18
U.S.C. 1514A, Public Law 107–204, 116
Stat. 802, first enacted on July 30, 2002,
and last amended by sec. 929A of the
Dodd-Frank Wall Street Reform and
Consumer Protection Act, Public Law
111–203, 124 Stat. 1848, 1852, enacted
on July 21, 2010;
• Section 1413 of the Implementing
Recommendations of the 9/11
Commission Act of 2007, 6 U.S.C. 1142,
Public Law 100–53, 121 Stat. 414, that
amended the National Transit Systems
Security Act on August 3, 2007; and
• Section 1521 of the Implementing
Recommendations of the 9/11
Commission Act of 2007, 49 U.S.C.
20109, Public Law 100–53, 121 Stat.
444, that amended the Federal Railroad
Safety Act on August 3, 2007.
Congress remains active in the area of
whistleblower protection. On July 21,
2010, Congress created and expanded
whistleblower protection for employees
in the financial services industry under
the Dodd-Frank Wall Street Reform and
Consumer Protection Act, Public Law
111–203. On October 15, 2010, it
amended another employment
protection program that includes the
opportunity for a hearing before an
administrative law judge at the OALJ.
See the amendment to the Seaman’s
Protection Act in sec. 611 of the Coast
Guard Authorization Act of 2010, 46
U.S.C. 2114, Public Law 111–281, 124
Stat. 2969. This year Congress
established an additional right to an
administrative hearing for
whistleblowing employees in sec. 402 of
the FDA Food Safety Modernization
Act, 21 U.S.C. 399d, Public Law 111–
353, 124 Stat. 3968, enacted January 4,
2011.
The substantive program regulations
the Department has published to
implement many of the statutes that
grant workers and employers formal
hearings on claims of workplace
retaliation offer limited guidance about
the procedures those adjudications
should follow. Regulations often
incorporate instead the procedural rules
of Part 18, Subpart A. See, e.g., 29 CFR
1978.107(a), 1979.107(a), 1980.107(a)
(2011) (STAA, AIR21, and SarbanesOxley regulations, respectively). In
adopting program regulations, the
Department has acknowledged it was
leaving matters like the ‘‘place of
hearing, right to counsel, procedures,
evidence and record of hearing, oral
arguments and briefs, and dismissal for
cause’’ to the Part 18, Subpart A rules
precisely ‘‘because the Office of
Administrative Law Judges has adopted
its own rules of practice that cover these
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matters.’’ 76 FR 2808, 2814, Jan. 18,
2011 (amending the 29 CFR part 24
regulations that cover whistleblowers in
the nuclear power and environmental
industries).
The growth in whistleblower
jurisdiction has led OALJ to search for
ways to manage those proceedings
efficiently. Implementing procedures
the federal district courts have
developed or refined since 1983 will
improve the current Part 18, Subpart A
rules.
For example, several regulations that
govern whistleblower claims explicitly
grant the presiding judge ‘‘broad
discretion to limit discovery’’ as a way
to ‘‘expedite the hearing.’’ 29 CFR
1979.107(b), 1980.107(b), 1981.107(b).
The Department’s discussion when it
published the final rules on SarbanesOxley matters offered as an illustration
that the judge may ‘‘limit the number of
interrogatories, requests for production
of documents or depositions allowed.’’
69 FR 52104, 52110, Aug. 24, 2004.
Other program regulations, such as
those that govern disputes under the
Energy Reorganization Act and six
environmental statutes that cover
whistleblowers in the nuclear and
environmental industries published at
29 CFR part 24, incorporate the Part 18,
Subpart A regulations without an
explicit reference to a judge’s authority
to control discovery. See 29 CFR
24.107(a). The Preface to those Part 24
regulations nonetheless recognizes that
the current Part 18, Subpart A
regulations invest a judge with broad
authority ‘‘to limit discovery in
appropriate circumstances.’’ 76 FR at
2815. Whether a program regulation
specifically recognizes a judge’s
authority to limit or manage discovery,
or implicitly does so by adopting the
Part 18, Subpart A regulations, the judge
will consider the parties’ views on the
discovery appropriate to develop the
facts for hearing before limiting it. As
detailed below, the early initial
disclosures the federal courts now
require parties to exchange under Fed.
R. Civ. P. 26(a)(1) obviates the need for
some formal discovery. The discovery
plan that parties craft under Fed. R. Civ.
P. 26(f) after they confer at the outset of
the litigation offers a ready way to tailor
discovery to the proceeding.
A 2010 study surveyed lawyers who
were the attorneys of record in federal
civil cases that terminated in the last
quarter of 2008 about their satisfaction
with the current FRCP. Lawyers from
the Litigation Section of the American
Bar Association and from the National
Employment Lawyers Association were
sampled too. The survey instrument had
been developed jointly by the American
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College of Trial Lawyers and the
Institute for the Advancement of the
American Legal System. A majority of
lawyers across all the groups responded
that active case management by judges
offered a useful way to limit or avoid
abusive, frivolous, or unnecessary
discovery. Emery G. Lee & Thomas E.
Willging, Attorney Satisfaction with the
Federal Rules of Civil Procedure: Report
to the Judicial Conference Advisory
Committee on Civil Rules 3, 9 (2010).
These survey results mesh comfortably
with comments the Department received
as the 29 CFR part 24 regulations were
amended. Some lawyers who
commented there urged the Department,
among other things, to require parties to
those whistleblower claims to exchange
the initial disclosures now mandated by
Fed. R. Civ. P. 26(a)(1). 76 FR at 2815.
Updating the Part 18, Subpart A
regulations has value beyond
whistleblower litigation. Regulations for
the Longshore and Harbor Workers’
Compensation Act published at 20 CFR
702.331 through 702.351 predate Part
18, Subpart A. They sketch out only
broad outlines of how hearings should
proceed, so the parties and judges fall
back on the Part 18, Subpart A rules in
cases brought under the Longshore Act
and its extensions. Workers, their
employers, and insurance carriers also
will profit from updated procedures that
avoid the need to serve discovery to
learn basic information, and allow more
focused case management.
The Department believes that in many
instances the current Part 18, Subpart A
rules provide limited guidance. Judges
have addressed the current rules’
limitations by managing procedural
matters through orders, often directing
parties to follow aspects of the various
updates to the FRCP. The consequent
variety in approaches to case
management has troubled some lawyers,
especially those with nationwide client
bases who routinely practice before
different judges throughout the nation.
Lastly, the Department recognizes that
the current Part 18, Subpart A rules can
be stated more clearly, something the
2007 style amendments to the FRCP
highlight. The style amendments were
the first comprehensive overhaul since
the FRCP were adopted in 1938. Taking
more than four years to complete, they
aspired to simplify and clarify federal
procedure. The more austere sentence
structure used throughout the restyled
FRCP made them shorter, easier to read
and more clearly articulated. The
amendments proposed to Part 18,
Subpart A emulate those improvements.
The Department’s principal goals in
revising Part 18, Subpart A were to:
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• Bring the rules into closer
alignment with the current FRCP;
• Revise the rules to aid the
development of facts germane to
additional sorts of adjudications the
Department’s judges handle;
• Enhance procedural uniformity,
while allowing judges to manage cases
flexibly, because (a) An administrative
proceeding is meant to be less formal
than a jury trial; (b) local trial practice
in different regions of the country
should be accommodated when doing
so does not affect substantive rights; and
(c) governing statutes and substantive
regulations may impose their own
specific procedural requirements; and
• Make the rules clearer and easier to
understand through the use of
consistent terminology, structure, and
formatting.
II. Alignment With the Federal Rules of
Civil Procedure
The decisions and orders that judges
enter to resolve cases under sec. 556 and
557 of the Administrative Procedure Act
resemble findings of fact and
conclusions of law federal district and
magistrate judges enter in non-jury cases
under Fed. R. Civ. P. 52. Matters
proceed before OALJ much the way
non-jury cases move through the federal
courts.
Using language similar or identical to
the applicable FRCP gains the advantage
of the broad experience of the federal
courts and the well-developed
precedent they have created to guide
litigants, judges, and reviewing
authorities within the Department on
procedure. Parties and judges obtain the
additional advantage of focusing
primarily on the substance of the
administrative disputes, spending less
time on the distraction of litigating
about procedure.
Part 18, Subpart A currently provides
that the ‘‘Rules of Civil Procedure for
the District Courts of the United States
shall be applied in any situation not
provided for or controlled by these
rules, or by any statute, executive order
or regulation.’’ 29 CFR 18.1(a).
Experienced practitioners know to
consult the FRCP for guidance in
circumstances the current Part 18,
Subpart A rules do not explicitly cover.
Given the developments in the FRCP
since 1983, parties and judges switch
back and forth between two different
sources of procedure (the Part 18,
Subpart A rules and the FRCP). This is
a less than ideal situation. The proposed
revision continues the current practice
of looking to the federal civil rules to
resolve procedural questions that the
revised Part 18, Subpart A rules do not
explicitly cover, a principle that
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§ 18.1(a) has embodied for over twentyfive years.
Pretrial procedures under the FRCP
have significantly changed since Part
18, Subpart A was published in 1983.
Some of the most significant changes
have encompassed:
• The scope of pretrial discovery;
• How time is computed under the
FRCP;
• The innovation of early mandatory
disclosures about documentary proof
and lay and expert witness testimony
that were unknown to litigation practice
in 1983, the related discovery plans the
parties now negotiate, and the ongoing
duty parties now bear to supplement
their mandatory disclosures and
discovery responses;
• Alterations to the rule on pretrial
conferences to encourage judges to
manage cases, and give them the tools
to do so;
• Imposing presumptive limitations
on aspects of discovery;
• Adding rules on the discovery of
electronically stored information, a rare
source of information in the early 1980’s
that has become ubiquitous today; and
• The procedure, but not the
standard, for granting summary
judgment under Fed. R. Civ. P. 56 that
was substantially revised in 2010.
The 2007 style amendments to the
FRCP in some instances altered the
original numbering of provisions that
first came into being after 1983. The
current rule numbers from the 2010
edition of the FRCP are used in the
following discussion of significant
changes in litigation practice since
1983.
A. Scope of Discovery
The scope of discovery has changed.
The formulation used in current Part 18,
Subpart A at § 18.14 extends discovery
to ‘‘any matter, not privileged, which is
relevant to the subject matter involved
in the proceeding.’’ The FRCP now
permits parties the somewhat narrower
opportunity to learn about unprivileged
matters ‘‘relevant to a party’s claim or
defense.’’ Advisory Committee Notes to
the 2000 Amendments to Fed. R. Civ. P.
26(b)(1); Jeffery W. Stemple & David F.
Herr, Applying Amended Rule 26(b)(1)
in Litigation: The New Scope of
Discovery, 199 F.R.D. 396, 398 (2001).
B. Time Computation
Litigation requires timely filings and
actions. The way time is calculated
under Fed. R. Civ. P. 6 changed in 2009.
In the Department’s view, the Part 18,
Subpart A rules should be harmonized
with the FRCP so parties and their
lawyers use the simpler, clearer, and
more consistent way federal courts now
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calculate time. Part 18, Subpart A
presently excludes weekends and legal
holidays when computing some
deadlines but not others. See current 29
CFR 18.4(a). Fed. R. Civ. P. 6 now
counts intervening weekends and
holidays for all time periods. Most short
periods found throughout the FRCP
were extended to offset the shift in the
time-computation rules and to ensure
that each period is reasonable. Five-day
periods became 7-day periods and 10day periods became 14-day periods, in
effect maintaining the status quo.
Time periods in the FRCP shorter
than 30 days also were revised to
multiples of 7 days, to reduce the
likelihood of ending on weekends.
Other changes to the FRCP timecomputation rules affect how to tell
when the last day of a period ends, and
how to compute backward-counted
periods that end on a weekend or
holiday.
C. Mandatory Disclosures, Their
Supplements, and Discovery Plans
The Department believes that the
success the federal courts have had with
requiring parties to exchange
elementary information early in the
dispute, without the need for a formal
discovery demand, should be
incorporated into OALJ’s procedures for
most cases. The same is true for the way
the federal courts require parties to
disclose the opinions of experts, and to
supplement disclosures and discovery
responses.
Disclosures of information relevant to
the claims or defenses a party may raise
in the litigation were required in the
1993 amendments to the FRCP. See
David D. Siegel, The Recent (Dec. 1,
1993) Changes in the Federal Rules of
Civil Procedure: Background, the
Question of Retroactivity, and a Word
about Mandatory Disclosure, 151 F.R.D.
147 (1993). Although originally subject
to variation by local rule of a district
court, by 2000 the disclosures became
mandatory and nationally uniform
(although the federal courts exempted a
narrow group of cases that were
unlikely to benefit from required
disclosures).
The disclosure obligation was
narrowed in 2000 to embrace only
information the party would use to
support its claims or defenses at a
pretrial conference, to support a motion,
to question a witness during a discovery
deposition, or at trial. Advisory
Committee Notes to the 2000
Amendments to Fed. R. Civ. P. 26(a).
These mandatory disclosures cover
basic information needed to prepare
most cases for trial or to make an
informed decision about settlement.
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Advisory Committee Notes to the 1993
Amendments to Fed. R. Civ. P. 26(a).
They must be exchanged at the outset of
the proceeding, even before the
opponent issues any discovery request,
and for the most part there is a
moratorium on discovery until the
automatic disclosures are made. Fed. R.
Civ. P. 26(d)(1). Few excuses for failing
to make timely disclosures are
countenanced. Fed. R. Civ. P.
26(a)(1)(E). These prompt initial
disclosures lead to an early conference
where the parties discuss whether the
case can be settled and negotiate a
proposed discovery schedule they
report to the judge. Fed. R. Civ. P.
26(f)(2).
Other amendments enhanced the
pretrial disclosure of the opinions of an
expert witness. A party now is required
to:
• Provide a detailed written report,
signed by an expert who is retained or
specially employed to give expert
testimony, under Fed. R. Civ. P.
26(a)(2)(B);
• Deliver the report before the expert
is deposed, under Fed. R. Civ. P.
26(b)(4); and
• Prepare and serve a disclosure of
the expert’s testimony if the expert was
not retained or specially employed to
testify (and so not required to write and
sign a report), under Fed. R. Civ. P.
26(a)(2)(C).
By signing and serving a required
disclosure (or any discovery response),
the lawyer attests that it is complete and
correct; consistent with the rules; not
interposed for an improper purpose; and
not unreasonable nor unduly
burdensome or expensive, given the
needs and prior discovery in the case,
the amount in controversy, and the
importance of the issues at stake. Fed.
R. Civ. P. 26(g).
A required disclosure that turns out to
have been incomplete or incorrect in
some material respect must be
supplemented ‘‘in a timely manner.’’
Fed. R. Civ. P. 26(e). The duty to
supplement extends to a required report
or disclosure about expert witness
testimony and to a discovery response.
Id.
D. Case Management Through Pretrial
Conferences and Orders
The amendments to Fed. R. Civ. P. 16
made in 1993 enhanced a judge’s
authority to manage litigation with the
goal of achieving the just, speedy, and
inexpensive determination of a matter
through the use of scheduling orders
under Fed. R. Civ. P. 16(b) and pretrial
conferences under Fed. R. Civ. P. 16(c).
Those revisions to Fed. R. Civ. P. 16
expanded the judge’s authority to ‘‘take
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appropriate action’’ in a civil case.
Charles R. Ritchey, Rule 16 Revised, and
Related Rules: Analysis of Recent
Developments for the Benefit of the
Bench and Bar, 157 F.R.D. 69, 75 (1994).
A pretrial conference offers the
opportunity to appropriately control the
extent and timing of discovery. At a
conference the parties and judge may
consider ways to avoid unnecessary
proof and cumulative evidence at trial
(including expert testimony) under what
is now Fed. R. Civ. P. 16(c)(2)(D).
Determining whether a motion for
summary adjudication is even
appropriate, and setting the time to file
it, may be discussed under Fed. R. Civ.
P. 16(b)(3)(A), (c)(2)(E). See generally D.
Brock Hornby, Summary Judgment
Without Illusions, 13 Green Bag 2d 273,
284–85 (2010) (explaining the
complexity of the summary judgment
process). Controlling discovery and
setting deadlines for initial, expert, and
pretrial disclosures under Fed. R. Civ. P.
26; for stipulations under Fed. R. Civ. P.
29; and dealing with failures to make
disclosures or to cooperate in discovery
under Fed. R. Civ. P. 37, all may be
considered at a pretrial conference
under Fed. R. Civ. P. 16(c)(2)(F). A
pretrial order that limits the length of
trial under Fed. R. Civ. P. 16(c)(2)(O)
offers the parties a better opportunity to
determine their priorities and be
selective in presenting their evidence
than if limits are imposed only at the
time of trial. Limits on trial time must
be reasonable in the circumstances and
ordinarily imposed only after the parties
are given the opportunity to outline the
nature of the testimony they expect to
offer through various witnesses and the
time they expect to need for direct and
cross-examination. See Advisory
Committee Note to the 1993
Amendments to Fed. R. Civ. P.
16(c)(15). Exploring settlement and the
use of alternative dispute resolution
procedures can be considered under
Fed. R. Civ. P. 16(c)(2)(I). Separate trials
may be set for potentially dispositive
issues under Fed. R. Civ. P. 16(c)(2)(M).
E. Presumptive Limitations on Discovery
Discovery practice in federal court
litigation has been altered since 1983 in
a number of ways. The amendments
were not meant to block needed
discovery, but to provide judicial
supervision to curtail excessive
discovery. Advisory Committee Note to
the 1993 Amendments to Fed. R. Civ. P.
33(a). The FRCP now presumptively
limit the number of interrogatories a
party may serve, including ‘‘all discrete
subparts;’’ the number of depositions
taken by oral examination or on written
questions; taking the deposition of a
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witness more than once; and restricting
the deposition of a witness to one day
of no more than seven hours. Fed. R.
Civ. P. 33(a); Fed. R. Civ. P.
30(a)(2)(A)(i), (ii), (d)(1); and Fed. R.
Civ. P. 31(a)(2)(A)(i).
These presumptive limitations are
adjusted as a case requires, often
through the scheduling order the judge
enters on the discovery plan the parties
propose after their initial conference.
Fed. R. Civ. P. 26(b)(2)(A), (f)(3)(E); see
also, Advisory Committee Notes to the
2000 Amendments to Fed. R. Civ. P.
26(b)(2).
Parties also must seek to resolve
discovery disputes informally before
filing a motion. Fed. R. Civ. P. 26(c)(1);
see also, Advisory Committee Notes to
the 1993 Amendments to Fed. R. Civ. P.
26(a) (concerning what was then the
new subparagraph (B)).
F. Discovery of Electronically Stored
Information
E-discovery provisions that recognize
how pervasive digital information has
become were incorporated into the
FRCP in 2006. Richard L. Marcus, EDiscovery & Beyond: Toward Brave New
World or 1984?, 236 F.R.D. 598, 604–
605 (2006). The amendments recognize
the integral role digital data such as
email, instant messaging, and web-based
information play in contemporary life
and in discovery; they introduced into
the FRCP the concept of ‘‘electronically
stored information.’’ As with changes to
the presumptive limits on various
discovery methods, the discovery plan
the parties develop is expected to
address any issues about disclosure or
discovery of electronically stored
information, including the form in
which it should be produced. Fed. R.
Civ. P. 26(f)(3)(C); Fed. R. Civ. P.
34(b)(2)(D), (E); see also Advisory
Committee Notes to the 2006
Amendments to Fed. R. Civ. P. 26(f);
Advisory Committee Notes to the 2006
Amendments to Fed. R. Civ. P. 34(b);
Hopson v. Mayor & City Council of Balt.,
232 F.R.D. 228, 245 (D. Md. 2006).
Digital information is so omnipresent
that federal courts now deride as
‘‘frankly ludicrous’’ arguments that a
trial lawyer who claims to be ‘‘computer
illiterate’’ should be excused from
fulfilling the rules’ e-discovery
obligations. Martin v. Nw. Mut. Life Ins.
Co., No. 804CV2328T23MAP, 2006 WL
148991, at *2 (M.D. Fla. Jan. 19, 2006)
(unpublished). Today a lawyer bears an
affirmative duty not just to ask a client
to locate and gather paper and
electronic documents, but to search out
sources of electronic information.
Phoenix Four, Inc. v. Strategic Res.
Corp., No. 05 Civ. 4837(HB), 2006 WL
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2135798, at *5 (S.D.N.Y. Aug. 1, 2006)
(unpublished); In re A & M Fla. Prop. II,
LLC, No. 09–15173, 2010 WL 1418861,
at *6 (Bankr. S.D.N.Y. Apr. 7, 2010)
(unpublished). Those efforts must,
however, be proportional to what is at
stake in the litigation. Fed. R. Civ. P.
26(b)(2)(C)(iii); see also, The Sedona
Principles: Second Edition, Best
Practices Recommendations &
Principles for Addressing Electronic
Document Production, Principle 2, cmt.
2.b., at 17 (2007) (‘‘Electronic discovery
burdens should be proportional to the
amount in controversy and the nature of
the case. Otherwise, transaction costs
due to electronic discovery will
overwhelm the ability to resolve
disputes fairly in litigation.’’); cf.,
Pension Comm. of the Univ. of Montreal
Pension Plan v. Banc of Am. Sec., LLC,
685 F.Supp.2d 456, 464–65 (S.D.N.Y.
2010) (describing significant discovery
burdens that were reasonable in a $550
million claim arising from the
liquidation of hedge funds; but those
burdens may be inappropriate in
litigation where much less is at stake).
In addition, the parties should discuss
and agree at the initial conference on
how to handle inadvertent disclosure of
digital information that otherwise
would enjoy attorney-client privilege or
work product protection. Fed. R. Civ. P.
26(f)(3)(D). Their agreement plays a
pivotal role under recently enacted Fed.
R. Evid. 502(b), (d), and (e). They avoid
a waiver of privilege or work product
protection when their agreement is
incorporated into a scheduling order or
another order. See Advisory Committee
Notes to the 2006 amendments to Fed.
R. Civ. P. 26(f).
The current FRCP not only guide the
resolution of discovery disputes, but
also set standards for allocating the
potentially high cost of discovery among
the parties when the sources of digital
data are not readily accessible. Advisory
Committee Notes to 2006 Amendments
to Fed. R. Civ. P. 26(b)(2) (‘‘The
conditions [the judge imposes] may also
include payment by the requesting party
of part or all of the reasonable costs of
obtaining information from sources that
are not reasonably accessible.’’)
statutes whistleblower litigation begins
at OALJ, but the complainant may
proceed in U.S. district court if a final
order has not been entered within a
relatively short time after the claim is
first brought to the attention of the
Department. See, e.g., 18 U.S.C.
1514A(b)(1)(B) (2010) (Sarbanes-Oxley
Act); 42 U.S.C. 5841(b)(4) (2010) (Energy
Reorganization Act); 46 U.S.C. 2114(b)
(2010) (Seaman’s Protection Act); 49
U.S.C. 31105(c) (2010) (Surface
Transportation Assistance Act).
Federal Rule of Civil Procedure 56
was recently revised effective December
1, 2010. It now instructs the judge to
state a reason for granting or denying
the motion, usually by identifying the
central issues, which can help the
parties focus any further proceedings.
Advisory Committee Notes to 2010
Amendments to Fed. R. Civ. P. 56(a).
The judge is not obliged to search the
record independently to determine
whether there is a factual dispute for
trial, but nonetheless may consider
record materials the parties never called
to the judge’s attention. Advisory
Committee Notes to 2010 Amendments
to Fed. R. Civ. P. 56(c)(3). A formal
affidavit is not required to support the
motion; an unsworn declaration signed
under penalty of perjury suffices,
recognizing the status 28 U.S.C. 1746
gives to those statements. Fed. R. Civ. P.
56(c)(4). Even if the motion is not
granted, or granted only in part, the
judge may find that certain facts are
undisputed and treat them as
established. Fed. R. Civ. P. 56(g).
Invoking this authority demands care,
however. To limit litigation expenses, a
nonmovant who feels confident a
genuine dispute as to one or a few facts
will defeat the motion may choose not
to file a detailed response to all facts the
movant stated. That choice should not
expose the party to the risk that the
additional facts will be treated as
established under subdivision (g).
Advisory Committee Notes to 2010
Amendments to Fed. R. Civ. P. 56(h).
The judge may sanction a party who
submits an affidavit or declaration with
its motion papers in bad faith or solely
for delay. Fed. R. Civ. P. 56(h).
G. Summary Decision
A motion for summary adjudication
carries the potential to dispose of an
entire claim or portions of it with
finality but without a trial, so it plays a
key role in litigation. The procedure
ought to be the same at the OALJ as in
U.S. district courts; any divergence
creates an incentive for a party to prefer
the forum with the summary decision
´
regime most favorable to its position.
This matters because under many
H. Additional Matters
Other portions of the FRCP have also
undergone significant changes,
including rules on the subjects of:
• Sanctions under Fed. R. Civ. P. 11
in 1993, see Edward D. Cavanagh, Rule
11 of The Federal Rules of Civil
Procedure: The Case Against Turning
Back the Clock, 162 F.R.D. 383, 396
(1995); and
• Subpoenas under Fed. R. Civ. P. 45
in 1991, see David D. Siegel, Federal
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Subpoena Practice Under the New Rule
45 of The Federal Rules of Civil
Procedure, 139 F.R.D. 197, 197 (1992).
The proposed revisions to Part 18,
Subpart A reflect the general tenor of
these amendments.
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III. Evolution in Types of Cases
Congress has vested the Department
(and therefore OALJ) with the
responsibility to conduct formal
hearings pursuant to more than 60 laws,
including at least 19 that protect
employees from retaliation for
whistleblowing.
The bulk of hearings conducted by
OALJ involve longshore workers’
compensation and black lung benefits
claims. This was true when OALJ’s rules
of practice were published in 1983 and
is still true today.3 These cases have
benefited from having established rules
of practice and procedure modeled on
the FRCP. The evolution in the types of
cases heard by OALJ, however, has
resulted in a significant increase in
hearings that are the functional
equivalent of a civil trial in federal or
state court, absent only the jury. In
particular, whistleblower cases now
account for a significant portion of
OALJ’s workload, disproportionate to
their percentage of the overall docket.
As noted above, many of the statutes
creating the responsibility for
whistleblower adjudication by the
Department of Labor were promulgated
after the Part 18, Subpart A rules were
published in 1983. Nine whistleblower
laws with the potential for ALJ hearings
within the Department of Labor were
enacted after the year 2000. Hearings
arising under these statutes often
involve complex fact patterns and novel
legal issues. Overall, whistleblower
litigation typically requires more
extensive discovery, case management,
motion work, summary decision
practice, and time in trial than many of
the other types of cases heard by OALJ.
Moreover, intensive litigation is
typical in cases arising under the
Defense Base Act. Although the Defense
Base Act has been in existence since
World War II, increasing use of contract
services by the military and other parts
of the federal government has resulted
in significantly more hearings
conducted by OALJ under that law in
recent years. These cases tend not to
settle, and therefore require more case
management by judges as compared
with other workers’ compensation cases
3 OALJ also conducts administrative review in a
large number of immigration-related appeals
involving both permanent and temporary labor
certification applications. Many of these reviews do
not require an evidentiary hearing because the
review is on the existing record.
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adjudicated by OALJ. OALJ also now
conducts hearings involving labor
condition applications of employers
who employ H–1B nonimmigrant
workers. OALJ’s experience is that many
of these cases do not settle; they also
involve extensive procedural motions
and multi-day hearings.
Thus, the change in the case mix
before OALJ has heightened the need for
procedural rules that are clearly written,
permit improved and more consistent
case management by judges, and are
familiar to the national legal community
under current federal court practice.
IV. Flexibility/Uniformity
Notwithstanding the variety of
statutes and regulations that generate
disputes at OALJ, the provisions of the
Administrative Procedure Act at 5
U.S.C. 556 offer broad guidance to
administrative law judges about how to
conduct proceedings. Flexibility in
applying procedural rules is desirable,
so that judges manage litigation
according to the needs of an individual
case. The Department’s opportunity to
review the decision of its administrative
law judges under 5 U.S.C. 557(b)
safeguards a party from an abuse of that
discretion.
Some cases by their nature need
special management. For example,
applying a general rule that sets the time
to respond to formal discovery demands
may be inappropriate in a case that
demands expedited handling. A striking
illustration of an expedited proceeding
is one to review a denial of an
employer’s application to the Office of
Foreign Labor Certification under 20
CFR 655.103 to certify the use of nonimmigrant workers in temporary
agricultural employment under the H–
2A visa program of the Immigration &
Nationality Act, 8 U.S.C.
1101(a)(15)(H)(ii)(a), 1188(e). In such
cases, the employer only has five
business days to seek review of an
application’s denial under 20 CFR
655.141(b)(4) and 655.142(c). Where the
employer requests administrative
review, the judge has only five business
days after receipt of the administrative
file from the Office of Foreign Labor
Certification to render a decision. 20
CFR 655.171(a) (2011). Where the
employer requests de novo review, the
Part 18, Subpart A rules apply, but the
hearing must be convened within five
business days after the administrative
law judge receives the administrative
file, and the decision must follow
within ten calendar days. 20 CFR
655.171(b). Additionally, for some types
of cases—for example, those adjudicated
under the Longshore and Harbor
Workers’ Compensation Act, 33 U.S.C.
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901 et seq., and its extensions such as
the Defense Base Act, 42 U.S.C. 1651, et
seq., and the Black Lung Benefits Act,
30 U.S.C. 901 et seq.—the Department’s
substantive regulations also include
procedural provisions. See 20 CFR parts
702 (Longshore) and 725 (Black Lung).
The proposed rules have been drafted
to authorize a judge to tailor procedures
to the case, through a prehearing order.
A judge may take a broad range of
actions under proposed § 18.50(b)(2)
and (3). Parties may be ordered to confer
about settlement early in the case,
required to make prehearing disclosures
without any formal discovery demand
from the other party, and directed to
draft a discovery plan. Yet the judge
also may relieve the parties from the
obligation to make initial disclosures,
and alter the general limitations on the
number of interrogatories and the
number and length of depositions. This
flexibility permits a judge to address, in
an individualized way, the needs of any
specific case. The judge also may
address any regional differences in
litigation practices that may require
direction or clarification.
V. Clarity/Re-Organization
The FRCP underwent a complete
revision that culminated in 2007 to
improve their style and clarity. Restyled
Federal Rules of Appellate Procedure
took effect in 1998, as the restyled
Federal Rules of Criminal Procedure did
in 2002. Sources that guided drafting,
usage, and style for all three revisions
included the Guidelines for Drafting
and Editing Court Rules, which the
Standing Committee on Federal Rules of
Practice and Procedure of the Judicial
Conference of the United States
published at 169 F.R.D. 171 (1997), and
Bryan A. Garner’s A Dictionary of
Modern Legal Usage (2d ed. 1995). The
purpose of the style revisions was
twofold: to make the rules easier to
understand, and to make style and
terminology consistent throughout the
rules. See Advisory Committee’s Notes
to the 2007 Amendments to Fed. R. Civ.
P. 1. The restyled federal civil rules
reduced the use of inconsistent,
ambiguous, redundant, repetitive, or
archaic words. For example, the restyled
rules replaced ‘‘shall’’ with ‘‘must,’’
‘‘may,’’ or ‘‘should,’’ as appropriate,
based on which one the context and the
established interpretation made correct.
Id. The sole exception was the highly
controversial restoration of the ‘‘shall’’
in Fed. R. Civ. P. 56(a) on summary
judgment when it was amended in 2010.
Advisory Committee’s Notes to the 2010
Amendments to Fed. R. Civ. P. 56(a).
The drafting guidelines the authors of
the 2007 style amendments used to
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enhance the clarity and readability of
the FRCP also were used as the
Department revised Part 18, Subpart A.
Proposed revisions typically are based
on the text of the restyled federal civil
rule for the corresponding subject,
unless there was a reason to deviate
from the federal rule’s language. As one
example, the word ‘‘court’’ is replaced
throughout with the word ‘‘judge,’’
because administrative adjudications do
not take place in a court. Where
substantive deviations from the FRCP
were made, the reason for the deviation
is noted in the portion of the Notice of
Proposed Rulemaking pertaining to the
specific proposed rule. Where there is
no corresponding federal civil rule, the
Department used the FRCP drafting
guidelines to revise the existing Part 18,
Subpart A rules, to improve their clarity
and internal consistency. The ordering
of some rules was altered to improve the
overall clarity of the Part 18, Subpart A
regulations. A conversion table that
shows the current Part 18, Subpart A
rules and their corresponding proposed
rule appears at the end of this Preface.
In drafting the text of the proposed
rules, the Department also took into
account two Executive Orders:
• Executive Order 12866 (1993),
which requires that regulations be
‘‘simple and easy to understand, with
the goal of minimizing uncertainty and
litigation * * * ’’ 58 FR 51735, sec.
1(b)(12), Sept. 30, 1993 (amended 2002
& 2007); and
• Executive Order 12988 (1996),
which requires that regulations be
written in ‘‘clear language.’’ 61 FR 4729,
sec. 3(b)(2) (Feb. 5, 1996).
The Plain Writing Act of 2010, 5
U.S.C. 301, Public Law 111–274, 124
Stat. 2861 (2010), while not directly
applicable to regulations, recognizes the
value of plain writing in government
documents by requiring clear, concise,
and well-organized publications. The
Office of Management and Budget has
published a ‘‘Best Practices Guide for
Regulations’’ available on the internet.4
These proposed rules follow the
guidance these sources offer.
Section 6(a) of Executive Order 13,563
(dated January 18, 2011), states: ‘‘To
facilitate the periodic review of existing
significant regulations, agencies shall
consider how best to promote
retrospective analysis of rules that may
be outmoded, ineffective, insufficient,
or excessively burdensome, and to
modify, streamline, expand, or repeal
them in accordance with what has been
4 This guide is available at https://
www.regulations.gov/exchange/sites/default/files/
doc_files/
20101130_eRule_Best_Practices_Document_rev.pdf.
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learned.’’ 76 FR at 3821. The Executive
Order also requires each agency to
prepare a plan for reviewing its
regulations. Although the revision of
Part 18, Subpart A began well before
this recent Executive Order, the
proposed revisions meet the Order’s
requirements, by replacing outmoded
rules with a more-readily
understandable version.
VI. Regulatory Review
A. Executive Order 12866 (Regulatory
Planning and Review)
This proposed rule has been drafted
and reviewed in accordance with
Executive Order 12866. The Department
of Labor, in coordination with the Office
of Management and Budget (OMB), has
determined that this proposed rule is
not a ‘‘significant regulatory action’’
under Executive Order 12866, section
3(f) because rule because the rule will
not have an annual effect on the
economy of $100 million or more; nor
create a serious inconsistency or
otherwise interfere with an action taken
or planned by another agency; nor
materially alter the budgetary impact of
entitlements, grants, user fees, or loan
programs or the rights and obligations of
recipients thereof. Furthermore, the rule
does not raise a novel legal or policy
issue arising out of legal mandates, the
President’s priorities or the principles
set forth in this Executive Order.
Accordingly, the proposed rule has not
been reviewed by OMB.
B. Regulatory Flexibility Act/Small
Business Regulatory Enforcement
Fairness Act
The Department concludes that the
Regulatory Flexibility Act, 5 U.S.C. 601
et. seq. does not apply since the changes
proposed here consist of amendments to
rules of agency organization, procedure
and practice, and consequently are
exempt from the notice and public
comment requirements of the
Administrative Procedure Act, see 5
U.S.C. 553(b)(3)(A).
C. Executive Order 12291 (Federal
Regulation)
The Department has reviewed this
rule in accordance with Executive Order
12291 and determined it is not a ‘‘major
rule’’ under Executive Order 12291
because it is not likely to result in (1)
An annual effect on the economy of
$100 million or more; (2) a major
increase in costs or prices for
consumers, individual industries,
Federal, State, or local government
agencies, or geographic regions; or (3)
significant adverse effects on
competition, employment, investment,
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productivity, innovation, or on the
ability of United States-based
enterprises to compete with foreignbased enterprises in domestic or export
markets. Accordingly, no regulatory
impact analysis is required.
D. Unfunded Mandates Reform Act of
1995 and the Executive Order 13132
(Federalism)
The Department has reviewed this
proposed rule in accordance with the
requirements of the Unfunded Mandates
Reform Act of 1995, 2 U.S.C. 1531 et
seq., and Executive Order 13132. The
Department concludes that the
requirements of these provisions do not
apply to the proposed rule, because the
proposed rule does not place any
mandate on State, local, or tribal
governments.
E. Paperwork Reduction Act
The Department certifies that this
proposed rule has been assessed in
accordance with the requirements of the
Paperwork Reduction Act, 44 U.S.C.
3501 et seq. (1995)(PRA). The
Department concludes that the
requirements of the PRA do not apply
to this rulemaking because this
regulation does not contain any
information collection requirements that
require the approval of the Office of
Management and Budget.
F. The National Environmental Policy
Act of 1969 (Environmental Impact
Assessment)
The Department has reviewed the
proposed rule in accordance with the
requirements of the National
Environmental Policy Act (NEPA) of
1969, as amended (42 U.S.C. 4321 et
seq.) and the Department of Labor’s
NEPA procedures (29 CFR part 11). The
Department concludes that the
requirements of the NEPA do not apply
to this rulemaking as there are no
requirements or provisions contained in
this proposed rule that involve assuring
the maintenance of a healthful
environment and there are no
provisions impacting the
responsibilities to preserve and enhance
that environment contained herein and,
thus, has not conducted an
environmental assessment or an
environmental impact statement.
G. The Privacy Act of 1974, 5 U.S.C.
552a, as Amended
The Department has reviewed this
proposed rule in accordance with the
Privacy Act of 1974, as amended (5
U.S.C. 552a). This rulemaking would
not require any new process, filing or
collection of any new information in the
proceedings before the Office of
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Administrative Law Judges and
therefore, the Department has
determined this proposed rule would
not result in a new or revised Privacy
Act System of Records.
H. Federal Regulations and Policies on
Families
The Department has reviewed this
proposed rule in accordance with the
requirements of the Federal Regulations
and Policies on Families, Section 654 of
the Treasury and General Government
Appropriations Act of 1999. These
proposed regulations were not found to
have a potential negative effect on
family well-being as it is defined there
under.
I. Executive Order 13045 (Protection of
Children From Environmental Health
Risks and Safety Risks)
The Department certifies that this
proposed rule has been assessed
regarding environmental health risks
and safety risks that may
disproportionately affect children.
These proposed regulations were not
found to have a potential negative effect
on the health or safety of children.
J. Executive Order 12630 (Governmental
Actions and Interference With
Constitutionally Protected Property
Rights)
The Department has reviewed this
proposed rule in accordance with E.O.
12630 and has determined that it does
not contain any ‘‘policies that have
takings implications’’ in regard to the
‘‘licensing, permitting, or other
condition requirements or limitations
on private property use, or that require
dedications or exactions from owners of
private property.’’
K. Executive Order 13175 (Consultation
and Coordination with Indian Tribal
Governments)
The Department has reviewed this
proposed rule in accordance with E.O.
13175 and has determined that it does
not have ‘‘tribal implications.’’ The
proposed rule does not ‘‘have
substantial direct effects on one or more
Indian tribes, on the relationship
between the Federal government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal government and Indian tribes.’’
L. Executive Order 12988 (Civil Justice
Reform)
This regulation has been drafted and
reviewed in accordance with Executive
Order 12988, Civil Justice Reform, and
will not unduly burden the Federal
court system. The regulation has been
written so as to minimize litigation and
provide a clear legal standard for
affected conduct, and has been reviewed
carefully to eliminate drafting errors and
ambiguities.
M. Executive Order 13211 (Actions
Concerning Regulations that
Significantly Affect Energy Supply,
Distribution, or Use)
The Department has reviewed this
proposed regulation in accordance with
Executive Order 13211 and determined
that the proposed rule is not subject to
Executive Order 13211 because it is not
a significant regulatory action under
Executive Order 12866, will not have a
significant adverse effect on the supply,
distribution, or use of energy, and has
not been designated by the
Administrator of the Office of
Information and Regulatory Affairs as a
significant energy action.
VII. Public Participation
A. APA Requirements for Notice and
Comment
The changes proposed here consist of
amendments to rules of agency
organization, procedure and practice,
and consequently are exempt from the
notice and public comment
requirements of the Administrative
72149
Procedure Act, see 5 U.S.C. 553(b)(3)(A).
However, the Department wishes to
provide the public with an opportunity
to submit comments on any aspect of
the entire proposed rule.
B. Publication of Comments
Please be advised that the Department
will post all comments without making
any change to the comments, including
any personal information provided. The
www.regulations.gov Web site is the
Federal e-rulemaking portal and all
comments received electronically or by
mail, hand delivery, express mail,
messenger or courier service are
available and accessible to the public on
this Web site. Therefore, the Department
recommends that commenters safeguard
their personal information by not
including social security numbers,
personal addresses, telephone numbers,
and email addresses in comments. It is
the responsibility of the commenter to
safeguard his or her information.
C. Access to Docket
In addition to all comments received
by the Department being accessible on
www.regulations.gov, the Department
will make all the comments available for
public inspection during normal
business hours at the above address. If
you need assistance to review the
comments, the Department will provide
you with appropriate aids such as
readers or print magnifiers. The
Department will make copies of the
proposed rule available, upon request,
in large print or electronic file on
computer disc. The Department will
consider providing the proposed rule in
other formats upon request. To schedule
an appointment to review the comments
and/or obtain the proposed rule in an
alternate format, contact Todd Smyth at
the U.S. Department of Labor, Office of
Administrative Law Judges, 800 K Street
NW., Suite 400-North, Washington, DC
20001–8002; telephone (202) 693–7300.
PART 18, SUBPART A—CROSS REFERENCING CHART
New
section
New section title
Old section
Federal rule of civil
procedure
Old section title
GENERAL PROVISIONS
Scope and purpose .............................
18.1/18.26
18.11 ........
18.12 ........
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18.10 ........
Definitions ............................................
Proceedings before administrative law
judge.
18.2
18.25/18.29(a)
18.13 ........
Settlement judge procedure ................
18.9
18.14 ........
18.15 ........
Ex parte communication ......................
Substitution of administrative law
judge.
Disqualification .....................................
18.38
18.30
18.16 ........
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Scope of rules and conduct of hearings.
Definitions ............................................
Proceedings before administrative law
judge/authority of the administrative
law judge.
Consent order or settlement; settlement judge procedure.
Ex parte communications ....................
Unavailability of administrative law
judge.
Disqualification .....................................
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Fed. R. Civ. P. 1
Fed. R. Civ. P. 63
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PART 18, SUBPART A—CROSS REFERENCING CHART—Continued
New
section
New section title
18.17 ........
Legal assistance ..................................
Old section
18.35
Federal rule of civil
procedure
Old section title
Legal assistance ..................................
PARTIES AND REPRESENTATIVES
18.20 ........
18.21 ........
Parties to a proceeding .......................
Party appearance and participation .....
18.10
18.39/18.34(a)
18.22 ........
18.23 ........
Representatives ...................................
Disqualification and discipline of representatives.
Briefs from amicus curiae ....................
18.34
..............................
Parties, how designated ......................
18.39, Waiver of right to appear and
failure to participate or to appear—
text was incorporated into proposed
‘‘participation’’ rule.
Representatives ...................................
..............................................................
18.12
Amicus curiae ......................................
18.24 ........
SERVICE, FORMAT AND TIMING OF FILINGS AND OTHER PAPERS
18.30 ........
18.31 ........
18.32
18.33
18.34
18.35
........
........
........
........
18.36 ........
Service and filing .................................
Privacy protection for filings and exhibits.
Computing and extending time ............
Motions and other papers ....................
Format of papers filed .........................
Signing motions and other papers;
representations to the judge; sanctions.
Amendments after referral to the Office of Administrative Law Judges.
18.3
..............................
Service and filing .................................
..............................................................
Fed. R. Civ. P. 5
Fed. R. Civ. P. 5.2
18.4
18.6
..............................
..............................
Time computations ..............................
Motions and requests ..........................
..............................................................
..............................................................
Fed. R. Civ. P. 6
Fed. R. Civ. P. 7(b) & 43(c)
18.5
Responsive pleadings—answer
request for hearings.
Fed. R. Civ. P. 11
and
PREHEARING PROCEDURE
18.40 ........
18.41 ........
18.42 ........
18.43 ........
18.44 ........
Notice of hearing .................................
Continuances and changes in place of
hearing.
Expedited proceedings ........................
Consolidation; separate hearings ........
Prehearing conference ........................
18.27
18.28
Notice of hearing .................................
Continuances .......................................
18.42
18.11
18.8
Expedited proceedings ........................
Consolidation of hearings ....................
Prehearing conferences .......................
Fed. R. Civ. P. 42
Fed. R. Civ. P. 16
DISCLOSURE AND DISCOVERY
18.50 ........
18.51 ........
18.52 ........
18.53 ........
18.54 ........
18.55 ........
18.56 ........
18.57 ........
General provisions governing disclosure and discovery.
Discovery scope and limits ..................
Protective orders ..................................
Supplementing disclosures and responses.
Stipulations about discovery and procedure.
Using depositions at hearings .............
Subpoena .............................................
Failure to make disclosures or to cooperate in discovery; sanctions.
..............................
..............................................................
18.14
18.15
18.16
Scope of discovery ..............................
Protective orders ..................................
Supplementation of responses ............
Fed. R. Civ.
(f), (g)
Fed. R. Civ.
Fed. R. Civ.
Fed. R. Civ.
P. 26(a), (d),
18.17
Stipulations regarding discovery ..........
Fed. R. Civ. P. 29
18.23
18.24
18.21
Use of depositions at hearings ............
Subpoenas ...........................................
Motion to compel discovery .................
Fed. R. Civ. P. 32
Fed. R. Civ. P. 45
Fed. R. Civ. P. 37
P. 26(b)
P. 26(c)
P. 26(e)
TYPES OF DISCOVERY
Interrogatories to parties ......................
Producing documents, electronically
stored information, and tangible
things, or entering onto land, for inspection and other purposes..
Physical and mental examinations ......
18.18
18.19
18.62 ........
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18.60 ........
18.61 ........
18.63 ........
18.64 ........
18.65 ........
Requests for admission .......................
Depositions by oral examination .........
Depositions by written questions .........
18.20
18.22
..............................
18.19
Written interrogatories to parties/ ........
Production of documents and other
evidence; entry upon land for inspection and other purposes; and
physical and mental examination.
Production of documents and other
evidence; entry upon land for inspection and other purposes; and
physical and mental examination.
Admissions ...........................................
Depositions by oral examinations ........
..............................................................
DISPOSITION WITHOUT HEARING
18.70 ........
18.71 ........
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Motions for dispositive action ..............
Approval of settlement and consent
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Fed. R. Civ. P. 34
Fed. R. Civ. P. 35
Fed. R. Civ. P. 36
Fed. R. Civ. P. 30
Fed. R. Civ. P. 31
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PART 18, SUBPART A—CROSS REFERENCING CHART—Continued
New
section
New section title
18.72 ........
Summary decision ...............................
Old section
18.40/18.41
Federal rule of civil
procedure
Old section title
18.40, Motion for summary decision
merged with 18.41, Summary decision.
Fed. R. Civ. P. 56
HEARING
18.80 ........
18.81 ........
18.82 ........
Prehearing statement ..........................
Formal hearing .....................................
Exhibits ................................................
18.7
18.43
18.47/18.48 18.49/
18.50
18.83 ........
18.84 ........
18.85 ........
Stipulations ..........................................
Official notice .......................................
Privileged, sensitive, or classified materials.
Hearing room conduct .........................
Standards of conduct ...........................
Transcript of proceedings ....................
18.51
18.45
18.46/18.56
18.86 ........
18.87 ........
18.88 ........
18.37
18.36
18.52
Prehearing statements .........................
Formal hearings ...................................
Exhibits/records in other proceedings/
designation of parts of documents/
authenticity.
Stipulations ..........................................
Official notice .......................................
In camera and protective orders/restricted access.
Hearing room conduct .........................
Standards of conduct ...........................
Record of hearings ..............................
Fed. R. Civ. P. 43(a)
POST HEARING
18.90 ........
18.54/18.55
18.91 ........
Closing the record; additional evidence.
Post-hearing brief ................................
18.92 ........
Decision and order ..............................
18.57
18.93 ........
18.94 ........
Motion for reconsideration ...................
Indicative ruling on a motion for relief
that is barred by a pending petition
for review.
Review of Decision ..............................
..............................
..............................
Closing the record/receipt of documents after hearing.
Decision of the administrative law
judge and post-hearing briefs.
Decision of the administrative law
judge and post-hearing briefs.
..............................................................
..............................................................
18.58
Appeals ................................................
18.95 ........
18.57
Fed. R. Civ. P. 59(e)
Fed. R. Civ. P. 62.1
DELETED SECTIONS
Deleted
Deleted
Deleted
Deleted
Deleted
.................................................
.................................................
.................................................
.................................................
.................................................
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General Provisions
§ 18.10 Scope and purpose.
The Department proposes to remove
the current § 18.1 and add § 18.10. The
proposed § 18.10 is modeled after Fed.
R. Civ. P. 1.
As in the current rule, the proposed
rule states that in the event the
procedures in Part 18, Subpart A are
inconsistent with a governing statute,
regulation, or executive order, the latter
controls. The Department recognizes
that specific procedural regulations
have already been promulgated for some
statutes under which administrative law
judges adjudicate cases, and that these
regulations may prescribe procedures
inconsistent with these proposed rules.
The Department has found that the
phrase ‘‘rule of special application’’ has
not clearly conveyed the intent of this
sentence. Thus, proposed § 18.10
rephrases this sentence as follows: ‘‘To
the extent that these rules may be
inconsistent with a governing statute,
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18.13
18.32
18.33
18.53
18.59
Discovery methods ..............................
Separation of functions ........................
Expedition ............................................
Closing of hearings ..............................
Certification of official record ...............
regulation, or executive order, the latter
controls. If a specific Department of
Labor regulation governs a proceeding,
the provisions of that regulation apply,
and these rules apply to situations not
addressed in the governing regulation.’’
Subdivision (a) recognizes that some
of the Department’s regulations
involving proceedings before OALJ
include extremely detailed procedures
and requirements. These rules do not
address requirements that are specific to
certain types of cases. For example, the
regulations for Black Lung
compensation benefits proceedings, at
20 CFR parts 718 and 725, include
specific evidentiary limitations (see 20
CFR 725.414). Similarly, the regulations
in both Black Lung and Longshore
compensation cases require that
hearings be held within 75 miles of the
claimants residence if possible. See 20
CFR 725.454(a), 702.337(a).
Additionally, the Department
recognizes that the provisions of a
specific regulation may be inconsistent
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with these rules. In such event, the
specific regulation—and not these
rules—applies. For example, in a case
arising under the Black Lung Benefits
Act, there is inconsistency between the
regulation at proposed § 18.93, Motion
for reconsideration, which provides
parties 10 days after service of the
judge’s decision and order to file a
motion for reconsideration, and the
black lung regulation at 20 CFR
725.479(b), which provides 30 days after
the filing of the judge’s decision and
order to file a motion for
reconsideration. Because the regulations
at 20 CFR part 725 govern proceedings
arising under the Black Lung Benefits
Act, the regulation at sec. 725.479(b)
would control.
The Department proposes to relocate
the language from current § 18.26 to
proposed § 18.10 because it is more
properly located with the other general
guiding principles. The Department
proposes to clarify the meaning of
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current § 18.26 under subdivision (b).
First, current § 18.26 only references
sec. 554 of the APA. However,
Subchapter II of Chapter 5 of the APA
determines how the entire proceeding,
including the hearing, will be
conducted. Accordingly, the proposed
rule revises and expands the reference
to include all of Subchapter II, instead
of only referencing sec. 554. Second,
Subchapter II instructs how the entire
proceeding should be conducted;
accordingly, the reference to hearings in
the current rule was changed to
proceedings in order to encompass the
entire process of adjudicating a case
before OALJ.
The current § 18.1(b)—renumbered as
§ 18.10(c)—is revised to improve the
clarity of the rule. The Department does
not propose changes to the judge’s
ability to waive, modify, or suspend the
rules by these revisions.
§ 18.11 Definitions.
The Department proposes to revise
the current § 18.2 and renumber it as
§ 18.11. The definitions in § 18.2
supplement the definitions stated in sec.
551 of the Administrative Procedure
Act. The Department proposes to amend
the opening sentence of this section by
referencing the definitions provided in
sec. 551 of the Administrative
Procedure Act. The definitions in sec.
551 apply to OALJ proceedings.
The Department proposes to delete
the following terms from the current
§ 18.2: (a), Adjudicatory proceeding; (c),
Administrative Procedure Act; (d),
Complaint; (g), Party; (h), Person; (i),
Pleading; (j), Respondent; (k), Secretary;
(l), Complainant; (m), Petition; (n),
Consent Agreement; (o),
Commencement of Proceeding. Except
for the ‘‘Administrative Procedure Act,’’
those terms are no longer used in the
proposed revisions to the rules or sec.
551 of the APA defines the term. When
a proposed section references the
Administrative Procedure Act, the name
of the Act and the appropriate section
number is stated.
The Department proposes to define
the following terms that are not defined
by the APA: (a), Calendar call; (b), Chief
Judge; (c), Docket clerk; and (h),
Representative. The terms ‘‘calendar
call,’’ ‘‘docket clerk’’ and
‘‘representative’’ are used with more
frequency in the proposed revision of
the rules. The Department proposes to
define ‘‘Chief Judge’’ to clarify that the
term also includes a judge to whom the
Chief Judge delegates authority. The
Department proposes to define
‘‘representative’’ to clarify that, unless
otherwise specified, the term applies to
all representatives who represent a
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person or party before OALJ. The
Department proposes to define ‘‘docket
clerk’’ to clarify current practice before
OALJ. When a case is first filed with
OALJ it is received by the Chief Docket
Clerk in the national office located in
Washington, DC. But once a case is
assigned to a judge in a district office all
filings should be made with the docket
staff in that office.
The Department proposes to amend
the definitions of the following terms to
improve clarity and specificity: (d),
Hearing; (e), Judge; (f), Order; and (g),
Proceeding. The Department proposes to
expand the definition of ‘‘hearing’’ to
encompass more than sessions where
evidence is submitted. Hearings to
determine issues of fact may rely on
official notice rather than oral testimony
subject to cross examination, and
hearings to determine issues of law may
not require the submission of evidence.
The Department proposes to revise the
definition of ‘‘judge’’ to eliminate the
reference in the current rule to presiding
officers not appointed as administrative
law judges pursuant to 5 U.S.C. 3105.
The Department proposes to revise
the definition of ‘‘order’’ and delete the
reference in the current rule to
rulemaking. The Part 18, Subpart A
rules and these proposed revisions
apply to the adjudication of cases and
not rulemaking. This reference is
therefore superfluous. The Department
proposes to revise the definition of
‘‘proceeding’’ to avoid defining a term
using the term itself; the proposed
definition provides a more accurate
definition, one that includes the
creation of a record leading to an
adjudication or order.
§ 18.12 Proceedings before
administrative law judge.
The Department proposes to revise
the current §§ 18.25 and 18.29(a) and
combine the content into proposed
§ 18.12.
The proposed § 18.12 is divided into
two subdivisions: designation and
authority. The Department proposes to
relocate the content of current § 18.25 to
proposed § 18.12(a). This section
incorporates the revised definition of
‘‘judge’’ and ‘‘Chief Judge’’ from
proposed § 18.11.
The Department proposes to relocate
the content of current § 18.29(a) to
proposed § 18.12(b). The enumerated
powers of the judge in the proposed
subdivision (b) are similar to those
listed in sec. 556 of the APA (5. U.S.C.
556) and those listed in the current
§ 18.29(a), except for stylistic changes.
For example, proposed subparagraphs
(b)(4), (b)(5) and part of (b)(2) are taken
directly from sec. 556. Under
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subdivision (b), the Department clarifies
that OALJ may conduct hearings as
determined by the Secretary of Labor
when no statute entitles a person to an
‘‘on the record’’ hearing. The proposed
subparagraph (b)(1) is meant to clarify
the administrative law judge’s powers to
regulate both formal and informal
proceedings, including setting
prehearing conferences, and when
appointed as a settlement judge, to
conduct settlement conferences. The
current § 18.29 (a)(1) only addresses
formal hearings. The current
§ 18.29(a)(6) and (a)(9) has been deleted
because these provisions are redundant
of the proposed introductory statement.
The difference between paragraph
(b)(3) and (b)(4) is that the former
applies to parties to the cause of action
whereas the later applies to non-parties.
Under (b)(3) judges have the authority to
grant motions to compel a party to
respond to a request for the production
of documents, requests for written
responses to interrogatories, requests for
admission, and attendance at a
proceeding. Issuing subpoenas
authorized by law is the only way a
judge can exercise control over nonparties.
The Department proposes to delete
current § 18.29(b), because its content is
addressed in the applicable statutes
(e.g., 33 U.S.C. 927(b)(Longshore and
Harbor Workers’ Compensation Act).
§ 18.13 Settlement judge procedure.
The Department proposes to revise
the current § 18.9 and renumber it as
proposed § 18.13.
There are three topics addressed in
the current § 18.9: (1) Motions for
consent findings and order; (2) approval
of settlement agreements; and (3) the
settlement judge procedure. Motions for
approval of a settlement agreement and
for a consent finding and order (current
§ 18.9 (a)–(d)) are now addressed in the
proposed § 18.71, Approval of
settlement or consent findings).
Proposed § 18.13 provides the
procedures for parties wishing to use
the settlement judge process. The
revisions to the previous subdivision (e)
are largely structural and stylistic.
Under proposed subdivision (c) the
Department proposes to extend the
number of days for the settlement
proceeding from 30 to 60 days. Based on
OALJ’s experience related to Longshore
and Harbor Worker’s Compensation Act
cases, 30 calendar days is not enough
time to complete a settlement
agreement. For example, parties may
need more than 30 days in cases dealing
with location issues, or Medicare set
asides, or in international negotiations
under the Defense Base Act.
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The Department proposes to delete
the cross-referencing clause in current
subdivision (d) because it is inherent
within the rule that a settlement judge’s
powers terminate immediately if
settlement negotiations are terminated.
Under proposed subdivision (f) the
Department proposes to provide the
settlement judge the option of
conducting the settlement conference in
the manner he or she considers most
appropriate, giving the settlement judge
wider discretion over the mode of the
settlement conference. The current
§ 18.9 requires the settlement judge to
conduct the settlement conference by
telephone, except in specific situations.
The Department determined that
telephone conferences have not been the
most expedient way to conduct
settlement conferences; therefore the
proposed change expands the judge’s
authority to determine what process the
parties want to use and to best utilize
changing technology.
Under the proposed subdivision (g)
the Department proposes to delete the
language in current § 18.9(e)(8)
regarding the inadmissibility of
settlement statements and conduct
because the confidentiality of dispute
resolution communications is now
extensively addressed by the
Administrative Dispute Resolution Act.
See 5 U.S.C. 574.
The Department proposes to delete
the current § 18.9(e)(9) because the
requirements for a consent order or
settlement agreement are generally
covered by the governing statute or
implementing regulation. This language
is possibly misleading because it
implies that all settlements must have
the elements of consent findings. There
are also additional requirements found
in specific regulations. See, e.g., Clean
Air Act 29 CFR 1979.11(d)(2) and
Longshore and Harbor Worker’s
Compensation Act 20 CFR 702.242 and
702.243.
The language from the current
§ 18.9(e)(10) is relocated to proposed
subdivision (h). The Department is
extending the period of time parties
have to submit the required settlement
documents to the presiding judge from
7 days to 14 days. This will allow
parties additional time to draft the
settlement documents and will decrease
the number of requests for an extension
of time.
§ 18.14 Ex parte communication.
The Department proposes to revise
the current § 18.38 and renumber it as
proposed § 18.14.
The Department proposes stylistic
changes to the current § 18.38,
specifically subdivision (a). The
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language in the proposed rule clarifies
that the prohibition against ex parte
communication applies to the parties,
their representatives, and other
interested persons, as well as the judge.
The Department proposes to change
‘‘any person’’ to ‘‘interested persons’’ to
be consisted with the Administrative
Procedure Act. See 5 U.S.C.
557(d)(1)(A).
The Department proposes to delete
the description of ex parte
communication; however, this change is
not intended to change the definition of
ex parte communication. The
notification of procedural request
requirement is now covered by
proposed §§ 18.33, Motions and other
papers, and 18.41, Continuances and
changes in place of hearing.
The Department deleted the current
subdivision (b), Sanctions, because
sanctions are covered in applicable
statutes. In particular, the
Administrative Procedure Act provides
an option of imposing sanctions
following ex parte communications if
sufficient grounds exist. See 5 U.S.C.
556(d)(2000); 5 U.S.C. 557(d)(1). Section
5 U.S.C. 557(d)(1)(D) gives the
administrative law judge broad
authority to sanction any knowing
violation of the APA’s prohibition on ex
parte contacts. Accordingly, it is
unnecessary to repeat the statute in
these regulations.
§ 18.15 Substitution of administrative
law judge.
The Department proposes to revise
the current § 18.30 and renumber it as
proposed § 18.15.
The Department proposes to change
the title of this section to ‘‘Substitution
of administrative law judge’’ to more
accurately reflect the procedure
provided by the rule—how a substitute
judge is appointed when the presiding
judge becomes unavailable.
The Department proposes a revision
to the current subdivision (a) modeled
after Fed. R. Civ. P. 63. The Department
proposes to require the successor judge
to certify that he or she is familiar with
the record before continuing with the
presentation of the evidence. Included
in this subpart is a reference to
proposed § 18.12, the section that
defines the procedure for appointing a
judge to a case.
Under the proposed subdivision (b),
the Department proposes to codify the
longstanding Department of Labor
policy, based on Strantz v. Director,
OWCP, 3 B.L.R. 1–431 (1981), of
notifying the parties that the original
judge is no longer available, allowing
them to object to the successor judge
issuing a decision based on the existing
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record, and ordering supplemental
proceedings upon a showing of good
cause.
Finally, administrative need within
OALJ routinely requires that cases be
reassigned among judges prior to the
submission of evidence, such as where
a case is continued prior to a scheduled
docket. The proposed § 18.15 does not
affect those reassignments.
§ 18.16
Disqualification.
The Department proposes to revise
the current § 18.31 and renumber it as
proposed § 18.16. The proposed
revisions are largely stylistic.
Under subdivision (a), the Department
proposes to delete the current notice
requirement; however, this is not a
procedural change. Parties will be
notified when a presiding judge has
disqualified himself or herself in due
course with the appointment of a new
judge.
The current § 18.31 requires a motion
to disqualify to be accompanied by a
supporting affidavit. The Department
proposes to clarify in § 18.16(b) that as
an alternative or addition to a
supporting affidavit a motion to
disqualify may be accompanied by
supporting declarations or other
documents. A presiding judge who
receives a motion to disqualify must
rule on the motion in a written order
that states the grounds for the ruling.
The Department proposes to delete
the current subdivision (c), which
provides that the Chief Judge will
appoint a new presiding judge if a judge
recuses himself or herself. This
procedure is covered by the substitution
provisions of proposed § 18.15 and,
therefore, is superfluous here.
§ 18.17
Legal assistance.
The Department proposes to revise
the current § 18.35 and renumber it as
proposed § 18.17. The Department
proposes largely stylistic revisions to
this section. The rule continues to be
that OALJ does not appoint
representatives or refer parties to
representatives. In addition, the
Department proposes to revise this
section to expressly state that OALJ does
not provide legal assistance to parties.
The Department proposes to change the
reference to ‘‘counsel’’ to
‘‘representative’’ because the former is
too narrow and does not include nonattorney representatives.
Parties and Representatives
§ 18.20
Parties to a proceeding.
The Department proposes to revise
the current § 18.10 and renumber it as
proposed § 18.20.
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The Department proposes to delete
the definition of ‘‘party’’ in the current
subdivision (a) because this definition is
provided in the APA. See 5 U.S.C.
551(3).
The current § 18.10 includes
provisions regarding how a party may
intervene in a case. The Department
proposes to delete subdivisions (b)–(d)
because impleading and intervention
are rare circumstances before OALJ. If
circumstances require, then the parties
or judge may refer to the Fed. R. Civ. P.
19, Required joinder of parties, Fed. R.
Civ. P. 20, Permissive joinder of parties,
and Fed. R. Civ. P. 24, Intervention. As
set forth in proposed § 18.10(a) the rules
of civil procedure will apply to
circumstances not covered by the
Department’s rules.
§ 18.21 Party appearance and
participation.
The Department proposes to revise
and combine the current §§ 18.34(a) and
18.39 into proposed § 18.21, Party
appearance and participation, because
both address a party’s right to appear.
The Department proposes to relocate
the content from the current § 18.34(a)
to proposed § 18.21(a). This subpart
states that a party has a right to appear
and participate in a proceeding in
person or through a representative. The
enumeration of the rights currently
included in § 18.34(a) is summarized by
the words ‘‘appear and participate in the
proceeding.’’ The current § 18.34(a)
addresses the possible actions a party
may take during the course of a
proceeding as provided by the rules.
The Department proposes to delete this
language because these actions are
covered by other sections within the
Rules, most specifically within Title III:
Filings, Title V: Discovery, and Title
VIII: Hearings.
The proposed subdivisions (b) and (c)
are based on the current § 18.39(a) and
(b), respectively. The Department has
removed the 10-day timeframe with the
intention that the presiding judge will
set an appropriate time for response.
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§ 18.22
Representatives.
The Department proposes to revise
the current § 18.34 and renumber it as
proposed § 18.22.
The Department proposes to narrow
the scope of proposed § 18.22 so that it
functions as a list of qualifications and
duties for attorneys and non-attorney
representatives who represent parties
before OALJ. The content from the
current subdivision (a) is not included
in proposed § 18.22, as explained in the
note to the proposed § 18.21, Party
appearance and participation.
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The Department proposes not to
include the content from current
subdivisions (c) through (f) in proposed
§ 18.22 because the substantive rights of
parties and subpoenaed witnesses are
delineated by other regulations under
Part 18, Subpart A.
The Department proposes to relocate
the current subdivision (b) to
subdivision (a), Notice of appearance.
Under the proposed subdivision (a), the
Department clarifies that each
representative must file a ‘‘notice of
appearance’’ when first making an
appearance and that the notice is to
include the statements and
documentation required for admission
to appear as either an attorney or nonattorney representative. This provision
codifies current practice and clarifies
the timing of when the ‘‘notice of
appearance’’ must be filed.
The Department proposes to relocate
the current subdivision (g) to proposed
subdivision (b), Categories of
representation; admission standard.
Under proposed paragraph (b)(1), the
Department defines the terms
‘‘attorney’’ and ‘‘attorney
representative’’ under the proposed
rules. The current § 18.34(g) uses the
phrase ‘‘attorney at law’’ to describe
whose appearance is governed by
current subsections (g)(1) and (g)(2);
however, the Department proposes to
delete this phrase from the proposed
rules because it is ambiguous. As in the
current § 18.34, an attorney who is in
good standing in his or her licensing
jurisdiction may represent a party or
subpoenaed witness. An attorney’s own
representation of good standing is
sufficient proof thereof, unless
otherwise directed by the judge. Under
new subparagraph (b)(1)(B), an attorney
who is not in good standing in his or her
licensing jurisdiction will not be
permitted to appear before OALJ unless
that attorney establishes in writing why
the failure to maintain good standing is
not disqualifying.
The Department proposes to add a
new provision under subparagraph,
(b)(1)(C) Disclosure of discipline, that
places the duty on an attorney to
promptly disclose to the judge any
current action suspending, enjoining,
restraining, disbarring, or otherwise
restricting him or her in the practice of
law.
Under the proposed paragraph (b)(2),
the Department clarifies that an
individual who is not an attorney may
represent a party or a subpoenaed
witness upon the judge’s approval. The
Department proposes to clarify what
information must be included in a
written request to serve as a nonattorney representative and provides the
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standard the judge will use to determine
whether the non-attorney representative
has the qualifications or ability to
render assistance. The judge may deny
a person’s request to serve as a nonattorney representative only after
providing the party or subpoenaed
witness with notice and an opportunity
to be heard.
The Department proposes to add
subdivisions (c), Duties, (d), Prohibited
actions, and (e), Withdrawal of
appearance, to proposed § 18.22. In
subdivision (c), the Department
determined that the best approach to
determining the governing code of
conduct is to require attorneys to adhere
to the rules of conduct of their licensing
jurisdiction. Under subdivision (d), the
Department proposes to state specific
actions a representative is prohibited
from taking while representing a party
before OALJ. The proposed subdivision
(e) provides the procedure for a
representative of record to withdraw as
a representative before OALJ and
codifies current practice.
§ 18.23 Disqualification and discipline
of representatives.
The Department determined that a
separate rule identifying the grounds
and creating procedures for
disqualification of a representative was
appropriate. The proposed § 18.22,
Representatives, addresses a
representative’s qualifications and
duties. The proposed § 18.87, Standards
of conduct, creates a procedure for
excluding a party or representative for
poor behavior during the course of a
particular proceeding. The Department
determined that the grounds and
procedures for disqualifying a
representative are distinct and separate
from the concepts addressed in the
current §§ 18.34 and 18.36, and,
accordingly, proposes § 18.23.
The proposed § 18.23 deals with both
the disqualification of lawyers from
practicing before the Department
because professional discipline has been
imposed on them in other jurisdictions,
and discipline the Department itself
may impose on lawyers or other
representatives who misbehave during
administrative litigation.
Lawyers traditionally have been
regulated under a state-centered regime
of professional self-regulation, in which
federal administrative agencies played
no role. State supreme courts, the
admitting and disciplinary authority for
their states’ lawyers, often delegate to
the state bar association the regulatory
task of writing advisory ethics opinions;
they also rely heavily on the American
Bar Association to develop model ethics
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rules and to suggest how to structure
their systems of lawyer discipline.
Administrative agencies may
discipline lawyers who represent clients
before them. Before the advent of the
Administrative Procedure Act, the U.S.
Supreme Court recognized that quasijudicial agencies empowered to adopt
rules of procedure could set admission
requirements. Goldsmith v. U.S. Bd. of
Tax Appeals, 270 U.S. 117, 122 (1926).
The legislative history of sec. 6(a) of the
federal Administrative Procedure Act
‘‘leaves no doubt that Congress intended
to keep unchanged the agencies’
existing powers to regulate practice
before them.’’ 5 U.S.C. 555(b); Attorney
General’s Manual on the Administrative
Procedure Act (U.S. Dep’t of Justice
1947) (hereinafter Attorney General’s
Manual), at 65.
Congress later abolished nearly all
agency requirements for admission to
practice with the Agency Practice Act of
1965. 5 U.S.C. 500(b), first enacted in
Public Law 89332, 79 Stat. 1281, later
incorporated into the U.S. Code by
Public Law 9083, 81 Stat. 195 (Sept. 11,
1967) (with minor stylistic changes). See
also the Report to Accompany S. 1758,
House Committee on the Judiciary, H.R.
Rep. No. 1141, 89th Cong., 1st
Sess.(1965), reprinted in 1965 U.S. Code
Cong. & Admin. News, 89th Cong., 1st
Sess at 4170. Any lawyer who is a
member in good standing of a state bar
could practice before federal agencies,
unless an agency is authorized to
impose additional requirements,
something Congress did for the Patent
and Trademark Office. 5 U.S.C.
500(d)(4). The Agency Practice Act is
neutral on the authority of agencies to
discipline representatives, including
lawyers. 5 U.S.C. 500(d)(2) (stating that
the Agency Practice Act does not
‘‘authorize or limit the discipline,
including disbarment, of individuals
who appear in a representative capacity
before an agency.’’). The courts of
appeals read the authority to adopt rules
of practice and procedure as power to
discipline the wayward, to protect the
integrity of the agency’s procedures and
the public generally. Polydorff v. ICC,
773 F.2d 372 (DC Cir. 1985) (upholding
the authority of the ICC to discipline an
attorney); Touche Ross & Co. v. SEC,
609 F.2d 570, 581–582 (2d Cir. 1979)
(upholding the authority of the SEC to
discipline accountants who practice
before it); Koden v. U.S. Dep’t of Justice,
564 F.2d 228 (7th Cir. 1977) (upholding
the authority of the Immigration and
Naturalization Service to discipline
attorneys who appeared before it).
According to the Reporter for the
American Bar Association Special
Committee on Evaluation of Ethical
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Standards, who drafted the Model Code
of Professional Responsibility a
generation ago, the ABA has long stated
that its ethical standards apply to the
conduct of lawyers before all
adjudicatory entities. Michael P. Cox,
Regulation of Attorneys Practicing
Before Federal Agencies, 34 Case W.
Res. L. Rev 173, 202 & n. 132 (1982).
The ABA Model Rules of Professional
Conduct were adopted by the ABA
House of Delegates in 1983, and have
been amended several times thereafter.
They serve as models for the legal ethics
rules of most states. The current ABA
Model Code of Professional Conduct
(2010) imposes many obligations on
trial lawyers. Among them are duties to
exhibit candor; to follow procedural
rules; to deal fairly with opposing
parties and their lawyers, including the
obligation to turn over evidence in
discovery and refrain from altering
evidence; and to avoid disruptive
behavior. See Model Rules 3.3; 8.4 (c)
and (d); 3.4(a) and (c); and 3.5(d). All
apply to lawyers who practice before
‘‘tribunals,’’ a term that specifically
embraces administrative agencies as
well as courts. See Model Rule 1.0(m).
The Department proposes to divide
§ 18.23 into four subdivisions: (a),
Disqualification, (b), Discipline, (c),
Notification, and (d), Reinstatement.
Under subdivision (a), the Department
proposes to regulate lawyers who gained
the right to practice before the
Department through admission to the
bar of the highest court of a State or
similar governmental unit, but lost it or
had the right to practice limited due to
a criminal conviction or proven
professional misconduct. The
Department proposes that
representatives qualified under
proposed § 18.22 may be disqualified
upon conviction of any of the serious
crimes described in subparts (a)(1)(A)
and (B).
A lawyer may also become
disqualified under subparts (a)(1)(C) and
(D), as reciprocal discipline when
another jurisdiction finds the lawyer
guilty of professional misconduct, or the
lawyer consents to disbarment,
suspension, or resigns while an
investigation into allegations of
misconduct is pending. Federal courts
routinely enforce reciprocally any
limitations on practice state courts have
imposed, after satisfying themselves that
those disciplinary proceedings met the
substantive requirements the U.S.
Supreme Court set nearly a century ago
in Selling v. Radford, 243 U.S. 46
(1917). The Department has relied on
this rule, and given reciprocal effect to
discipline state courts imposed on
lawyers who have appeared before the
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Department’s administrative law judges.
In The Matter of the Qualifications of
Edward A. Slavin, Jr., ARB Case No. 05–
003, OALJ Case No. 2004–MIS–5 (Nov.
30, 2005), also available at 2005 WL
3263825 (DOL Adm.Rev.Bd).
Lawyers who litigate before the
Department are expected to adhere to
the rules of conduct promulgated by the
jurisdiction(s) where they are admitted
to practice, which typically are founded
on the American Bar Association’s
Model Rules of Professional Conduct.
Contumacious behavior, the violation of
the rules of practice the Department has
adopted, or failure to follow the
procedural dictates of a governing
statute, program regulation or of a
judge’s order also opens the lawyer to
discipline by the Department. See
proposed § 18.23 (b)(1). State supreme
courts have disciplined lawyers for
misconduct in litigation before the
Department.
Under paragraph (a)(2), the Chief
Judge must provide notice and an
opportunity to be heard as to why the
representative should not be
disqualified from practice before the
Office of Administrative Law Judges.
The Chief Judge’s determination must
be based on the ‘‘reliable, probative and
substantial evidence of record,
including the notice and response.’’
Under subdivision (b), the
Department proposes the procedure for
disciplinary proceedings initiated
because of a representative’s conduct
before OALJ. The disciplinary
procedure is structured so that the
representative’s conduct and defense
will be reviewed by a presiding judge,
who applies the APA’s review standard
of reliable, probative, and substantial
evidence of record. The representative
may appeal the presiding judge’s
decision to the Chief Judge who reviews
the decision under the substantial
evidence standard. The Chief Judge’s
decision is not subject to review within
the Department of Labor. The proposed
§ 18.95, Review of Decision, provides
that the statute or regulation that
conferred hearing jurisdiction provides
the procedure for review of a judge’s
decision. If the statute or regulation
does not provide a procedure, the
judge’s decision becomes the Secretary’s
final administrative decision.
Under subdivision (c), the Department
proposes to provide notice that when an
attorney representative is suspended or
disqualified by OALJ, the Chief Judge
will alert the attorney’s licensing
jurisdiction(s) and the National Lawyer
Regulatory Data Bank by providing a
copy of the decision and order. The
National Lawyer Regulatory Data Bank
is the national clearing house of
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disciplinary information, maintained by
the American Bar Association Standing
Committee on Professional Discipline.
All states and the District of Columbia,
as well as many federal courts and some
agencies, provide disciplinary
information to the Data Bank. See
https://www.americanbar.org/groups/
professional_responsibility/services/
databank.html.
Under subdivision (d), the
Department proposes the procedure a
representative suspended or
disqualified under this section must
follow to request reinstatement to
practice before OALJ.
§ 18.24
Briefs from amicus curiae.
The Department proposes to delete
the current § 18.12 and replace it with
proposed § 18.24.
The title of § 18.24 was drafted to
emphasize that an amicus curiae may
participate in a proceeding only by
filing a brief. The final statement that an
amicus curiae brief must be filed by the
close of the hearing was added to
provide a timeframe for filing. If an
amicus curiae wishes to participate in
the formal hearing, then the person or
organization must petition the judge to
participate as an intervenor.
Service, Format and Timing of Filings
and Other Papers
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§ 18.30
Service and filing.
The Department proposes to revise
the current § 18.3 and renumber it as
proposed § 18.30. The proposed § 18.30
is modeled after Fed. R. Civ. P. 5. In the
current Part 18, Subpart A rules service
and filing requirements are listed under
several sections. The Department
proposes to delete those references and
have this section address all the general
service and filing procedures.
Similar to Fed. R. Civ. P. 5, the
Department proposes to restructure the
current § 18.3 into two subparts: (a),
Service on parties and (b), Filing with
Office of Administrative Law Judges.
Portions of the current subdivision (a)
and subdivision (e) that address the
actual form of filings are not included
in proposed § 18.30 and are instead
addressed in proposed § 18.34, Format
of papers filed. For example, current
subdivision (a) states: ‘‘All documents
should clearly designate the docket
number, if any, and short title of the
matter.’’ This language is included in
proposed § 18.34.
The Department proposes to
incorporate the content from the current
subdivision (d) into proposed
subdivision (a) because the service
process is the same for all papers,
including complaints.
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Under subdivision (a), the Department
proposes to provide general guidance on
how parties are served. The Department
proposes to add a certificate of service
requirement under subparagraph (a)(3).
The current Part 18, Subpart A does not
define a certificate of service, so
including the definition in the service
and filing section clarifies the
requirements of certifying that a paper
was served on another party. In the past,
pro se parties before OALJ have failed
to provide certificates of service,
requiring judges to follow up with the
other parties to the case to verify that a
paper was served.
In order to distinguish between a
clerk employed at a party’s place of
business and the OALJ clerk who
receives documents for the Office, the
Department proposes to amend item
(a)(2)(B)(iv) and paragraph (b)(2) by
adding the term ‘‘docket clerk.’’ Docket
clerk is defined in proposed § 18.2,
Definitions, to clarify that the docket
clerk is the Chief Docket Clerk at the
Office of Administrative Law Judges in
Washington, DC or, once a case is
assigned to a judge in a district office,
the docket staff in that office.
Under proposed subdivision (b), the
Department specifies the procedure for
filing papers with OALJ. Under
subparagraph (b)(1), parties are required
to file within a reasonable time papers
served on other parties or participants.
However, like the current rule, parties
are not required to file discovery
documents, unless the judge orders or
the party uses them in the proceeding.
The required filing provision also
extends to any required disclosures
ordered by the judge under § 18.50,
General provisions governing discovery
and disclosure.
The Department proposes to provide
the procedure for filing by facsimile in
proposed subparagraph (b)(3)(A)—
currently subdivision (f). In recognition
of OALJ’s nationwide jurisdiction and
circumstances requiring last-minute
filings, the Department proposes to
clarify that parties may file by facsimile
only as directed or permitted by the
judge.
The Department proposes to relocate
the content from the current
subdivisions (f)(6) and (g) to proposed
subdivision (b) because theses
subdivisions address those parts of the
filing process.
The Department proposes to delete
the current (f)(3) because paragraph
(a)(3) will apply in all cases. The
proposed section adds a specific
mechanism by which the parties can
establish that the fax was sent and
received and puts the burden on the
party to maintain the original document.
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The Department proposes to delete
the current (f)(7) to limit the use of fax
submissions to times when ordered by
the Judge.
§ 18.31 Privacy protection for filings
and exhibits.
Proceedings before OALJ are open to
the public. The current Part 18, Subpart
A does not include a privacy
requirement that parties redact personal
data identifiers from filings. OALJ has a
policy statement encouraging such
redaction, but the notice is advisory, not
mandatory. See www.oalj.dol.gov/
ACCESS_TO_COURT_RECORDS.HTM/.
The 2007 revision of the FRCP
included the addition of Fed. R. Civ. P.
5.2 in response to the E-Government Act
of 2002, 44 U.S.C. 3501. The Advisory
Committee Note addressing Fed. R. Civ.
P. 5.2 states that the privacy and
security concern addressed by this rule
is the electronic availability of filed
documents. The scope of Fed. R. Civ. P.
5.2 is limited to filings with the court,
and extends to trial exhibits when they
are filed with the court.
The Department proposes a privacy
protection rule based on Fed. R. Civ. P.
5.2 which will serve two agency-specific
purposes. Like Fed. R. Civ. P. 5.2,
proposed § 18.31 will reach any
electronic filings with OALJ. In
addition, § 18.31 will clarify the job of
the Freedom of Information Act officer
who reviews files in the case of a FOIA
request. As a result of the broader
purpose of OALJ’s privacy protection
rule, the § 18.31 extends to filings and
exhibits. The majority of personal
information to be redacted by the FOIA
officer is contained in the exhibits, not
the filings.
The proposed subdivision (a) lists the
personal data identifiers that parties
must redact from filings submitted to
OALJ, unless the judge orders
otherwise. The Department also lists
filings that are exempted from the
redaction requirement under proposed
subdivision (b). Under subdivision (b),
OALJ has exempted the record of
administrative proceedings and exhibits
filed within the Department of Labor
and submitted to OALJ.
Under subdivision (c), the Department
proposes to provide parties with the
option to file a reference list of redacted
information. The term ‘‘redacted’’ is
intended to govern a filing that is
prepared with abbreviated or blockedout identifiers in the first instance, as
well as a filing in which a personal
identifier is edited after its preparation.
Under subdivision (d), the
Department proposes to allow a person
to waive the protections of the rule as
to that person’s own personal
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information by filing it unsealed and in
unredacted form. One may wish to
waive the protection if it is determined
that the costs of redaction outweigh the
benefits to privacy. If a person files an
unredacted identifier by mistake, that
person may seek relief from the judge.
The proposed subdivision (d)
provides that a judge may, for good
cause, require more extensive protection
of material than otherwise required by
this section. The Department does not
intend for this subdivision to affect the
limitations on sealing that are otherwise
applicable to the judge. See § 18.85,
Privileged, sensitive and classified
material.
§ 18.32 Computing and extending
time.
The Department proposes to delete
the current § 18.4 and replace it with
proposed § 18.32. The proposed § 18.32
is modeled after Fed. R. Civ. P. 6.
References to service and filing in the
current § 18.4 are now addressed in
proposed § 18.30, Service and filing.
The Department proposes to increase
the scope of the computation provisions
in current § 18.4(a) to apply to time
periods set out in ‘‘these rules, [the]
judge’s order, or in any statute,
regulation, or executive order that does
not specify a method for computing
time.’’ The expanded scope creates
consistency in cases that fall under
statutes and regulations that do not have
time computation provisions. The
revisions do not supplant a computation
scheme from another agency or rule.
Under proposed subdivision (a), the
Department proposes to add the
definitions of ‘‘last day,’’ ‘‘next day,’’
and ‘‘legal holiday.’’ The current
subdivision (a) includes a sentence
explaining the computation of time for
periods less than 7 days. The
Department proposes to delete this
sentence from the proposed rule to be
consistent with the Department’s
general revision to provide at least 14
days to respond or file.
Subdivision (b) provides the criteria
judges will use when responding to a
request for an extension of time. The
Department proposes this subdivision to
provide litigants with fair notice as to
the applicable standard of review.
The Department proposes to delete
the current § 18.4(c)(1) and (3), which
permit the addition of 5 days for filing
by mail and when a party is served by
mail. Some litigants have found this
time-calculation provision confusing.
To replace these provisions, the
Department proposes to add subdivision
(c) to function like Fed. R. Civ. P. 6(d).
Three days are added after particular
types of service listed in proposed
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§ 18.30(a)(2)(B)(iii) or (iv). The decrease
in the number of days for responding is
offset by the extension of time to
respond from 10 days to 14 days. Days
are no longer added to the date of filing
when filing by mail. The Department
proposes this change to make the
practice before OALJ more uniform and
consistent with the procedure in the
district courts.
§ 18.33 Motions and other papers.
The Department proposes to revise
current § 18.6 and renumber it as
proposed § 18.33. Proposed § 18.33 is
modeled after Fed. R. Civ. P. 7(b) and
Fed. R. Civ. P. 43(c).
Under § 18.33, the Department
proposes to clarify the filing
requirements for motions and other
papers and add the language from Fed.
R. Civ. P. 7(b) to proposed § 18.33 (a)
and (b). Under proposed subdivision (a)
‘‘[a] request for an order must be made
by motion.’’ This applies to any requests
made to a judge. A motion must: (1) Be
in writing, unless made during a
hearing; (2) state with particularity the
grounds for seeking the order; (3) state
the relief sought; and (4) unless the
relief sought has been agreed to by all
parties, be accompanied by affidavits,
declarations, or other evidence, and (5)
if required by subsection (C)(4), include
a memorandum of the points and
authorities supporting the movant’s
position.
The proposed subdivision (b)
provides that ‘‘the rules governing
captions and other matters of form
apply to motions and other requests.’’
Under subdivision (c), the Department
proposes to add that written motions
before a hearing must be served with
supporting papers at least 21 days prior
to hearing. A written motion served
within 21 days before the hearing must
state why the motion was not made
earlier. The current version of this
section does not set a timeframe for
serving and filing motions prior to the
hearing. The Department proposes to
add this timeframe to provide judges
sufficient time to rule on pre-hearing
motions. This may narrow the issues for
the hearing and save witness travel time
and expenses. The exceptions to this
regulation include: (A) When the
motion may be heard ex parte; (B) when
these rules or an appropriate statute,
regulation, or executive order set a
different time; or (C) when an order sets
a different time.
The proposed subdivision (d) requires
that a response to a motion be filed
within 14 days after the motion is
served. The Department proposes to
increase the amount of time a party has
to respond from the 10 days in the
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current version of the rule to 14 days.
The change to 14 days comports with
the general revision to set time periods
based on multiples of 7.
Under paragraph (c)(3), the
Department proposes to add the
requirement that counsel for the moving
party confer or attempt to confer with
opposing counsel in a good faith effort
to resolve the subject matter of the
motion, except when a party is
unrepresented or for particular types of
motions listed under subparagraphs
(c)(3)(A) through (c)(3)(C). This
provision is consistent with the FRCP
and the Department anticipates that this
will reduce the number of motions by
encouraging the parties to resolve issues
amongst themselves. Paragraph (c)(4)
clarifies that unless the motion is
unopposed, the supporting papers for
the motion must include affidavits,
declarations or other proof to establish
the factual basis for the relief. For a
dispositive motion and a motion
relating to discovery, a memorandum of
points and authorities must also be
submitted. A judge may direct the
parties file additional documents in
support of any motion.
The Department proposes to delete
the language in current § 18.6(d) from
this section and address motions to
compel in §§ 18.35, Signing motions
and other papers; representations to the
judge; sanctions, 18.56, Subpoena, and
18.57, Failure to make disclosures or to
cooperate in discovery; Sanctions.
Cases may be reassigned to different
judges based on the administrative
needs of the Office of Administrative
Law Judges. Therefore, the Department
proposes to add subdivision (f) to
address renewed or repeated motions
made to a different judge than the judge
who previously ruled on the motion.
§ 18.34 Format of papers filed.
The Department proposes to add a
new § 18.34, Format of papers filed, to
provide the format a party should use
when filing papers with OALJ. This
proposed section expands the current
document filing requirements located
under current § 18.3(a) to provide
litigants with more specific formatting
requirements. The current § 18.3(a)
provides that ‘‘all documents should
clearly designate the docket number, if
any, and short title of the matter’’ and
‘‘each document filed shall be clear and
legible.’’ The proposed § 18.34 states
that every paper filed must be printed
in black ink on 8.5 x 11-inch opaque
white paper. The Department proposes
the black ink requirement because
litigants sometimes file handwritten
papers with colored ink that can be
difficult to read.
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The current caption requirements are
located under current § 18.3(e). Under
proposed § 18.34, the Department
clarifies that filed papers must begin
with a caption that includes: (a) the
parties’ names, (b) a title that describes
the paper’s purpose, and (c) the docket
number assigned by the Office of
Administrative Law Judges. If the case
number is an individual’s Social
Security number then only the last four
digits may be used. See 18.31(a)(1). If
OALJ has not assigned a docket number,
the paper must bear the case number
assigned by the Department of Labor
agency where the matter originated. The
Department proposes to relocate the
address and telephone number
requirement in the current § 18.3(e) to
proposed § 18.35(a).
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§ 18.35 Signing motions and other
papers; representations to the judge;
sanctions.
The Department proposes to add a
new § 18.35 modeled after Fed. R. Civ.
P. 11. This section establishes the
standards attorneys and parties must
meet when filing motions or other
documents with OALJ. It also regulates
the circumstances in which sanctions
may be imposed if the standards of
§ 18.35 are not met.
Under subdivision (a), every written
motion and other paper filed with OALJ
must be dated and signed by a
representative of record or by a party
personally if the party is unrepresented.
The paper must state the signer’s
address, telephone number, facsimile
number and email address, if any. If a
document subject to § 18.35 is not
signed, the judge has the power to strike
the document unless the proponent
signs it promptly upon notification of
the missing signature.
Under subdivision (b), the
Department sets the standards that
motions and other papers regulated by
§ 18.35 must meet. It also specifically
provides that the standards are
applicable to later advocacy of such
documents, as well as to the initial
submission of the documents.
The Department proposes to regulate
who may be sanctioned for violations of
§ 18.35(b), as well as how the sanctions
process may be initiated under
subdivision (a). This subdivision also
governs the extent and limitations of the
judge’s sanctioning power.
Sections 18.50 through 18.65,
governing the discovery process, control
the circumstances when sanctions may
be imposed for inappropriate behavior
in discovery. For that reason, § 18.35(d)
clarifies that § 18.35(a), (b) and (c) have
no applicability to discovery issues.
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§ 18.36 Amendments after referral to
the Office of Administrative Law Judges.
The Department proposes to revise
the current § 18.5 and renumber it as
proposed § 18.36.
Proceedings before the Office of
Administrative Law Judges are rarely
initiated by a complaint and answer.
Accordingly, the Department proposes
to delete subdivisions (a)–(d) in current
§ 18.5. However, a judge may still
require the parties to file a complaint
and answer in certain cases for the
purpose of clarifying the issues in the
proceeding.
Amendments and supplemental
pleadings are an infrequent occurrence
because proceedings are rarely initiated
before OALJ with a complaint and
answer. If amended or supplemental
complaints and answers are required,
then the judge may apply Fed. R. Civ.
P. 15. Accordingly, current § 18.5(e) is
deleted and the proposed § 18.36
provides the judge discretion to allow
parties to amend and supplement their
filings.
Prehearing Procedure
§ 18.40 Notice of hearing.
The Department proposes to revise
the current § 18.27 and renumber it as
proposed § 18.40.
The current subdivision (a) makes
reference to notice of prehearing
conferences. Notice of prehearing
conferences is controlled by proposed
§ 18.44, Prehearing conferences, so the
Department deleted this reference in
proposed § 18.40. In proposed § 18.40
(a), the number of days for timely notice
is changed from 15 days to 14 days. The
change comports with the general
revision to set time periods based on
multiples of 7.
The current subdivision (b) addresses
the judge’s ability to change the date,
time, or place for a hearing and the
number of days notice required for a
change. The Department determined
that this provision is appropriately
grouped with continuances, instead of
with the notice of hearing requirements.
The Department proposes to relocate a
revised version of this subpart to
proposed § 18.41(a), Continuances and
changes in place of hearing.
The current subdivision (c)—now
proposed subdivision (b)—is edited to
not only address how the judge will
determine the location for the hearing,
but also the date and time of the
hearing. This proposed subdivision also
includes a consideration of the
‘‘necessity of the parties and witnesses
in selecting the date, time and place of
the hearing.’’ This requirement is
expressed in sec. 554 of the APA and
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more accurately reflects the
considerations a judge must make when
determining the date, time, and place
for the hearing.
§ 18.41 Continuances and changes in
place of hearing.
The Department proposes to revise
the current § 18.28 and renumber it as
proposed § 18.41.
The Department proposes to clarify in
this section when a judge may continue
a hearing. This procedure in part is
located under current § 18.27(b);
however, the Department determined
that the procedure of a judge continuing
a case is more appropriately grouped in
this continuance rule. Under § 18.41(a),
the Department proposes to require that
the judge provide reasonable notice to
the parties of a change in date, time or
place of the hearing. The proposed
change permits the judge to inform the
parties of the changes within a
reasonable time based on the
circumstances of the continuance. This
flexibility permits the judge to adjust
the hearing schedule as needed without
having to comport with a 14-day notice
requirement. However, the reasonable
notice still protects a party’s due
process rights to have notice of the
hearing.
The Department proposes to revise
the current subdivision (b) to address a
party’s request to continue or change the
place of a hearing. The current
regulation requires a party to file a
motion for a continuance at least 14
days before the date set for hearing. The
Department proposes to eliminate the
14-day filing requirement. Instead, the
proposed regulation requires that a
party ‘‘promptly’’ file a motion after
becoming aware of the circumstances
supporting a continuance. If a party is
immediately aware of the conflict upon
receipt of the notice of hearing, the
party should file a motion to continue
at once.
Under subdivision (b), the
Department proposes to permit a party
to orally move to continue a hearing, but
only in exceptional circumstances. The
proposed § 18.33, Motions and other
papers, requires that motions be made
in writing; this section, however,
provides a limited exception. For the
reasons discussed above, the time limit
for an oral motion if the request is made
10 days before the hearing is not
included. Under proposed paragraph
(b)(1), if a party makes an oral motion
for a continuance it must immediately
notice the other parties of the request.
The final sentence of the current
subdivision (b) addresses oral motions
for a continuance at a calendar call or
hearing. The Department proposes to
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address oral motions at a hearing in
proposed § 18.33(e). Therefore, the
Department proposes to omit this
reference from proposed subdivision (b).
The Department proposes to add a
regulation under § 18.41 (b)(2). Under
this paragraph, a party may move to
change the location of the hearing. This
proposed provision permits the parties
to inform the judge when a more
suitable hearing location is available.
§ 18.42 Expedited proceedings.
The Department proposes to delete
the current § 18.42 and replace it with
proposed § 18.42.
The Department proposes to delete
the references to expedited proceedings
that are required by statute or regulation
in current subdivisions (a)-(d) and (f).
Expedited hearings are controlled by the
statute or regulation requiring the
accelerated proceedings and do not
require either party to file a motion
requesting an expediting proceeding.
The timing of the hearing and decision
in cases expedited by statute or
regulation is determined by the
governing statute or law. For example,
under 20 CFR 655.171(a), Temporary
Employment of Foreign Workers in the
United States, when an employer
requests administrative review an ALJ
must issue a decision within 5 business
days of receipt of the administrative file.
See also 20 CFR 655.33(f). The
Department proposes not to include the
current subdivision (f) in its entirety
because it is unnecessary and may be in
conflict with the governing law.
The proposed § 18.33, Motions and
other papers, provides the requirements
for filing a written motion, including a
motion for an expedited proceeding.
The Department proposes to delete the
provisions in existing paragraphs (b)(1),
(b)(2), and (b)(4) because a motion filed
in accordance with proposed § 18.33
must be in writing and describe with
particularity the circumstances for
seeking relief. The time for responding
to a motion under proposed § 18.33(d) is
14 days, an addition of 4 days to the 10
days required in existing § 18.42(d).
This change to 14 days comports with
the general revision to set time periods
based on multiples of 7.
The Department proposes not to
include the current subdivision (c)
because service is addressed by
proposed § 18.30, Service and filing.
The Department proposes to omit the
provision in current subdivision (e) that
provides for advanced pleading
schedules, prehearing conferences, and
hearings. The Department proposes to
delete this regulation because setting the
date for conferences is within the
judge’s general powers set forth in
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proposed §§ 18.44, Prehearing
conferences, and 18.12, Proceedings
before administrative law judge. The 5day limitation on advancing the hearing
is extended to 7 days. The change to 7
days comports with the general revision
to set time periods based on multiples
of 7.
§ 18.43 Consolidation; separate
hearings.
The Department proposes to delete
the current § 18.11 and replace it with
the proposed § 18.43. The proposed
§ 18.43 is modeled after Fed. R. Civ. P.
42, Consolidation; separate trials.
The Department proposes to revise
this section to more accurately reflect
the practice before OALJ. The current
§ 18.11 describes the process of
consolidating hearings, whereas the
proposed § 18.43 addresses the judge’s
power to order consolidated and
separate hearings. The proposed
subdivision (a) clarifies that an
administrative law judge may join for
hearing any or all matters at issue in the
proceedings or may issue any other
order to avoid unnecessary cost or
delay. The proposed subdivision (b)
clarifies that for convenience, to avoid
prejudice, or to expedite and
economize, the judge may order a
separate hearing on one or more issues.
§ 18.44 Prehearing conference.
The Department proposes to delete
the current § 18.8 and replace it with
proposed § 18.44. The proposed § 18.44
is modeled in part after Fed. R. Civ. P.
16.
The current § 18.8 states that the
purpose of a prehearing conference is to
‘‘expedite’’ the proceedings. The
Department proposes to expand the
purpose for a prehearing conference in
proposed subdivision (a) to include:
establishing early and continuing
control so that the case will not be
protracted because of lack of
management; discouraging wasteful
prehearing activities; improving the
quality of the hearing through more
thorough preparation; and facilitating
settlement. This revision more
accurately reflects the purpose of
prehearing conferences before OALJ.
The Department proposes subdivision
(b) to provide guidance on the
scheduling and notice of the prehearing
conference. This procedure is currently
located in § 18.8(a).
The Department proposes subdivision
(c) to require parties to participate in the
conference as directed by the judge.
This requirement is currently located in
§ 18.8(a). In this subpart, the
Department proposes to clarify that if a
party is represented by an attorney or
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non-attorney representative, the
representative must have authority to
make stipulations and admissions and,
to settle.
The Department proposes subdivision
(d) to expand the current subparagraph
(a)(2) to include additional matters for
consideration that the judge can take
action on during prehearing
conferences. This revision is modeled
after Fed. R. Civ. P. 16(c)(2) and
accurately reflects the breadth of issues
addressed in prehearing conferences
before OALJ.
The Department proposes to combine
the current subdivisions (b) and (c) into
subdivision (e). Under this subdivision,
the Department proposes to change the
default by stating that judges may direct
that the prehearing conference be
recorded and transcribed. The current
§ 18.8 requires stenographic recording
and transcription, unless otherwise
directed by the judge. This change
reflects the routine practice of
unrecorded prehearing conferences.
Typically there is no testimony taken
during prehearing conferences so
unrecorded conferences are more costefficient. In certain cases, such as those
involving unrepresented parties, judges
may continue to order recorded
prehearing conferences.
Disclosure and Discovery
§ 18.50 General provisions governing
disclosure and discovery.
The Department proposes to adopt a
new section to govern discovery and
disclosure, incorporating portions of
Fed. R. Civ. P. 26 not already addressed
by specific Part 18, Subpart A
regulations. The current Part18A
provides limited guidance regarding
discovery and disclosure. The
Department, therefore, is establishing
better guidance in proposed § 18.50. The
proposed subdivisions (a), (c), and (d)
apply to all cases, except as specified,
while subdivision (b) is invoked by a
judge’s order.
Under subdivision (a), a party may
seek discovery at any time after a judge
issues an initial notice or order. The
rule creates a possibility that a party
may seek discovery prior to the judge
issuing an order requiring the parties to
confer under § 18.50(b). Instead of
providing for that situation in this
section, the Department anticipates that
the judge’s initial notice or order would
address discovery sought before the
conference, or that a party may file an
appropriate motion requesting relief or
instruction.
Unless, on motion, the judge orders
otherwise for the parties’ and witnesses’
convenience and in the interests of
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justice, the methods of discovery may be
used in any sequence and discovery by
one party does not require any other
party to delay its discovery. There is
also no requirement that a party conduct
discovery in a manner like that used by
other parties; each party is free to
conduct any authorized discovery in
any sequence regardless of the discovery
conducted by other parties.
Under subdivision (b), a judge may
order parties to confer and develop a
proposed discovery plan, to be
submitted in writing, addressing the
discovery schedule and any
modifications to the limits or scope of
discovery. The discovery plan should
indicate the parties’ positions or
proposals concerning: Automatic
discovery; discovery scope and
schedule; electronic information;
privilege issues; discovery limits; and
other discovery orders. Section 18.50(b)
places a joint obligation on the
representatives (and on unrepresented
parties) to schedule the discovery
conference and to attempt in good faith
to agree on a proposed discovery plan
and a report outlining the plan.
The results of the discovery
conference may be reported to the judge
using Form 52 of the Appendix of
Forms that is incorporated into the
FRCP through Fed. R. Civ. P. 84. The
judge uses that information to craft a
scheduling order that controls the
development of the case.
Under subdivision (c), parties are
required to disclose certain information
automatically, without the need for
discovery requests, at two points during
the litigation. First, at the
commencement of a proceeding before
OALJ, each party must automatically
provide to the other parties the identity
of individuals (including experts) likely
to have discoverable information, a
description of documents by category
and location, and a computation of each
category of damages. Under proposed
subparagraph (c)(1)(B), five categories of
proceedings are excluded from this
initial disclosure, because in these
proceedings discovery is generally not
applicable, or is limited due to the
nature of the proceeding. Second, later
in the case litigants must serve written
reports of experts they retained to
testify; an expert not retained or
specially employed to provide expert
testimony—a treating physician often
falls into this category—need not write
a report, but the party must serve an
equivalent disclosure about that expert’s
opinions and their bases.
Under proposed subparagraph
(c)(1)(C), representatives of the
Department’s Office of Workers’
Compensation Programs are exempted
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from the requirement to provide initial
disclosure, except under specified
circumstances. Under the governing
regulation for Black Lung cases, the
District Director is required to provide
a complete copy of the administrative
record to all parties. 20 CFR 725.421(b).
In Longshore cases, the District Director
provides a copy of the pre-hearing
statements to the Office of
Administrative Law Judges, but under
the regulation is prohibited from
transmitting the administrative record.
20 CFR 702.319. The proposed
subparagraph also recognizes that under
certain situations the Department’s
representative actively litigates (e.g.,
when representing the Black Lung
Disability Trust Fund in a case in which
no responsible operator has been
identified, see 20 CFR 725.497(d); or
when an employer in a Longshore case
has made a claim under 33 U.S.C. 908(f)
for reimbursement by the ‘‘special
fund.’’) Then the Department’s
representative must make the initial
disclosures.
Expert opinions ultimately are
disclosed in one of two ways. Each
witness retained to provide expert
testimony must produce a report. Each
expert report must be in writing, signed
by the expert, and must contain the
specific information listed under
subparagraph (c)(2)(B). Under
subparagraph (c)(2)(A), judges have the
discretion to set the time for this
disclosure by prehearing order. For
witnesses who are not required to
provide a written report, under
subparagraph (c)(2)(C) a party must state
the subject matter on which the witness
is expected to present expert opinion
evidence and provide a summary of the
facts and opinions to which the witness
is expected to testify. For example,
under 20 CFR 725.414(c) in Black Lung
cases an expert may testify in lieu of a
report and is not required to submit a
written report. Such expert witnesses in
Black Lung cases are commonly treating
physicians who do not prepare written
expert reports in the course of business.
This provision drawn from Fed. R. Civ.
P. 26(a)(2)(C) provides the mechanism
to get the equivalent information. Under
subparagraph (c)(2)(D), parties must
supplement expert disclosures when
required under proposed § 18.53,
Supplementing disclosures and
responses.
Under paragraph (c)(3), in addition to
required disclosures, a party must
provide to the other parties and
promptly file the prehearing disclosures
described in proposed § 18.80,
Prehearing statements.
Under paragraph (c)(4) unless the
judge orders otherwise, all disclosures
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under this section must be in writing,
signed, and served.
Under subdivision (d), every
disclosure under § 18.50(c) and every
discovery request, response, or objection
must be signed by at least one of the
party’s representatives in the
representative’s own name, or by the
party personally if unrepresented. The
document must also contain the signer’s
address and telephone number. The
signature constitutes a certification that
the document is complete and correct to
the best of the signer’s knowledge,
information, and belief, and it is being
served for proper purposes within the
rules. Under paragraph (d)(2), parties
have no duty to act on an unsigned
disclosure, request, response, or
objection until it is signed and the judge
must strike it unless a signature is
promptly supplied after the omission is
called to the representative’s or party’s
attention. If a certification violates this
regulation without substantial
justification, judges have the authority
to impose an appropriate sanction,
either on motion or on his or her own,
under paragraph (d)(3).
§ 18.51
Discovery scope and limits.
The Department proposes to delete
the current § 18.14 and replace it with
proposed § 18.51. The proposed § 18.51
is modeled after Fed. R. Civ. P. 26(b),
Discovery scope and limits.
The Department proposes to revise
the scope of discovery in current
§ 18.14(a) based on a 2000 amendment
to Fed. R. Civ. P. 26(b)(1) which
narrowed the scope of discovery. The
current subdivision (a) permits parties
to seek ‘‘discovery regarding any matter,
not privileged, which is relevant to the
subject matter involved in the
proceeding * * *’’ In the proposed
§ 18.51, the parties are instructed to
confine requests to ‘‘any nonprivileged
matter that is relevant to any party’s
claim or defense * * *’’ The
Department proposes to incorporate this
amendment to control discovery costs
without interfering with the fair
resolution of the case. The parties are
permitted to seek discovery related to
the claims or defenses and, if needed,
the judge may permit a party to seek
discovery of any matter related to the
case’s subject matter.
The Department proposes to relocate
the limitations in current § 18.14(b)
regarding objections to discovery to the
third sentence of proposed § 18.51(a).
The Department proposes to clarify that
a party may seek discovery of relevant
information, even if the information
would not be admissible at the hearing,
as long as the discovery ‘‘appears
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reasonably calculated to lead to the
discovery of admissible evidence.’’
In § 18.51(b), the Department
proposes additional limitations on the
frequency and extent of discovery not
contained in the current § 18.14. The
limitations imposed by the current
§ 18.14 are limited to relevant
information and information that is
protected by a privilege. The
Department proposes limitations on
discovery that are designed to control
the costs and burdens of discovery, as
appropriate.
The Department proposes to provide
limitations on the frequency of using
discovery tools in §§ 18.64, Oral
depositions, 18.65, Written depositions,
18.60, Interrogatories, and 18.63,
Requests for admission. The Department
proposes paragraph (b)(1) to provide a
judge the discretion to alter the limits
imposed by these regulations.
The Department proposes paragraph
(b)(2) to limit the discovery of
electronically stored information (ESI).
The existing Part 18, Subpart A rules,
promulgated in 1983, do not mention
ESI; the proposed changes governing
ESI reflect the contemporary nature of
document management and discovery
methods. In order to control the costs
and burdens of producing documents,
proposed paragraph (b)(2) establishes a
requirement that a party need not
provide discovery of ESI if the
information is not reasonably accessible
because of undue burden or cost. If the
party requesting the information files a
motion to compel or the party holding
the information seeks a protective order,
the judge must consider the items in
proposed paragraph (b)(4).
Under paragraph (b)(3), the
Department states that by requesting
electronically stored information, a
party consents to the application of
Federal Rule of Evidence 502 with
regard to inadvertently disclosed
privileged or protected information.
Because there is currently no equivalent
to Fed. R. Evid. 502 in OALJ’s rules of
evidence, 29 CFR part 18, subpart B, the
Department proposes this regulation to
inform parties that Fed. R. Evid. 502 is
applicable to inadvertently disclosed
privileged or protected ESI.
The factors a judge must consider
when determining whether to limit the
frequency or extent of discovery under
proposed paragraph (b)(4) involve
balancing the need for the information
and the costs and burdens of producing
the information. The limitations in
paragraph (b)(4) apply to all motions to
limit the frequency and extent of
discovery under subdivision (b).
The Department proposes
subdivisions (c) and (d) to elaborate the
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limitations on discovery of hearing
preparation materials and experts,
respectively. The proposed subdivision
(c) contains the same limitations as the
current § 18.14(c). A party may not
discover documents and tangible things
prepared in anticipation of litigation or
the hearing unless the information is
discoverable as relevant under
subdivision (a) and the party requesting
the information can show that there is
a substantial need for the information
and the party cannot obtain
substantially equivalent information
without undue hardship. Although
enumerated differently in proposed
subdivision (c), the requirements remain
the same. Like the current subdivision
(c), proposed paragraph (c)(2) instructs
the judge to protect against disclosure of
an attorney’s or other representative’s
mental impressions, conclusion,
opinions, or legal theories when
ordering the production of hearing
preparation material.
Proposed paragraph (c)(3) permits a
party or witness access to the person’s
own previous statement by request. A
party or witness may have provided a
statement prior to retaining legal
counsel or understanding the
consequences of the statement regarding
the subject matter of the litigation. The
party or witness may obtain a copy of
the statement by request without
making an additional showing.
Proposed subdivision (d) is modeled
after Fed. R. Civ. P. 26(b)(4) and
addresses requests for hearing
preparation information prepared by
experts who may testify at the hearing.
Effective cross-examination of an expert
requires advance preparation and
effective rebuttal requires knowledge of
the line of testimony of the other side.
This regulation helps the parties narrow
the issues and eliminates surprises
through prehearing disclosure of expert
opinions.
As is the current practice before
OALJ, proposed paragraph (d)(1)
provides that a party may depose an
expert whose opinions may be
presented at the hearing. The proposed
subpart is modeled after Fed. R. Civ. P.
26(b)(4)(A), which requires the expert’s
report to be provided prior to the
deposition. However, the exchange of a
physician’s report prior to the
deposition has not been a common
practice before OALJ, mostly based on
time constraints of the testifying
experts. Paragraph (d)(1), therefore,
permits the parties to stipulate to taking
a deposition before reviewing the
expert’s report and then produce the
report when it is available.
Proposed paragraph (d)(2) applies if a
judge orders the parties to exchange
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required disclosures under proposed
§ 18.50(c)(2)(B). If the judge orders the
disclosure of expert opinions under
§ 18.50(c)(2)(B), then § 18.51(d)(1)
provides that the protections in
paragraphs (c)(1) and(c)(2) will apply.
Proposed subdivision (e) creates a
procedure a party must follow to claim
a privilege or to protect hearing
preparation materials. Paragraph (e)(1)
explains that a party must expressly
claim a privilege or state that the
information is subject to hearing
preparation protection and describe the
material well enough that the opponent
can adequately assess the protection
claim.
Proposed paragraph (e)(2) provides
the steps a party must take if it wishes
to claim a privilege or other protection
for discovery already produced. This
regulation is modeled after Fed. R. Civ.
P. 26(b)(5)(B). The proposed subpart
provides for in camera review by the
judge so that such materials may be
handled consistent with the parties’
expectations regarding privileged or
other protected documents, prior to
creation of a final administrative record.
§ 18.52 Protective Orders.
The Department proposes to delete
the current § 18.15 and replace it with
proposed § 18.52. The proposed § 18.52
is modeled after Fed. R. Civ. P. 26(c),
Protective orders.
Similar to the current § 18.15, the
Department proposes § 18.52(a) to
provide that a party, or any person from
whom discovery is sought, may file a
motion for a protective order to protect
the party from annoyance,
embarrassment, oppression, or undue
burden or expense. The motion can only
be brought by the individual whose
interests are affected. Normally, the
motion must be filed before the
discovery is to occur, unless there is no
opportunity to do so. The proposed
regulation requires that the motion
include a certification that the movant
conferred or attempted to confer with
the other affected parties to resolve the
dispute before filing the motion. This
requirement encourages the parties to
work together to resolve discovery
disputes, without involving the judge.
The Department continues to require
that the judge find good cause for
issuing a protective order regarding the
discovery sought. The judge has broad
discretion in determining what
constitutes good cause. Proposed
paragraphs (a)(1) through (8) provide
examples of orders the judge may enter.
The proposed paragraphs (a)(1) through
(5) provide the same remedies as the
current paragraphs (a)(1) through (5);
however, each paragraph is revised for
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clarity. Similarly, the current paragraph
(a)(6) is relocated to proposed paragraph
(a)(7). The Department proposes to add
paragraphs (a)(6) and (8) to provide the
same remedies a judge may impose
under Fed. R. Civ. P. 26(c)(1).
Respectively, the judge may order that
a deposition be sealed and opened as
the judge orders or the judge may order
the parties to simultaneously file
documents or information in sealed
envelopes, to be opened as the judge
orders.
The Department proposes to clarify
under subdivision (b) that when a judge
denies a motion for a protective order in
whole or in part, the judge may order
that the party or person provide or
permit discovery. This provision
clarifies the control the judge exercises
in resolving discovery disputes, as there
is currently no regulatory guidance on
this issue.
§ 18.53 Supplementing disclosures
and responses.
The Department proposes to delete
the current § 18.16 and replace it with
proposed § 18.53. The proposed § 18.53
is modeled after Fed. R. Civ. P. 26(e),
Supplementing disclosures and
responses. This revision improves the
clarity of the section while retaining the
same procedural requirements.
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§ 18.54 Stipulations about discovery
and procedure.
The Department proposes to delete
the current § 18.17 and replace it with
proposed § 18.54. The proposed § 18.54
is modeled after Fed. R. Civ. P. 29,
Stipulations about discovery and
procedure.
The revision improves the clarity of
the section while retaining the same
procedural requirements. The
Department proposes to clarify in
subdivision (b) that ‘‘a stipulation
extending the time for any form of
discovery must have the judge’s
approval if it would interfere with the
time set for completing discovery, for
hearing a motion, or for a hearing.’’
§ 18.55 Using depositions at hearings.
The Department proposes to delete
the current § 18.23 and replace it with
the proposed § 18.55. The proposed
§ 18.55 is modeled after Fed. R. Civ. P.
32.
The Department states a new
procedure in proposed § 18.55(a)
modeled after Fed. R. Civ. P. 32(a)(5),
Limitations on use. The Department
proposes a specific provision, at
proposed § 18.55(a)(4), regarding
depositions of experts, treating
physicians, or examining physicians.
Deposition testimony from physicians is
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quite commonly used in proceedings
before the Department’s administrative
law judges. The provision at current
§ 18.23(a)(2) covers expert witnesses,
but does not address a treating
physician (who is not necessarily an
expert retained to testify). The proposed
rule codifies current practice. Under
proposed paragraph (a)(6)—the current
§ 18.23(a)(6) is relocated to proposed
§ 18.55(a)(8)—a deposition may be used
against any party who had reasonable
notice of the deposition. A deposition
cannot be used against a party who
received less than 14 days’ notice and
who has filed a motion for a protective
order that was pending at the time of the
deposition. Likewise, a deposition
cannot be used against a party who
demonstrates an inability to obtain
counsel for representation at the
deposition despite the exercise of
diligence. The provision in Fed. R. Civ.
P. 32(a)(7), which reflects the impact of
FRCP on substitution of parties, has not
been included because the proposed
rule does not address the issue of
substitution of a party. In general,
except for situations where a named
party dies and a successor is
substituted, there is no substitution of
parties in matters before OALJ.
Successors to deceased claimants in
Black Lung and Longshore cases are not
uncommon; these may be covered under
specific provisions. See, e.g., 20 CFR
725.360, 33 U.S.C. 919(f).
The Department proposes to add
subdivision (c) to clarify that a party
must provide a transcript of any
deposition testimony the party offers.
The judge may receive testimony in
non-transcript form as well. This
addition codifies a current common
procedure within OALJ.
The Department proposes to add
subdivision (d), Waiver of objections,
with four new regulations. These
regulations are modeled after Fed. R.
Civ. P. 32 and should be familiar federal
practice to attorneys. First, under
paragraph (d)(1), To the notice, an
objection to an error or irregularity in a
deposition notice is waived unless
promptly served in writing on the party
giving notice. Second, paragraph (d)(2),
To the officer’s qualification, provides
that an objection based on
disqualification of the officer before
whom a deposition is to be taken is
waived if not made before the
deposition begins or promptly after the
basis for disqualification becomes
known or, with reasonable diligence,
could have been known. The
Department proposes this regulation to
be consistent with the federal rule;
however, officer disqualification rarely
comes up in current practice.
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Third, under subparagraph (d)(3)(C),
Objection to a written question, the
Department proposes to clarify that an
objection to the form of a written
question is waived if not served in
writing on the party which submitted
the question within the time for serving
a responsive question or, if the question
is a recross-question, within 7 days after
being served with it. The current
regulation, located in current paragraph
(b)(3), does not designate a set length of
time a party has to object to a written
question.
Lastly, the Department proposes to
add paragraph (d)(4), To completing and
returning the deposition, to clarify that
an objection to how the officer
transcribed the testimony—or prepared,
signed, certified, sealed, endorsed, sent,
or otherwise dealt with the deposition—
is waived unless a motion to suppress
is made promptly after the error or
irregularity becomes known or, with
reasonable diligence, could have been
known. This is not a procedural change
from the current § 18.23(b)(2).
The Department proposes to delete
the current subdivision (c) because it
does not align with the federal rule and
is substantive rather than procedural.
§ 18.56 Subpoena.
The Department proposes to delete
the current § 18.24 and replace it with
proposed § 18.56. The proposed § 18.56
is modeled after Fed. R. Civ. P 45,
Subpoena. Judges may issue subpoenas
only as authorized by a statute or law
and the Department does not propose
any procedural changes to this rule.
Instead, the Department proposes this
section to help litigants better
understand the subpoena process before
OALJ.
The Department proposes to add form
and content requirements for subpoenas
under paragraph (a)(2). Under this new
provision, every subpoena must state
the title of the matter and, where
applicable, show the case number
assigned by OALJ or the Office of
Worker’s Compensation Programs
(OWCP). In the event that the case
number is an individual’s Social
Security number only the last four
numbers may be used. See § 18.31(a)(1).
The subpoena must bear either the
signature of the issuing judge or the
signature of an attorney authorized to
issue the subpoena under proposed
paragraph (a)(3). The subpoena must
command each person to whom it is
directed to do the following at a
specified time and place: attend and
testify; produce designated documents,
electronically stored information, or
tangible things in that person’s
possession, custody, or control; or
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permit inspection of premises. The
subpoena must set out the text of
proposed subdivisions (c) and (d) of this
section.
The Department proposes to add the
following provisions under paragraph
(a)(2). The proposed subparagraph
(a)(2)(B) provides that a subpoena
commanding attendance at a deposition
must state the method for recording the
testimony. The proposed subparagraph
(a)(2)(C) provides that a command to
produce documents or to inspect
premises may be issued separately or
joined with a command to appear to
testify. Under subparagraph (a)(2)(D),
the Department proposes to clarify that
a subpoena can be used to obtain
inspections, testing or samplings of the
property, documents, or electronic data
of a non-party.
Under paragraph (a)(3), the
Department proposes to permit
subpoenas to be issued by an attorney
representative only when authorized by
the presiding judge. This provision
applies only to representatives who are
attorneys. In the authorizing document,
the presiding judge may limit the
parameters under which the authorized
attorney may issue subpoenas.
Under subdivision (b), the
Department proposes to clarify the
process of serving subpoenas. Under
paragraph (b)(1), if the subpoena
commands the production of
documents, electronically stored
information, or tangible things or the
inspection of premises before the formal
hearing, then before it is served, a notice
must be served on each party. The
purpose of such notice is to afford other
parties an opportunity to object to the
production or inspection, or to serve a
demand for additional documents or
things. In current practice, this notice
requirement from Fed. R. Civ. P. 45(b)(1)
is stated on subpoenas to produce
documents, information or objects, or to
permit inspection of premises.
Additionally, the proposed § 18.56(b)(1)
retains the provision in the current
§ 18.24(a) which allows parties to serve
subpoenas by certified mail.
Under paragraph (b)(1), if the
subpoena requires a person’s
attendance, the fees for 1 day’s
attendance and the mileage allowed by
law must be tendered with the
subpoena. This is a procedural change
as the current § 18.24(a) requires that
fees to be paid ‘‘in advance of the date
of the proceeding.’’
Under paragraph (b)(2), the
Department clarifies that subject to
proposed § 18.56(c)(3)(A)(ii), a subpoena
may be served at any place within a
State, Commonwealth, or Territory of
the United States, or the District of
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Columbia. Paragraph (b)(3) provides that
28 U.S.C. 1783 governs issuing and
serving a subpoena directed to a United
States national or resident who is in a
foreign country. Under paragraph (b)(4),
if necessary, service can be proved by
the person making service by filing with
the judge a statement showing the date
and manner of service and the names of
the persons served. This statement must
be certified by the server. This
regulation does not establish any cutoff
or deadline for serving subpoenas.
However, a subpoena for a deposition or
for the production of documents may be
governed by the discovery deadline.
The Department proposes to delete
the current § 18.24(b) because under the
proposed paragraph (c)(3) the presiding
judge, rather than the chief judge, has
the power to quash or modify a
subpoena if it fails to allow a reasonable
time to comply.
The Department proposes to expand
the current subdivision (c) to include
other provisions that protect a person
subject to a subpoena. The core concept
of the proposed subdivision is that an
attorney or representative responsible
for requesting, issuing, or serving a
subpoena has a duty not to issue a
subpoena for improper purposes or to
impose undue burden on the recipient
of the subpoena. The proposed
subdivision (c) continues to provide the
mechanisms for recipients of subpoenas
to challenge subpoenas. The cautionary
language in § 18.56(c) must be reprinted
on every subpoena.
The Department proposes to clarify
under paragraph (c)(1) that a party or
representative responsible for
requesting, issuing, or serving a
subpoena must take reasonable steps to
avoid imposing undue burden on a
person subject to the subpoena. The
judge must enforce this duty and may
impose an appropriate sanction.
Under subparagraph (c)(2)(A), the
Department proposes a new regulation
that a person subpoenaed to produce
documents or things or to permit an
inspection need not actually appear at
the designated time, as long as the
person complies with the subpoena,
unless also commanded to appear for
the deposition or hearing. A person
subpoenaed to produce documents or
things or to permit an inspection may
serve an objection to all or part of the
subpoena within 14 days after service of
the subpoena (or before the time
designated in the subpoena, if sooner).
Once an objection has been served on
the party issuing the subpoena, the
subpoena recipient is not obligated to
comply with the subpoena. Failure to
serve timely objections may constitute a
waiver of objections to the subpoena
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72163
other than objections relating to service.
Only non-parties may serve objections;
parties must contest a subpoena by a
motion to quash or modify. If the
subpoena recipient timely serves an
objection to the subpoena under
§ 18.56(c)(2)(B), the serving party may
file a motion to compel production or
inspection under § 18.56(c)(2)(B)(i). This
motion must be served on the subpoena
recipient as well. Under
§ 18.56(c)(2)(B)(ii), the presiding judge
may issue an order compelling the
subpoena recipient to comply with the
subpoena but the order must protect a
person who is neither a party nor a
party’s officer from significant expense
resulting from compliance.
Under the proposed § 18.56, a
subpoena recipient may still move to
quash a subpoena under paragraph
(c)(3). If the judge finds the subpoena
objectionable he or she may quash it
altogether or modify it to cure the
objection. The Department proposes to
delete the 10-day time period for filing
and answering a motion and instead use
Fed. R. Civ. P. 45(c)(3) as a model. Thus,
under the proposed § 18.56 a motion to
quash must be ‘‘timely’’ filed, and
should certainly be filed before the
subpoena’s return date. Failure to file a
motion to quash may constitute a waiver
of objections to the subpoena. In
subparagraph (c)(3)(A) the Department
proposes to list situations in which a
subpoena will be quashed or modified.
These situations include: (i) Failing to
allow a reasonable time to reply; (ii)
requiring a non-party to travel too far;
(iii) requiring disclosure of privileged or
protected information; and (iv)
subjecting a person to undue burden.
Under subparagraph (c)(3)(B), the
Department proposes to list
circumstances in which a subpoena will
be quashed or modified unless the
serving party shows a ‘‘substantial
need’’ for the testimony, documents, or
inspection. In such cases the judge will
condition compliance on the serving
party compensating the recipient. This
subparagraph provides limited
protection for trade secrets or other
confidential research, development, or
commercial information. It provides
limited protection for unretained
experts, so that parties cannot obtain
their testimony without paying their
fees. It also provides limited protection
to nonparties who would incur
substantial expenses to travel more than
100 miles to attend a hearing.
The Department proposes to add a
new regulation under subdivision (d)—
the current subdivision (d) is relocated
to subdivision (e)—that provides that
documents may be produced as they are
normally kept or may be separated and
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organized. When privileges are asserted,
the privilege must be expressly
described. The cautionary language of
§ 18.56(d) must be reprinted on every
subpoena.
The Department proposes that the
scope of production under a subpoena
be the same as the scope of discovery
generally under proposed § 18.51,
Discovery scope and limits. The
requirements also track closely those
imposed in Fed. R. Civ. P. 45. Under
proposed subparagraph (d)(1)(A), the
Department proposes that the
responding party has the option of
allowing the serving party to inspect
and copy the documents where they are
normally kept or the party may collect
the responsive documents and organize
and label them to correspond to the
categories in the demand. See Fed. R.
Civ. P. 45(d)(1). The responding party
may make copies for the requesting
party, but is not obligated to do so. See
Fed. R. Civ. P. 45(a)(1)(D).
Under subparagraph (d)(1)(B), the
Department proposes to allow, but not
require, the requesting party to specify
the form in which it is requesting
electronic data (i.e., hard copy or
electronic; if electronic, the precise
manner of production). If the requesting
party does not specify the form, then the
responding person must produce it in
the form in which it is ordinarily
maintained in or in a form that is
reasonably usable. In any event, under
proposed subparagraph (d)(1)(C) a party
need not produce electronic data in
more than one form. See Fed. R. Civ. P.
45(d)(1)(B) & (C).
Under subparagraph (d)(1)(D), the
Department proposes that if the
responding party believes that the
production of electronic data from
certain sources will cause undue burden
or cost, the person can, in lieu of
producing the documents, identify those
sources. If a motion to compel or quash
is filed, the responding party will have
the burden of showing that production
would cause undue burden or cost. The
burden then shifts to the requesting
party to show good cause why the data
should be produced nonetheless. In
such cases, the judge may specify
conditions for the production. See Fed.
R. Civ. P. 45(d)(1)(D).
Under paragraph (d)(2), the
Department proposes that when a
subpoena recipient seeks to withhold
information that is privileged, the
recipient must expressly claim the
privilege and describe the nature of the
documents, communications, or
tangible things not produced in
sufficient detail that the court and
parties can assess the privilege. Under
subparagraph (d)(2)(B), the Department
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proposes to establish a procedure to
recall privileged information that has
already been produced in response to a
subpoena. See Fed. R. Civ. P. 45(d)(2)(A)
& (B).
The Department proposes to relocate
the content from the current subdivision
(d) to subdivision (e) with no procedural
changes.
§ 18.57 Failure to make disclosures or
to cooperate in discovery; sanctions.
The Department proposes to delete
the current § 18.21 and replace it with
proposed § 18.57. The proposed § 18.57
is modeled after Fed. R. Civ. P. 37 and
incorporates the current § 18.6(d) and
the current § 18.15(a).
The proposed § 18.57 provides the
mechanisms for enforcing the
provisions of the other discovery rules
by imposing sanctions on parties who
violate the discovery regulations. In
general, sanctions are imposed in a twostep process in which a party must first
obtain an order compelling discovery
under proposed § 18.57(a), and then
move for sanctions under proposed
§ 18.57(b). If, however, the responding
party totally fails to respond to an entire
discovery request, the sanctions may be
available immediately. The Department
proposes to grant judges greater
discretion when imposing sanctions.
Under subdivision (a), the Department
proposes to combine and expand the
regulations under current §§ 18.6(d) and
18.21(a), and 18.15(a). This subdivision
covers motions to compel discovery and
motions to compel disclosure. A party
may file a motion to compel under
§ 18.57(a)(2) after the opponent fails to
make the automatic disclosures required
by § 18.50(c), fails to respond to
discovery served pursuant to the
discovery rules, or makes an improper
or incomplete disclosure or discovery
response. When taking a deposition, the
party asking a question may complete or
adjourn the examination before moving
for an order. Under proposed
subdivision (a)(1), the motion to compel
must be accompanied by a certification
that the movant has in good faith
conferred or attempted to confer with
the other party or person in an effort to
resolve the dispute without the action of
the judge. This is a procedural change
proposed by the Department to
encourage litigants to resolve matters
amongst themselves and to help reduce
litigation expenses. In current practice,
many judges encourage parties to confer
before filing certain motions.
The Department proposes to expand
current § 18.21(c) to apply to evasive or
incomplete disclosures in proposed
§ 18.57(a)(3). As under the current
§ 18.21(d), if the motion to compel is
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denied the judge may issue any
protective order authorized under
proposed § 18.52.
The Department proposes to add
§ 18.57(b), which sets forth the
sanctions that become available if a
party or deponent fails to obey a judge’s
order regarding discovery. Under this
provision, a judge has the discretion to
impose one or more of the listed
sanctions or any other procedural
sanction deemed appropriate, including:
deeming facts established; prohibiting
evidence; striking pleadings; and
issuing a stay, dispositive ruling, or
default judgment. The judge is not
limited to the sanctions listed under
§ 18.57(b)(1) and may make any order
that is ‘‘just.’’
Under proposed § 18.57(b)(2), if a
party fails to comply with an order
under § 18.62 to produce another for a
mental or physical examination, the
party is subject to the same sanctions
under § 18.57(b)(1) that would apply if
the party failed to appear, unless the
party can show that the party was
unable to produce the individual.
The Department proposes to add
§ 18.57(c), Failure to disclose, to
supplement an earlier response, or to
admit, which is a procedural change
modeled after Fed. R. Civ. P. 37. Under
this section, if a party: (1) Fails to make
the automatic disclosures under
§ 18.50(c) in a timely manner; (2) makes
false or misleading disclosures; (3) fails
to supplement a prior discovery
response as required by § 18.53; or (4)
fails to supplement a prior discovery
request, the party will not be permitted
to use at trial or in a motion the
documents, information, or witnesses
not properly disclosed, unless the party
had ‘‘substantial justification’’ or the
failure was harmless. Under § 18.57(c),
in addition to or in lieu of precluding
the evidence, upon motion and after an
opportunity to be heard, the judge may
impose other appropriate sanctions,
including any of the orders listed in
§ 18.57(b)(1).
The sanctions under this provision
apply to an improper statement of
inability to admit or deny, as well as to
improper denial. The sanctions in this
subdivision do not apply to failure to
respond to a request for admissions
because such a failure is deemed an
admission.
The Department proposes to add
§ 18.57(d), Party’s failure to attend its
own deposition, serve answers to
interrogatories, or respond to a request
for inspection. This subdivision
provides that upon motion sanctions are
immediately available against a party
who completely fails to participate in
the discovery process. For example,
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sanctions are available when the party
fails to appear for the party’s deposition
after being served with proper notice,
fails to answer or object to properly
served interrogatories, or fails to serve a
written response to a properly-served
request to inspect documents or things.
Thus, a judge’s order is not a
prerequisite to sanctions under this
subdivision. While this subdivision
does not specify when the motion for
sanctions must be filed, it should be
filed without ‘‘unreasonable delay’’ or
before the entry of the decision and
order.
The proposed subparagraph (d)(1)(B)
states that a motion for sanctions under
§ 18.57(d), for failure to respond to
interrogatories or requests for
inspection, must include a certification
that the movant has in good faith
conferred or attempted to confer with
the other party or person in an effort to
obtain a response without court action.
Note that this requirement does not
apply to the failure to appear for a
deposition.
The proposed paragraph (d)(2) states
that a failure described in
§ 18.57(d)(1)(A) is not excused on the
ground that the discovery sought was
objectionable, unless the party failing to
act has a pending motion for a
protective order under § 18.52(a). Under
proposed paragraph (d)(3), sanctions
may include any of the orders listed in
§ 18.57(b)(1).
The Department proposes to add
subdivision (e) to prohibit the
imposition of sanctions for failure to
produce certain types of electronically
stored information, in the absence of
exceptional circumstances. The
Department recognizes that certain
types of electronically stored
information are lost during the regular
operation of a computer system and
therefore parties should not be
sanctioned for failing to produce such
data. An example of the type of data that
is contemplated by this provision is the
metadata (or data about data) that
computers automatically store, such as
the last time a document was opened.
Each time the document is opened the
information that was stored in that field
is deleted and replaced by new data. A
party would not likely be sanctioned for
the loss of the data when a document
was last opened.
The protections in proposed § 18.57(e)
are expressly limited to the good-faith
operation of the computer system. Thus,
a party cannot exploit the protections of
this subdivision to deliberately delete
relevant information. Under certain
circumstances, a party wishing to
require another party to preserve
electronic data can write a letter to the
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party placing it on notice that the
electronic data may be relevant and
should be preserved, or can seek a
preservation order from the judge. If
either action is taken, a party must
suspend those features of its computer
system that result in the routine loss of
information.
The Department proposes subdivision
(f) to provide the procedure a judge
must follow in impose sanctions under
this section. A judge may impose
sanctions under this section upon (1) a
separately filed motion; or (2) notice
from the judge followed by a reasonable
opportunity to be heard.
The Department proposes to include
the content from the current § 18.21(d)
in the proposed § 18.33(a).
Types of Discovery
§ 18.60
Interrogatories to parties.
The Department proposes to revise
the current § 18.18 and renumber it as
proposed § 18.60. The proposed § 18.60
is modeled after Fed. R. Civ. P. 33 and
should be read in conjunction with
proposed § 18.51, which establishes the
scope of all discovery rules.
The Department proposes to change
the current subdivision (a) to state that
unless otherwise stipulated or ordered
by the judge, a party may serve on any
other party no more than 25 written
interrogatories, including all discrete
subparts. Leave to serve additional
interrogatories may be granted to the
extent consistent with proposed § 18.51.
The Department proposes this change to
model Fed. R. Civ. P. 33 as the current
§ 18.18 does not set a limit on the
number of written interrogatories a
party may serve on another party.
The procedure for answering
interrogatories is relocated from the
current subdivision (a) to proposed
subdivision (b). The Department
proposes to delete the service and filing
language from this section because the
Department is proposing § 18.30,
Service and Filing, to cover the service
and filing regulations before OALJ.
The Department proposes to relocate
the current subdivision (c) to proposed
§ 18.60(a)(2), Scope. Under this
proposed subpart, the scope of
interrogatories is the broad discovery
available under § 18.51; thus, an
interrogatory may relate to any matter
that may be inquired into under
proposed § 18.51. Interrogatories may be
served after the parties have conducted
the discovery conference under § 18.51,
or earlier if the judge so orders. In the
proceedings listed in § 18.50(c)(1)(B) as
exempted from initial disclosures, there
is no preliminary waiting period to
serve interrogatories. The Part 18,
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Subpart A rules do not set an outer limit
on how late in the case interrogatories
may be served, but the judge may set
such a limit.
The Department proposes subdivision
(b), Answers and objections, to provide
the procedural requirements parties
must adhere to in answering and
objecting to interrogatories. As under
the current regulation, the responding
party must answer interrogatories
separately and in writing within 30 days
after service.
Failure to serve a response in a timely
manner may constitute a waiver of all
objections. Under subdivision (b) the
Department clarifies that the time
period to answer may be shortened or
extended by written agreement under
proposed § 18.54, Stipulations about
discovery procedure. This subpart also
clarifies that the grounds for objecting to
an interrogatory must be stated with
specificity. Any ground not stated in a
timely objection is waived unless the
judge, for good cause, excuses the
failure. This is a procedural change
modeled after Fed. R. Civ. P. 33.
The Department proposes to add a
new subdivision (c) which provides that
an answer to an interrogatory may be
used to the extent allowed by the
applicable rules of evidence. This
reflects the varying evidentiary
requirements applicable to claims
brought before OALJ. Interrogatory
answers are not admissions, but
generally may be used as though made
in court by the party. Interrogatories
may not be used to obtain documents.
Rather, a document request must be
made under proposed § 18.61,
Producing documents, electronically
stored information, and tangible things,
or entering onto land, for inspection and
other purposes. However,
interrogatories may inquire about the
existence of documents and the facts
contained therein. Documents may,
under certain circumstances, be
produced in lieu of answering an
interrogatory, as discussed in proposed
subdivision (d).
The Department proposes to add a
new subdivision (d), Option to produce
business records. A party may produce
business records in lieu of answering an
interrogatory when the burden of
extracting the requested information
would be substantially equal for either
party. Only business records may be
used in lieu of interrogatory answers;
thus, a party cannot produce pleadings
or deposition transcripts instead of
answering an interrogatory. The
responding party must specify the
records that must be reviewed in
sufficient detail to enable the
interrogating party to locate and identify
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them as readily as the responding party
could. It is not sufficient to state that the
business records may contain the
information. The responding party must
also give the interrogating party a
reasonable opportunity to examine and
audit the records and to make copies,
compilations, abstracts, or summaries.
§ 18.61 Producing documents,
electronically stored information, and
tangible things, or entering onto land,
for inspection and other purposes.
The Department proposes to revise
the current § 18.19 and renumber it as
proposed § 18.61. The proposed § 18.61
is modeled after Fed. R. Civ. P. 34,
Producing documents, electronically
stored information, and tangible things,
or entering onto land, for inspection and
other purposes.
The Department is proposing a
separate section, § 18.62, for physical
and mental examinations; therefore, the
language regarding physical and mental
examinations is not included in this
proposed section. The purpose of
proposed § 18.61 is to set forth the
procedures for obtaining access to
documents and things within the
control of other parties, and for gaining
entry upon other parties’ land for
inspection. This proposed section
should be read in conjunction with
proposed § 18.51, which establishes the
scope of all discovery rules.
The proposed subdivision (a), like the
current subdivision (a), generally
addresses the scope of document
requests. This subpart states that a party
may serve on any party a request within
the scope of § 18.51. Generally, any
relevant, non-privileged document is
discoverable unless it was prepared in
anticipation of litigation, pertains to
expert witnesses, or would be
unreasonably burdensome to produce.
‘‘Documents’’ is broadly defined to
include all forms of recorded
information. For clarity, the proposed
subdivision (a) lists writings, drawings,
graphs, charts, photographs, sound
recordings, images, and other data or
data compilations as discoverable
documents. Under the proposed
regulation, a party is generally not
required to create documents to meet a
document request, but only to produce
documents already in existence.
The Department proposes to
incorporate current subdivisions (c) and
(d) into proposed § 18.61(b). These
subparts are revised to improve clarity
but retain the same procedural
requirements.
Under subdivision (b), the
Department proposes to regulate the
form in which electronic data must be
produced (i.e. hard copy or electronic,
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and if electronic, the precise manner of
production). This regulation is not
included in the current rule. It allows,
but does not require, the requesting
party to specify the form in which it is
requesting electronic data. The
responding party can then produce it in
that form or object and specify the form
in which it will produce the electronic
data. If the requesting party does not
specify the form, then the responding
party must produce it in the form in
which it is ordinarily maintained or in
a form that is reasonably usable. Unless
the responding party is producing the
data in the form specified by the
requesting party, the responding party
must specify the form it intends to use
for production in its written response to
the document request. If the responding
party objects to the form stated by the
requesting party, or if the requesting
party is not satisfied with the form
specified by the responding party, then
the parties must meet and confer under
§ 18.57(a)(1). Under any of these
scenarios, a party need not produce
electronic data in more than one form.
The Department proposes to add a
new regulation under subdivision (c),
Nonparties, as the current Part18A is
silent on this issue. Although document
requests or requests for inspection
cannot be served on a non-party,
documents or inspections can be
obtained from a non-party by a
subpoena under proposed § 18.56,
Subpoenas.
The Department proposes to delete
the service and filing language in the
current subdivision (f) because the
Department is proposing § 18.30,
Service and filing, to cover the service
and filing regulations before OALJ.
§ 18.62 Physical and mental
examinations.
The Department proposes a new
§ 18.62 modeled after Fed. R. Civ. P. 35
to regulate physical and mental
examinations. Physical and mental
examinations are currently covered by
§ 18.19; however, due to the high
frequency of requests for physical and
mental examinations the Department
determined that there is a need for a
separate section that sets forth the
procedure for such requests.
The Department proposes to divide
§ 18.62 into three subparts:
Examinations by motion, examinations
by notice, and examiner’s reports. This
proposal reflects the distinction
between examination by notice and
examination by motion found in the
federal rule.
The proposed subdivision (a) clarifies
that a party may serve upon another
party whose mental or physical
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condition is in controversy a notice to
attend and submit to an examination by
a suitable licensed or certified examiner.
This provision notifies parties they may
serve a request to attend and submit to
an examination on another party only if
their mental or physical condition is in
controversy. The examiner must be
licensed or certified to perform the
examination.
The Department proposes to amend
the content requirements of a notice to
attend a physical or mental
examination, currently located under
§ 18.19(c)(4). The proposed paragraph
(a)(2) provides that a notice must
specify: (A) The legal basis for the
examination; (B) the time, place,
manner, conditions, and scope of the
examination, as well as the person or
persons who will perform it; and (C)
how the reasonable transportation
expenses were calculated.
The Department proposes to add the
requirement that ‘‘unless otherwise
agreed by the parties, the notice must be
served no fewer than 14 days before the
examination date.’’ The Department
determined that a 14-day notice period
provides the person to be examined
enough time to make arrangements to
attend the physical or mental
examination or file an objection. Under
paragraph (a)(4), the person to be
examined must serve any objection to
the notice no later than 7 days after the
notice is served. The objection must be
stated with particularity. Under the
current § 18.19, the party to be
examined has 30 days to object after
service of the request. The Department
proposes to shorten the timeframe a
party has to object in order to quickly
resolve the objection and expedite the
proceedings.
Under subdivision (b), the
Department proposes to provide the
procedure for objecting to an
examination. Upon objection, the
requesting party may file a motion to
compel a physical or mental
examination. The motion must include
the elements required by § 18.62(a)(2).
The Department proposes to provide
the procedure for examiner’s reports
under subdivision (c) in order to delete
the reference to Fed. R. Civ. P. 35(b) in
the current § 18.19(c)(4). The party who
initiated the examination must deliver a
complete copy of the examination report
to the party examined, together with
like reports of all earlier examinations of
the same condition. The examiner’s
report must be in writing and must set
out in detail the examiner’s findings,
including diagnoses, conclusions, and
the results of any tests.
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§ 18.63
Requests for admission.
The Department proposes to revise
the current § 18.20 and renumber it as
proposed § 18.63. The proposed § 18.63
is modeled after Fed. R. Civ. P. 36.
The Department proposes to combine
the current subdivisions (b), (c), and (d)
into proposed subdivision (a). Under
subdivision (a), the Department
proposes to establish the procedure
whereby one party serves requests for
admission on another party, who must
investigate and either admit, deny with
specificity, or object to each requested
admission.
The scope of requests for admission is
the broad discovery available under
proposed § 18.51. The proposed
subdivision (a) clarifies that a party may
serve on any party a written request to
admit facts relating to facts, the
application of law to facts, or opinions
about either.
Under paragraph (a)(2), Form; copy of
a document, the Department clarifies
that each fact or matter for which
admission is requested should be set
forth in a separate paragraph. All facts
that are part of the request should be set
forth in the request—it is improper to
incorporate facts by reference to other
text.
Proposed paragraph (a)(3), Time to
respond; effect of not responding,
retains the same procedural
requirements of current subdivision (b)
and clarifies that a shorter or longer
time for responding may be stipulated to
under proposed § 18.54 or be ordered by
the judge.
Proposed paragraph (a)(4), Answer,
retains the same procedural
requirements of current subdivision (c)
and clarifies that if a matter is not
admitted the answer must specifically
deny it or state in detail why the
answering party cannot truthfully admit
or deny it. A denial must fairly respond
to the substance of the matter; and when
good faith requires that a party qualify
an answer or deny only a part of a
matter, the answer must specify the part
admitted and qualify or deny the rest.
Under proposed paragraph (a)(5),
Objections, the grounds for objecting to
a request must be stated. A party must
not object solely on the ground that the
request presents a genuine issue for
hearing. The proposed paragraph (a)(6)
retains the same procedural
requirements of current subdivision (d).
The Department proposes to combine
and relocate the current subdivisions (e)
and (f) to proposed subdivision (b),
Effect of an admission; withdrawing or
amending it. There are no procedural
changes to these subparts; however, the
proposed subdivision (b) clarifies that a
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judge may permit withdrawal or
amendment if it would promote the
presentation of the merits of the action
and if the judge is not persuaded that it
would prejudice the requesting party in
maintaining or defending the action on
the merits.
§ 18.64 Depositions by oral
examination.
The Department proposes to revise
the current § 18.22 and renumber it as
proposed § 18.64. The proposed § 18.64
is modeled after Fed. R. Civ. P. 30,
Depositions by oral examination.
Under § 18.64 the Department
expands the procedures for taking
depositions by oral examination and
this section must be considered in
conjunction with the other discovery
rules, in particular proposed § 18.51
governing the scope of discovery. The
Department’s regulations for depositions
by written questions are located under
proposed § 18.65.
The Department proposes to revise
subdivision (a) to address when a
deposition may be taken. The language
regarding how and by whom a
deposition may be taken in current
subdivision (a) is relocated to proposed
subdivision (b). The Department
proposes to limit the number of
depositions that parties may take to 10
depositions per side, absent leave of the
judge or stipulation with the other
parties. Depositions may be taken at any
time after an initial notice or order is
entered acknowledging that the
proceeding has been docketed at OALJ.
If the judge orders the parties to confer
under proposed § 18.50(b), depositions
must be taken within the time and
sequence agreed upon by the parties.
The Department proposes to limit the
number of depositions to 10 to
emphasize that representatives have an
obligation to develop a mutually costeffective plan for discovery in the case.
Leave to take additional depositions
should be granted when consistent with
the principles of proposed § 18.51(b)(2),
and in some cases the ten-per-side limit
should be reduced in accordance with
those same principles.
Under paragraph (a)(1), the
Department clarifies that a deponent’s
attendance may be compelled by
subpoena under § 18.56, Subpoena.
Leave of the judge is required to
depose someone if the parties have not
stipulated to the deposition and (i) The
deposition would result in more than 10
depositions being taken under this
section or § 18.65 by one of the parties;
(ii) the deponent has already been
deposed in the case; or (iii) the party
seeks to take the deposition before the
time specified in § 18.50(a), unless the
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party certifies in the notice, with
supporting facts, that the deponent is
expected to leave the United States and
be unavailable for examination in this
country after that time. Leave of the
judge must be obtained in order to take
the deposition of a person confined to
prison.
The Department proposes to combine
current subdivisions (b) and (c) into
proposed subdivision (b), Notice of the
deposition; other formal requirements.
The Department proposes to change the
timeframes under § 18.64 to be
consistent throughout Part18A. Under
proposed paragraph (b)(1), except as
stipulated or otherwise ordered by the
judge, a party who wants to depose a
person by oral questions must give
reasonable written notice to every other
party of no fewer than 14 days. The
current § 18.22(c) provides that written
notice must not be less than 5 days
when the deposition is to be taken in
the continental United States and not
less than 20 days when the deposition
is to be taken elsewhere. Under
paragraph (b)(1), the Department
proposes to clarify that if the name of
the deponent is unknown, the notice
must provide a general description
sufficient to identify the person or the
particular class or group to which the
person belongs.
The Department proposes to delete
the language in current subdivision (b)
requiring that the party giving notice
state the name of the person before
whom the deposition is to be taken. The
name of the person before whom the
deposition is to be taken is not relevant
as long as the person meets the
requirements stated in the regulation.
The Department proposes to delete
the filing language in the current
subdivision (c) because the Department
is proposing § 18.30, Service and filing,
to cover the service and filing
regulations before OALJ.
The Department proposes to add
several regulations to proposed
subdivision (b) that are not found in the
current § 18.22. These provisions are
modeled after Fed. R. Civ. P. 30(b)(2)–
(b)(5) and come into current practice
through the federal rule. Under
proposed paragraph (b)(2), if a subpoena
duces tecum is to be served on the
deponent, the materials designated for
production, as set out in the subpoena,
must be listed in the notice or in an
attachment. If the notice to a partydeponent is accompanied by a request
for production under § 18.61, the notice
must comply with the requirements of
§ 18.61(b).
The Department proposes to regulate
the method of recording depositions
under paragraph (b)(3). The notice of
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deposition must specify the method of
recording the deposition testimony.
Unless the judge orders otherwise,
testimony may be recorded by audio,
audiovisual, or stenographic means. The
noticing party bears the recording costs.
Any party may arrange to transcribe a
deposition. Under proposed
subparagraph (b)(3)(B) with prior notice
to the deponent and other parties, any
party may designate another method for
recording the testimony in addition to
that specified in the original notice. The
party bears the expense of the additional
recording or transcript unless the judge
orders otherwise.
Under proposed paragraph (b)(4), the
Department clarifies that parties may
stipulate—or the judge may on motion
order—that a deposition be taken by
telephone or other remote means. For
the purpose of this section, the
deposition takes place where the
deponent answers the questions.
The Department proposes to regulate
the officer’s duties when taking a
deposition. Under proposed
subparagraph (b)(5)(A), unless the
parties stipulate otherwise, a deposition
must be conducted before a person
having power to administer oaths. The
officer must begin the deposition with
an on-the-record statement that
includes: (i) The officer’s name and
business address: (ii) the date, time, and
place of the deposition; (iii) the
deponent’s name; (iv) the officer’s
administration of the oath or affirmation
to the deponent; (v) the identity of all
persons present; and (vi) the date and
method of service of the notice of
deposition. Specifically, (b)(5)(A)(vi) is
in response to OALJ noticing that
statements regarding notice are lacking
in depositions.
The proposed subparagraph (b)(5)(B),
provides that if the deposition is not
recorded stenographically, the officer
must repeat the items in proposed
§ 18.64(b)(5)(A)(i)–(iii) at the beginning
of each unit of the recording medium.
The deponent’s and attorneys’
appearance or demeanor must not be
distorted through recording techniques.
The proposed subparagraph (b)(5)(C),
provides that at the end of a deposition,
the officer must state on the record that
the deposition is complete and must set
out any stipulations made by the
attorneys about custody of the transcript
or recording and of the exhibits, or
about any other pertinent matters.
The proposed paragraph (b)(6)
provides that in its notice or subpoena,
a party may name as the deponent a
public or private corporation, a
partnership, an association, a
governmental agency, or other entity
and must describe with reasonable
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particularity the matters for
examination. The named organization
must then designate one or more
officers, directors, or managing agents,
or designate other persons who consent
to testify on its behalf; and it may set
out the matters on which each person
designated will testify. A subpoena
must advise a nonparty organization of
its duty to make this designation. The
persons designated must testify about
information known or reasonably
available to the organization. This
paragraph (6) does not preclude a
deposition by any other procedure
allowed by these rules.
The Department proposes to
incorporate a revised version of current
subdivision (d) into proposed
subdivision (c), Examination and crossexamination; record of the examination;
objections; written questions. Proposed
subdivision (c) clarifies that after
putting the deponent under oath or
affirmation, the officer must record the
testimony by the method designated
under § 18.64(b)(3)(A). The testimony
must be recorded by the officer
personally or by a person acting in the
presence and under the direction of the
officer.
Under paragraph (c)(2), Objections,
the Department proposes to add that an
objection at the time of the
examination— whether to evidence, to a
party’s conduct, to the officer’s
qualifications, to the manner of taking
the deposition, or to any other aspect of
the deposition—must be noted on the
record, but the examination still
proceeds; the testimony is taken subject
to any objection. An objection must be
stated concisely in a nonargumentative
and nonsuggestive manner. A person
may instruct a deponent not to answer
only when necessary to preserve a
privilege, to enforce a limitation ordered
by the judge, or to present a motion
under § 18.64(d)(3).
Under paragraph (c)(3), Participating
through written questions, the
Department clarifies that instead of
participating in the oral examination, a
party may serve written questions in a
sealed envelope on the party noticing
the deposition, who must deliver them
to the officer. The officer must ask the
deponent those questions and record the
answers verbatim.
The Department proposes to delete
the language in current § 18.22(d)
regarding use of depositions at hearing
because the Department is proposing
section § 18.55, Using depositions at
hearing.
The Department proposes to add
subdivision (d), Duration; sanction;
motion to terminate or limit, which
incorporates current subdivision (e).
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The duration of depositions is not
currently addressed by Part 18, Subpart
A. Proposed subdivision (d), modeled
after Fed. R. Civ. P. 30(d), provides for
a 7-hour time limit on depositions,
which may be extended by the judge’s
order. This subdivision also provides
protections from unreasonable or
vexatious examination during a
deposition.
Under paragraph (d)(2) the judge may
impose an appropriate sanction, in
accordance with proposed § 18.57, on a
person who impedes, delays, or
frustrates the fair examination of the
deponent. Under proposed
subparagraph (d)(3)(A), the Department
clarifies that at any time during a
deposition, the deponent or a party may
move to terminate or limit it on the
ground that it is being conducted in bad
faith or in a manner that unreasonably
annoys, embarrasses, or oppresses the
deponent or party. If the objecting
deponent or party so demands, the
deposition must be suspended for the
time necessary to obtain an order.
The Department proposes to relocate
the language in the current § 18.22(e)
regarding objections to the deposition
conduct or proceeding to proposed
§ 18.55(b) and (d).
The Department proposes to add a
new regulation under subdivision (e),
Review by the witness; changes,
modeled after Fed. R. Civ. P. 30(e).
Under paragraph (e)(1), on request by
the deponent or a party before the
deposition is completed, the deponent
must be allowed 30 days after being
notified by the officer that the transcript
or recording is available in which: (A)
To review the transcript or recording;
and (B) if there are changes in form or
substance, to sign a statement listing the
changes and the reasons for making
them. Under paragraph (e)(2) the officer
must note in the certificate prescribed
by proposed § 18.64(f)(1) whether a
review was requested and, if so, must
attach any changes the deponent makes
during the 30-day period.
The Department proposes to add a
new regulation under subdivision (f),
Certification and delivery; exhibits;
copies of the transcript or recording;
filing. This subdivision provides that
the officer must certify in writing that
the witness was duly sworn and that the
deposition transcript was a true record
of the testimony given by the deponent.
The certificate must accompany the
record of the deposition. Unless the
judge orders otherwise, the officer must
seal the deposition in an envelope or
package bearing the title of the action
and marked ‘‘Deposition of [witness’s
name}’’ and must promptly send it to
the party or the party’s representative
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who arranged for the transcript or
recording. The party or the party’s
representative must store it under
conditions that will protect it against
loss, destruction, tampering, or
deterioration.
Proposed subparagraph (f)(2)(A)
provides that documents and tangible
things produced for inspection during a
deposition must, on a party’s request, be
marked for identification and attached
to the deposition. Any party may
inspect and copy them. However, if the
person who produced them wants to
keep the originals, the person may: (i)
Offer copies to be marked, attached to
the deposition, and then used as
originals—after giving all parties a fair
opportunity to verify the copies by
comparing them with the originals; or
(ii) give all parties a fair opportunity to
inspect and copy the originals after they
are marked—in which event the
originals may be used as if attached to
the deposition. Any party may move for
an order that the originals be attached
to the deposition pending final
deposition or the proceeding under
proposed subparagraph (f)(2)(B).
Proposed paragraph (f)(3) provides
that unless otherwise stipulated or
ordered by the judge, the officer must
retain the stenographic notes of a
deposition taken stenographically or a
copy of the recording of a deposition
taken by another method. When paid
reasonable charges, the officer must
furnish a copy of the transcript or
recording to any party or the deponent.
Proposed paragraph (f)(4) provides that
a party who files the deposition must
promptly notify all other parties of the
filing. But depositions are not ordinarily
filed. See proposed § 18.30(b)(1)(B).
The Department proposes to add a
new regulation under subdivision (g),
Failure to attend a deposition or serve
a subpoena. This provision provides for
a judge to order sanctions, in
accordance with § 18.57, if a party who,
expecting a deposition to be taken,
attends in person or by an attorney, and
the noticing party failed to: (1) Attend
and proceed with the deposition; or (2)
serve a subpoena on a nonparty
deponent, who consequently did not
attend. This sanction is permissive.
§ 18.65 Depositions by Written
Questions.
The Department proposes to add a
new § 18.65 modeled after Fed. R. Civ.
P. 31. The Department proposes a new
section to provide the procedure for
taking depositions by written questions
because the current Part 18, Subpart A
rules do not specifically mention
depositions by written questions. The
current § 18.19 addresses written
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interrogatories to a party and the current
§ 18.22(a) states that ‘‘[d]epositions may
be taken by oral examination or upon
written interrogatories before any
person having power to administer
oaths.’’ The current § 18.22(a) also
provides that ‘‘[d]epositions may be
taken of any witness * * * .’’ Since
there is a specific rule addressing
written interrogatories to a party, the
Department determined that the current
§ 18.22 contemplates taking written
depositions of any witness.
The proposed subdivision (a)
addresses when a deposition may be
taken. Any party may take depositions
by serving written questions, which are
asked by the deposition officer
(stenographer) and answered orally by
the witness. A party seeking to take a
deposition by written questions must
serve a notice on all other parties stating
the name and address of the deponent,
if known, or other general description
sufficient to identify the deponent and
providing the name or title and address
of the stenographer or officer before
whom the deposition will be taken.
The notice of written deposition may
be served at any time after the parties
have conducted the discovery
conference under § 18.50(b), or earlier
with leave of the judge. In proceedings
listed in proposed § 18.51(c)(1)(B) as
exempted from initial disclosures, there
is no preliminary waiting period for
written depositions. The latest time to
conduct a deposition upon written
questions will be governed by the
judge’s scheduling order. Subpoenas
must be used to compel non-party
witnesses.
The written deposition questions for
direct examination are served upon all
parties with the notice. Within 14 days
of service of the notice and direct
examination questions, any other party
may serve cross-examination questions.
The noticing party may then serve
redirect examination questions within 7
days, and the other party may serve recross examination questions within 7
more days. The judge may shorten or
lengthen these time periods upon
motion and for cause shown. All
questions must be served on all parties.
All parties, including third-party
respondents, are limited to 10
depositions total, by written and/or oral
examination. This number may be
increased by stipulations or leave of the
judge. Leave of the judge is required to
depose someone a second time. If a
deponent is in prison, leave of the judge
is required to take a written deposition.
The scope of the written questions is the
same as oral questions, and is controlled
by proposed § 18.50. Objections to the
form of a written question must be
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served in writing upon the party
propounding the question within the
time for serving succeeding questions
and within 5 days of the last questions
authorized.
Under proposed subdivision (b),
unless a different procedure is ordered
by the judge, the party who noticed the
deposition must deliver to the officer a
copy of all the questions served and a
copy of the notice. The officer then
promptly proceeds in the manner
provided in proposed § 18.64 (c), (e),
and (f) to take the deponent’s testimony
in response to the questions; prepare
and certify the deposition; and send it
to the party, attaching a copy of the
questions and of the notice. A transcript
is then prepared and submitted to the
witness as provided in § 18.64
governing oral depositions.
Under proposed subdivision (c), the
party who noticed the deposition must
notify all other parties when it is
completed. A party who files the
depositions must promptly notify all
other parties of the filing. But
depositions are not ordinarily filed. See
proposed § 18.30(b)(1)(B).
Disposition Without Hearing
§ 18.70
Motions for dispositive action.
The Department determined that Part
18, Subpart A does not currently
address all of the potential dispositive
motions available to the parties. The
Department proposes to add § 18.70,
Motions for dispositive action, to
provide the regulations for filing
dispositive motions in a single section.
This proposed section codifies current
practice and does not model a particular
federal rule. The Department
determined that motions for summary
decision should remain a separate
section because of the multiple
requirements for filing and deciding a
motion for summary decision and the
need for that section to stand out among
the rest.
Under proposed subdivision (a), when
consistent with statute, regulation or
executive order, any party may move
under proposed § 18.33 for disposition
of the pending proceeding. If the judge
determines at any time that subjectmatter jurisdiction is lacking, the judge
must dismiss the matter.
Under proposed subdivision (b), a
party may move to remand the matter to
the referring agency when not precluded
by statute or regulation. A remand order
must include any terms or conditions
and should state the reason for the
remand.
Under proposed subdivision (c), a
party may move to dismiss part or all of
the matter for reasons recognized under
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controlling law, such as lack of subjectmatter jurisdiction, failure to state a
claim upon which relief can be granted,
or untimeliness. If the opposing party
fails to respond, the judge may consider
the motion unopposed.
Under the proposed subdivision (d),
when the parties agree that an
evidentiary hearing is not needed, they
may move for a decision based on
stipulations of fact or a stipulated
record.
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§ 18.71 Approval of settlement and
consent findings.
The Department proposes to revise
the current § 18.9 and renumber it as
proposed § 18.71.
The current § 18.9, Settlement judge
procedure, addresses three topics: (1)
Motions for consent findings and order;
(2) approval of settlement agreements;
(3) and the settlement judge procedure.
The Department proposes that new
§ 18.71 provide the regulations for
approval of settlement agreements and
motions for consent findings and order.
The Department proposes to address the
settlement judge procedure in proposed
§ 18.13, Settlement judge procedure.
In subdivision (a) the Department
proposes to clarify when a party must
submit a settlement agreement for the
judge’s review and approval. The
Department does not propose any
procedural changes from the current
§ 18.9.
In subdivision (b) the Department
proposes to clarify when a party may
file a motion for consent findings and
what the order must contain. The
Department does not propose any
procedural changes from the current
§ 18.9.
§ 18.72 Summary decision.
The current Part 18, Subpart A
contains two sections, §§ 18.40 and
18.41, that address summary decision.
The Department determined these
sections are repetitive and inadequately
organized and, therefore, proposes
§ 18.72, Summary decision, to address
summary decision in a single section.
The proposed § 18.72 is modeled after
Fed. R. Civ. P. 56 (December 2010
amendment).
In addition to the significant stylistic
changes, the Department proposes
several procedural changes in § 18.72.
Under subdivision (b), the Department
proposes to change the time
requirements for filing and responding
to motions for summary judgment. The
current § 18.40(a) provides that a party
may, at least 20 days before the date
fixed for any hearing, file a motion for
summary judgment. It states that any
other party may within 10 days after
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service of the motion, serve opposing
affidavits or countermove for summary
judgment. The Department proposes to
increase the timeframe for filing
motions for summary decision to 30
days before the date fixed for the formal
hearing.
Parties should refer to proposed
§ 18.33 for the procedure on responding
to motions. Under proposed § 18.33(d),
the Department proposes to increase the
number of days a party has to respond
to a motion from 10 days to within 14
days from the date of service. Given the
increased timeframe a party has to file
an opposition or other response to a
motion, the time for filing a summary
decision motion must be extended to
allow the judge an acceptable period of
time to rule on the motion. If a motion
is filed 30 days prior to the hearing date
and the opposing party files an
opposition or other response 14 days
after receiving the motion, the judge
will generally have adequate time to
rule on the motion before the hearing
date.
The current § 18.40(a) permits a party
to ‘‘move with or without supporting
affidavits for a summary decision
* * *.’’ Under paragraph (c)(1), the
Department proposes to require a party
to cite specific parts of the record to
support or oppose the motion. This
proposed change comports with the
standard the judge uses to review the
motion, ‘‘that there is no genuine
dispute as to any material fact and the
movant is entitled to decision as a
matter of law.’’
The last sentence of the current
§ 18.40(a) states that the administrative
law judge may set the matter for
argument and/or call for submission of
briefs. The Department proposes to
relocate this language to proposed
§ 18.33(d).
The current § 18.40(b) states the
procedure for filing and serving a
motion for summary judgment. This
provision is not included in the
proposed § 18.72 because the service
and filing of papers is covered by
proposed § 18.30, Service and filing.
Under subdivision (c), the Department
proposes a revised version of the current
§ 18.40(c). This subdivision applies to
both the moving and nonmoving party.
Under paragraph (c)(4) the Department
proposes to clarify that ‘‘an affidavit or
declaration used to support or oppose a
motion must be made on personal
knowledge, set out facts that would be
admissible in evidence, and show that
the affiant or declarant is competent to
testify on the matters stated.’’
Under subdivision (d), the
Department proposes a revised version
of current § 18.40(d). The Department
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proposes to provide the judge with more
options when a moving party denies
access to information during discovery.
In addition to denying the motion for
summary decision, the judge may
permit more time for discovery, or issue
any other appropriate order.
The Department proposes to address
three new topics under subdivisions (f),
(g), and (h). Under subdivision (f), the
Department proposes to clarify that after
giving notice and a reasonable time to
respond, the judge may: (1) Grant
summary decision for a nonmovant; (2)
grant the motion on grounds not raised
by a party; or (3) consider summary
decision on the judge’s own after
identifying for the parties material facts
that may not be genuinely disputed.
Under the current regulations, a judge
who considers summary decision on his
or her own must reference Fed. R. Civ.
P. 56 in order to order summary
judgment without a motion from the
parties. The addition of this power
within this proposed section allows the
judge to rely on the Department’s
regulations.
The Department does not propose to
change the power a judge has to issue
an order granting partial summary
judgment. Under this proposed
subdivision, the Department proposes a
procedure that the judge and parties
must follow in the hearing after the
judge grants partial summary judgment.
The judge may enter an order stating
any material fact—including an item of
damages or other relief—that is not
genuinely in dispute and treat the fact
as established in the case.
Under proposed subdivision (h), the
Department proposes to address the
actions a judge may take if an affidavit
or declaration is submitted in bad faith.
These remedies are part of the judge’s
power to regulate the hearing under the
Administrative Procedure Act.
The Department proposes to delete
the language in the current § 18.41(a)(2)
stating what a summary judgment
decision must contain. The Department
proposes § 18.92, Decision and order, to
regulate the contents of summary
judgment decisions.
The Department proposes to relocate
the language from the current § 18.41(b)
to the proposed 18.33(g) Motion hearing.
Hearing
§ 18.80
Prehearing statement.
The Department proposes to revise
the current § 18.7 and renumber it as
proposed § 18.80.
Under subdivision (a), the Department
proposes to add the requirement that a
participating party file a prehearing
statement at least 21 days prior to the
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date set for hearing, unless the judge
orders otherwise. The current § 18.7
does not have a timeframe for filing
prehearing statements. However, judges
typically include a timeframe in
prehearing orders. It is not the
Department’s intention to require the
applicable Department’s agency to file a
pre-hearing statement when it is not
actively participating in the proceeding.
For example, in a Black Lung claim in
which an employer has been identified
as the responsible operator, the Office of
Workers’ Compensation Programs,
though a party-in-interest, does not
normally take an active role. In such
circumstance it is not necessary for the
Department’s representative to file a
pre-hearing statement.
The Department proposes to add a
new provision under subdivision (b)
that requires the parties confer in good
faith to stipulate to facts to the fullest
extent possible and to prepare exhibit
lists prior to filing prehearing
statements. The Department proposes
this change to help narrow the issues to
be addressed at hearing and eliminate
unnecessary travel for potential
witnesses.
Under subdivision (c), the Department
proposes to provide a revised version of
the content requirements for a
prehearing statement from the current
§ 18.7(b). The Department proposes to
add that the prehearing statement must
include a statement of the relief sought,
a list of the party’s exhibits and the joint
exhibits. Otherwise, the content
requirements remain procedurally the
same as those in the current § 18.7.
The Department proposes to add a
new regulation under subdivision (d)
that permits the judge to require a joint
prehearing statement instead of
individual prehearing statements by the
parties.
The Department proposes to add a
new regulation under subdivision (e)
that requires a party to file objections to
an opposing party’s proposed exhibits
or use of deposition testimony within 14
days of being served. A party’s failure to
object waives the objection unless the
judge finds good cause for the failure to
object.
§ 18.81 Formal hearing.
The Department proposes to revise
the current § 18.43 and renumber it as
proposed § 18.81. The proposed § 18.81
is modeled after Fed. R. Civ. P. 43.
The Department proposes to revise
the current subdivision (a) to more
accurately address the situations when
a hearing would be closed to the public.
The current subdivision (a) states that
hearings may be closed to the public
when it is in the ‘‘best interests of the
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parties, a witness, the public or other
affected persons.’’ The Department
proposes to delete this language and
instead state that hearings may be
closed to the public ‘‘when authorized
by law and only to the minimum extent
necessary.’’ The proposed change states
the standard a judge will apply when
determining whether to close all or part
of a hearing. The applicable law does
not suggest that hearings are closed
based on the ‘‘best interests’’ of the
parties. Further, the presumption of
open hearings is supported by the
requirement that a judge close a hearing
only to the minimum extent possible.
The proposed subdivision (a) clarifies
that the judge’s order closing the
hearing must explain why the reasons
for closure outweigh the presumption of
public access to the hearing. The
Department proposes to clarify that the
judge may also close the hearing to
anticipated witnesses. Parties would not
be excluded, however. See Fed. R. Evid.
615 cmt.
The Department proposes to delete
current subdivisions (b) and (c). The
judge’s jurisdiction to decide all issues
of fact and related issues of law is
addressed by proposed § 18.12,
Proceedings before administrative law
judge. Amendments to conform to the
evidence is addressed by proposed
§ 18.36, Amendments after referral to
the Office of Administrative Law Judges,
and the note referring the parties to Fed.
R. Civ. P. 15.
The Department proposes to model a
new subdivision (b) after Fed. R. Civ. P.
43(a). The proposed subdivision (b)
requires that a witness testify in an open
hearing. However, a judge may permit
testimony in an open hearing by
contemporaneous transmission from a
different location ‘‘for good cause and
with appropriate safeguards.’’ The
Department determined that if a witness
needs to testify remotely, the witness or
party must show good cause, instead of
having to show compelling
circumstances, which is the higher legal
standard set forth in Fed. R. Civ. P.
43(a). The Department’s decision to set
a lesser standard is not intended to
diminish the importance of presenting
live testimony in hearings. The very
ceremony of a hearing and the presence
of the factfinder may exert a powerful
force for telling the truth. However, in
contrast to the federal courts, OALJ has
more relaxed evidentiary standards.
Hearings take place worldwide and are
not constrained by the concept of
‘‘venue.’’ Appropriate safeguards will be
addressed by the judge in the prehearing
order or conference and may include the
exchange of exhibits and assurances that
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the witness will not be coached during
the testimony.
Similarly, the Department proposes a
new subdivision (c) to permit a party to
participate in an open hearing by
contemporaneous transmission from a
different location for good cause and
with appropriate safeguards. This
provision accounts for the fact that some
cases involve parties located outside the
United States or in other remote
locations that are unable to attend
hearings in person. Subdivisions (b) and
(c) are not intended to suggest that
contemporaneous transmission is
routine practice. The presiding judge
may require advance notice to
determine whether good cause exists.
§ 18.82 Exhibits.
The Department proposes to revise
the current §§ 18.47 through 18.50 as
part of the general restyling of the Part
18, Subpart A rules of procedure. The
current §§ 18.47 through 18.50 are
combined into a single section covering
exhibits, proposed § 18.82.
The Department proposes to relocate
the language from the current § 18.47 to
subdivisions (a), Identification, (b),
Electronic data, (c), Exchange of
exhibits, and (e), Substitution of copies
for original exhibits, in § 18.82. In
subdivision (a), the Department
proposes to add a provision stating that
the exhibits should be numbered and
paginated as the judge directs. The
Department determined that this
requirement is sufficiently broad to
cover the variety of judges’ preferences
for organizing exhibits, so that
references in the testimonial record to
exhibit pages will be clear.
The Department proposes to relocate
the language from the current § 18.48 to
proposed subdivision (g), Records in
other proceedings. The Department
proposes to revise the structure of this
subdivision for clarity, but does not
propose any procedural changes.
The Department proposes to relocate
the language from the current § 18.49 to
proposed subdivision (f), Designation of
parts of documents. The Department
proposes to revise the structure of this
subdivision and delete the redundant
language. The Department proposes to
revise the first sentence to emphasize
the procedure for excluding irrelevant
material. The second sentence is deleted
as a matter left to each judge’s discretion
and because other rules will apply to
submitting evidence and marking
exhibits.
The Department proposes to relocate
the language from current § 18.50 to
proposed subdivision (d), Authenticity.
The Department proposes to revise the
structure of this subdivision to improve
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in the evidence without noticing the
parties before issuing a decision and
order. The parties have an opportunity
to be heard after the order is issued.
§ 18.83 Stipulations.
The Department proposes to revise
the current § 18.51, renumber it as
proposed § 18.83, and include it under
subdivision (a). The Department does
not propose any procedural changes to
this subpart.
The Department proposes to add new
regulations under subdivisions (b) and
(c). These provisions are based on
current practice as stipulations typically
result from a judge’s order. The
proposed subdivision (b) applies to
extensions of time not covered by
proposed §§ 18.33, Motions and other
papers, and 18.41, Continuances and
changes in place of hearing. The new
provision states that ‘‘[e]very stipulation
that requests or requires a judge’s action
must be written and signed by all
affected parties or their representatives.
Any stipulation to extend time must
state the reason for the date change.’’
Under proposed subdivision (c), the
Department proposes that ‘‘[a] proposed
form of order may be submitted with the
stipulation; it may consist of an
endorsement on the stipulation of the
words, ‘Pursuant to stipulation, it is so
ordered’ with spaces designated for the
date and the signature of the judge.’’
srobinson on DSK4SPTVN1PROD with
clarity, but does not propose any
procedural changes.
Under subdivision (b), Electronic
data, the Department proposes that ‘‘by
order the judge may prescribe the format
for the submission of data that is in
electronic form.’’
The Department proposes to revise
the current §§ 18.46 and 18.56 and
combine them into a single section,
proposed § 18.85, covering privileged,
sensitive, or classified material.
The Department proposes to relocate
the content from the current § 18.46 to
subdivision (a). The current § 18.46
addresses several topics: (1) Limiting
discovery and the introduction of
evidence based on claims of privilege;
(2) limiting the introduction of evidence
based on claims of classified or sensitive
information; (3) providing a summary or
extracted version of a document to limit
disclosures of classified or sensitive
material; (4) permitting access to
classified or sensitive matters despite
their nature; and (5) requiring a
representative to seek a security
clearance in order to view the
information.
The proposed subdivision (a) is more
limited in scope than the current
§ 18.46. The procedures to limit the
scope of discovery based on claims of
privilege or sensitive information are
addressed by proposed §§ 18.51,
Discovery scope and limits, and 18.52,
Protective orders. Accordingly, the
references to limiting discovery in
current subdivision (a) and paragraph
(b)(1) are deleted.
The references to obtaining a security
clearance in current paragraph (b)(2) are
also deleted. The need for a participant
in a hearing to obtain a security
clearance is a rare event before OALJ.
The Part 18, Subpart A rules are
designed to apply to the typical types of
cases heard by OALJ; the rules do not
address all of the exceptions or
possibilities that may occur in specific
cases. Further, the process for seeking a
security clearance would be determined
by the federal agency holding the
classified or sensitive information. OALJ
does not independently facilitate a
security clearance process. For these
reasons, the references to obtaining a
security clearance are deleted from
proposed § 18.85.
The Department proposes to relocate
the content from the current § 18.56 to
subdivision (b). The proposed rule
retains the option provided in current
subdivision (a) that a party or the judge
may move to seal a portion of the
record. This section continues to require
that the sealed portion of the record be
clearly marked and maintained
§ 18.84 Official notice.
The Department proposes to revise
the current § 18.45 and renumber it as
proposed § 18.84.
Under this section, the Department
proposes to clarify the procedures a
judge must follow when taking official
notice. The Department proposes that
official notice may be taken on motion
of a party or on the judge’s own. The
current § 18.45 states that official notice
may be taken on ‘‘any material fact, not
appearing in evidence in the record,
which is among the traditional matters
of judicial notice.’’ This proposed
change clarifies that official notice may
be taken of any ‘‘adjudicative fact or
matter subject to judicial notice.’’
The proposed § 18.63, Request for
admission and the current § 18.201,
Official notice of adjudicative facts, do
not require advance notice before the
judge takes official notice, but rather an
opportunity to be heard. The
Department, therefore, decided not to
propose an advance notice requirement
in this section. In some situations the
judge may take official notice of a
noncontroversial fact that was omitted
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§ 18.85 Privileged, sensitive, or
classified materials.
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separately from other parts of the record
in the case.
The proposed subdivision (b) imposes
new requirements on parties. When
filing a motion to seal the record, a party
must propose a redaction no broader
than necessary for inclusion in the
public record. If the movant finds that
a redaction would be so extensive as to
make the material meaningless, the
movant must file a summary of the
material to be included in the public
record. The requirement of filing a
redacted copy or summary along with
the motion to seal the record ensures
that the public continues to have access
to as much information as possible
regarding the proceedings.
Under paragraph (b)(2), if the judge
issues an order sealing all or part of the
record, the judge must explain why the
need to seal part of the record outweighs
the presumption of public access. A
redacted version or summary of the
material must be included in the record
unless the redactions make the public
version of the material meaningless, or
if the redacted version or summary
defeats the reason the original is sealed.
Notwithstanding the judge’s order, all
parts of the record remain subject to
statutes and regulations pertaining to
public access to agency records.
§ 18.86 Hearing room conduct.
The Department proposes to revise
the current § 18.37 and renumber it as
proposed § 18.86.
The first sentence of the current
§ 18.37 states that proceedings are to be
conducted in an orderly manner. The
Department proposes to amend this
sentence to directly address how
participants must conduct themselves
during a hearing, instead of generally
stating how the hearing should be
managed. The proposed change
provides direct instructions to the
participants.
The Department proposes to retain the
prohibition on food and beverage
consumption and the rearranging of
furniture in the hearing location. The
Department proposes to delete the
reference to smoking. Prohibitions on
smoking in public places, specifically
hearing locations, are more ubiquitous
than in 1983 when the current Part 18,
Subpart A was adopted. A specific
prohibition in Part 18, Subpart A,
therefore, is not required.
The Department proposes to add a
prohibition on disrupting proceedings
with electronic devices. This addition is
a result of changing technology since
the current Part 18, Subpart A was
adopted. Electronic devices and their
use can be distracting and disruptive
during a hearing. Accordingly, limiting
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the use and noise produced by
electronic devices facilitates the orderly
conduct of a hearing. Parties, witnesses
and spectators are also prohibited from
using video or audio recording devices
to record hearings.
§ 18.87
Standards of conduct.
The Department proposes to revise
the current § 18.36 and renumber it as
proposed § 18.87.
The Department proposes to divide
the current subdivision (b) into two
subdivisions: (b), Exclusion for
misconduct, and (c), Review of
representative’s exclusion. Under 18.87
(b), the Department proposes to define
the types of conduct that may result in
a party or the party’s representative
being excluded from a proceeding.
Under subdivision (c), the Department
proposes to provide the procedure a
party’s representative must initiate in
order to be reinstated as a representative
in a particular matter. The current
§ 18.36 does not indicate a time period
in which the representative must seek
reinstatement. The Department proposes
a 7-day time period for a representative
to request reinstatement. Seven days is
proposed so as not to create too long a
delay in proceeding with the claim.
srobinson on DSK4SPTVN1PROD with
§ 18.88
Transcript of proceedings.
The Department proposes to revise
the current § 18.52 and renumber it as
proposed § 18.88.
The Department proposes to limit the
application of this section to hearing
transcripts and corrections to the
transcript. The Department, therefore,
proposes to delete the second and third
sentences of the current subdivision (a).
The second sentence refers to the basis
of the judge’s decision, which is
controlled by sec. 557(b) of the APA.
Because this current provision is
covered by a statute, it is unnecessary to
include the provision in the proposed
§ 18.88. The Department propose to
delete the references to exhibits in the
third sentence because the
identification, marking, and inclusion of
exhibits in the record are addressed by
proposed § 18.82, Exhibits.
The Department proposes to amend
the first sentence of the current
subdivision (a) to require that all
hearings be recorded and transcribed.
The Department proposes to delete the
methods of recording and transcription
in recognition of the variety of
technologies used to record and
transcribe proceedings. The deletion,
however, does not alter the meaning or
application of the rule. The rule
continues to require a transcript of a
hearing.
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Under subdivision (b), the
Department proposes to extend the time
permitted to file a motion to correct a
transcript to 14 days. The current
subdivision (b) requires that a party file
the motion within 10 days of receipt of
the transcript. This change to 14 days
comports with the general revision to
set time periods based on multiples of
7.
The Department proposes to add a
new provision under subdivision (b) to
permit a judge to correct a transcript on
his or her own, without a prior motion
from a party, prior to issuing a decision.
If a judge corrects the transcript, the
judge must provide notice to the parties.
Post Hearing
§ 18.90 Closing the record; additional
evidence.
The Department proposes to revise
the current §§ 18.54 and 18.55 and
combine them into proposed § 18.90.
The Department proposes to combine
the current § 18.54(a) and (b) into
proposed subdivision (a). The
Department proposes only stylistic
changes to the language of these current
subdivisions.
The Department proposes to
incorporate the provisions contained in
existing §§ 18.54(c) and 18.55 into
proposed subdivision (b). The paragraph
(b)(1) provides the standard the judge
will apply when ruling on a motion to
admit additional evidence. The
proposed section retains the
requirement that the additional
evidence be ‘‘new and material
evidence.’’ The proposed section
requires that the party demonstrate that
it could not have discovered the new
evidence with reasonable diligence
before the record closed.
Under paragraph (b)(1), the
Department proposes to require the
party offering the additional evidence to
file a motion promptly after discovering
the evidence. This sentence makes
several changes to the existing
requirement in § 18.55. First, the
proposed section emphasizes that a
party must file a motion asking to
reopen the record for filing additional
evidence. Requiring the party to file a
motion incorporates the requirements of
proposed § 18.33, Motions and other
papers, including the time to respond to
motions.
The Department proposes to delete
the timeframe for filing and responding
to additional evidence in the current
§ 18.55. Constraining the party to filing
new evidence 20 days after the close of
the hearing was an unnecessarily
restrictive time limit. If a party promptly
files a motion seeking to reopen the
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record based on new and material
evidence that was not available before
the hearing, the judge will consider the
motion based on the requirements of the
proposed (b)(1).
The Department proposes to clarify in
paragraph (b)(2) that if the record is
reopened, the other parties must have
an opportunity to offer responsive
evidence, and a new evidentiary hearing
may be set.
The Department proposes to revise
the final sentence of the current
§ 18.54(c) and relocate it to proposed
subdivision (c). The Department
proposes to revise this subdivision to
instruct the parties that the record will
remain open for additional appropriate
motions; the content of the record is
defined in proposed § 18.88.
§ 18.91 Post-hearing brief.
The Department proposes to revise
the current § 18.57 and separate the
content into two separate sections:
§§ 18.91, Post-hearing briefs, and 18.92,
Decisions of the administrative law
judge. The Department proposes to
relocate the content from the current
§ 18.57(a) to proposed § 18.91.
The Department proposes to eliminate
the 20-day filing period set in the
current § 18.57(a). The 20-day timeframe
for filing proposed findings of fact,
conclusions of law, and a proposed
order is rarely used by parties before
OALJ. Instead, the parties follow the
schedule ordered by the judge at the
close of the formal hearing or the judge’s
order granting a hearing on the record.
Accordingly, the proposed section
permits the parties to file closing briefs
within the time period established by
the judge.
The Department determined that
parties before OALJ rarely file proposed
findings of facts and proposed order, as
litigants file in state or federal district
court. Rather, parties or their
representatives typically file posthearing briefs. Under the proposed
§ 19.91, the Department proposes that
judges allow a party or representative to
file a post-hearing brief that emphasizes
the three major items parties should
emphasize in closing briefs: findings of
fact, conclusions of law and the specific
relief sought. Like the current
regulation, the proposed section
requires that the post-hearing briefs
refer to all portions of the record and
cite authorities supporting the party’s
assertions.
The Department proposes to delete
the provision in the current § 18.57(a)
that requires parties to serve posthearing filings on all parties. Under
proposed § 18.30, Service and filing, all
papers must be served on every party.
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Therefore, it is unnecessary to repeat the
requirement in this section.
§ 18.92
Decision and order.
The Department proposes to revise
the current § 18.57 and separate the
content into separate sections: §§ 18.91,
Post hearing briefs and 18.92, Decisions
and order. The Department proposes to
delete the language from the current
§ 18.57(b) and replace it with proposed
§ 18.92.
The Department proposes to delete
the reference to issuing a decision and
order within 30 days of receipt of
proposed consent findings and order.
Instead, the proposed section states that
‘‘at the conclusion of the proceeding,
the judge must issue a written decision
and order.’’ OALJ has jurisdiction to
decide claims under a variety of statutes
which impose different, but specific
timeframes for issuing a decision and
order. When a statute or regulation does
not specifically mention a timeframe for
issuing a decision and order, the judge,
as is current practice, will issue a
decision and order within a reasonable
time.
The Department proposes to delete
the last three sentences of the current
§ 18.57. The statements repeat the
requirements imposed by sec. 557(c) of
the APA, therefore, the Department
determined that it is unnecessary to
repeat the substantive requirements of
the judge’s decision in OALJ’s rules of
procedure. These APA requirements
will continue to apply to decisions and
orders issued by OALJ judges.
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§ 18.93
Motion for reconsideration.
The Department proposes to add a
new § 18.93 modeled after Fed. R. Civ.
P. 59(e), Motions to alter or amend a
judgment.
Under proposed § 18.93, the
Department proposes that ‘‘a motion for
reconsideration of a decision and order
must be filed no later than 10 days after
service of the decision on the moving
party.’’ The purpose of this section is to
make clear that judges possess the
power to alter or amend a judgment
after its entry.
The Department proposes to set a 10day limitation on filing a motion for
reconsideration; however, it recognizes
that governing statutes, regulations, and
executive orders, such as the Black Lung
regulations, may provide a different
time for filing motions for
reconsideration. In those circumstances,
the rule of special application will
apply.
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§ 18.94 Indicative ruling on a motion
for relief that is barred by a pending
petition for review.
The Department proposes to add a
new § 18.94 modeled after Fed. R. Civ.
P. 62.1 (December 1, 2009). The current
Part 18, Subpart A does not specifically
mention indicative rulings on a motion
for relief that is barred by a pending
appeal or petition for review. The
proposed § 18.94 applies to motions
made before a judge after an appeal has
been docketed with an appellate board,
and the judge no longer has jurisdiction
over the merits of the case. At OALJ
parties occasionally file post-appeal
motions, so the Department determined
that it is helpful to have a section that
informs the judge and the appellate
board how the motion should be
addressed. Inclusion of this section is
consistent with the Department’s
approach to include provisions from the
FRCP unless the rule is inapplicable to
OALJ proceedings.
The proposed § 18.94 does not
attempt to define the circumstances in
which an appeal limits or defeats the
judge’s authority to act in the face of a
pending appeal. This section applies
only when the rules that govern the
relationship between the judge and
appellate review boards deprive the
judge of the authority to grant relief
without appellate permission. If a judge
concludes that he or she has authority
to grant relief without appellate
permission, he or she may act without
falling back on the indicative ruling
procedure.
Often it will be appropriate for the
judge to determine whether the judge in
fact would grant the motion if the
appellate review board remands for that
purpose. But a motion may present
complex issues that require extensive
litigation and that may either be mooted
or be presented in a different context by
decision of the issues raised on appeal.
In such circumstances the judge may
prefer to state that the motion raises a
substantial issue, and to state the
reasons why the judge prefers to decide
it only if the appellate review board
agrees that it would be useful to decide
the motion before decision of the
pending appeal. The judge is not bound
to grant the motion after stating that the
motion raises a substantial issue; further
proceedings on remand may show that
the motion ought not to be granted.
§ 18.95
Review of Decision
The Department proposes to revise
the current § 18.58 and renumber it as
proposed § 18.95. As in the current rule,
the proposed rule states that the statute
or regulation that conferred hearing
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jurisdiction provides the procedure for
review of a judge’s decision. If the
statute or regulation does not provide a
procedure, the judge’s decision becomes
the Secretary’s final administrative
decision. The Department does not
propose any procedural changes to this
rule.
Section Deletions
The Department proposes to delete
the current § 18.13. The first sentence of
the rule lists the methods of discovery
available to a party. Prior to the 2007
amendments, the FRCP included a
similar provision under Fed. R. Civ. P.
26; however, the 2007 amendments to
the FRCP deleted this provision. The
2007 Advisory Committee Notes to Fed.
R. Civ. P. 26 state that ‘‘former Rule
26(a)(5) served as an index of the
discovery methods provided by later
rules. It was deleted as redundant.’’
Similarly, the Department proposes to
delete the first sentence of the current
§ 18.13 just as Fed. R. Civ. P. 26(a)(5)
was deleted. The second sentence to the
current § 18.13 explains that, unless the
judge orders otherwise, there are no
limits on the frequency or sequence for
use of the discovery methods. The
frequency, timing, and sequence of
discovery are addressed by proposed
§ 18.50, General provisions governing
disclosure and discovery. Accordingly,
the Department proposes to delete the
second sentence of the current § 18.13.
The Department proposes to delete
the current § 18.32. The text of current
§ 18.32 is based on § 554(d) of the APA.
This regulation repeats the statute
without adding additional procedures or
guidance, therefore, the Department
proposes to delete it.
The Department proposes to delete
the current § 18.33. The parties’ right to
a hearing within a reasonable time is
encompassed in proposed § 18.10,
Scope and purpose. The proposed
§ 18.10(a) states that the rules of
procedure ‘‘should be construed and
administered to secure the just, speedy,
and inexpensive determination of every
proceeding.’’ The Department
determined that repeating the statement
of a speedy determination in current
§ 18.33 is redundant.
The Department proposes to delete
the current § 18.53. The proposed
§ 18.12, Proceedings before
administrative law judge, which
combines the current §§ 18.25 and
18.29, addresses the ability of the judge
to conduct the hearing. The contents of
the current § 18.53 are repetitious given
the revisions to the proposed § 18.12.
The Department proposes to delete
the current § 18.59. If OALJ receives a
request for a certified copy of the record,
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the request would originate with a
reviewing body or court. The terms of
sending the record would be controlled
by the request or court order. Thus, it
is not practicable to have a uniform rule
governing the procedure for sending a
certified copy of the record. Further,
determining the appropriate record
custodian and the procedures for
certifying the record are internal matters
within OALJ and the Department. Based
on these facts, the Department has
determined that the current § 18.59
should be deleted.
List of Subjects in 29 CFR Part 18
Administrative practice and
procedure, Labor.
Signed at Washington, DC.
Hilda L. Solis,
U.S. Secretary of Labor.
For the reasons set out in the
Preamble, the Office of the Secretary,
Labor proposes to amend 29 CFR part 18
as set forth below.
PART 18—RULES OF PRACTICE AND
PROCEDURE FOR ADMINISTRATIVE
HEARINGS BEFORE THE OFFICE OF
ADMINISTRATIVE LAW JUDGES
1. The authority citations for Part 18
continue to read as follows:
Authority: 5 U.S.C. 301; 5 U.S.C. 551–553;
5 U.S.C. 571 note; E.O. 12778; 57 FR 7292.
2. Revise Subpart A to read as follows:
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Subpart A—General
Sec.
General Provisions
18.10 Scope and purpose.
18.11 Definitions.
18.12 Proceedings before administrative
law judge.
18.13 Settlement judge procedure.
18.14 Ex parte communication.
18.15 Substitution of administrative law
judge.
18.16 Disqualification.
18.17 Legal assistance.
Parties and Representatives
18.20 Parties to a proceeding.
18.21 Party appearance and participation.
18.22 Representatives.
18.23 Disqualification and discipline of
representatives.
18.24 Briefs from amicus curiae.
Service, Format and Timing of Filings and
Other Papers
18.30 Service and filing.
18.31 Privacy protection for filings and
exhibits.
18.32 Computing and extending time.
18.33 Motions and other papers.
18.34 Format of papers filed.
18.35 Signing motions and other papers;
representations to the judge; sanctions.
18.36 Amendments after referral to the
Office of Administrative Law Judges.
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Prehearing Procedure
18.40 Notice of hearing.
18.41 Continuances and changes in place
of hearing.
18.42 Expedited proceedings.
18.43 Consolidation; separate hearings.
18.44 Prehearing conference.
Disclosure and Discovery
18.50 General provisions governing
disclosure and discovery.
18.51 Discovery scope and limits.
18.52 Protective orders.
18.53 Supplementing disclosures and
responses.
18.54 Stipulations about discovery
procedure.
18.55 Using depositions at hearings.
18.56 Subpoena.
18.57 Failure to make disclosures or to
cooperate in discovery; sanctions.
Types of Discovery
18.60 Interrogatories to parties.
18.61 Producing documents, electronically
stored information, and tangible things,
or entering onto land, for inspection and
other purposes.
18.62 Physical and mental examinations.
18.63 Requests for admission.
18.64 Depositions by oral examination.
18.65 Depositions by written questions.
Disposition Without Hearing
18.70 Motions for dispositive action.
18.71 Approval of settlement or consent
findings.
18.72 Summary decision.
Hearing
18.80 Prehearing statement.
18.81 Formal hearing.
18.82 Exhibits.
18.83 Stipulations.
18.84 Official notice.
18.85 Privileged, sensitive, or classified
material.
18.86 Hearing room conduct.
18.87 Standards of conduct.
18.88 Transcript of proceedings.
Post Hearing
18.90 Closing the record; subsequent
motions.
18.91 Post-hearing brief.
18.92 Decision and order.
18.93 Motion for reconsideration.
18.94 Indicative ruling on a motion for
relief that is barred by a pending petition
for review.
18.95 Review of Decision.
General Provisions
§ 18.10
Scope and purpose.
(a) In general. These rules govern the
procedure in proceedings before the
United States Department of Labor,
Office of Administrative Law Judges.
They should be construed and
administered to secure the just, speedy,
and inexpensive determination of every
proceeding. To the extent that these
rules may be inconsistent with a
governing statute, regulation, or
executive order, the latter controls. If a
specific Department of Labor regulation
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governs a proceeding, the provisions of
that regulation apply, and these rules
apply to situations not addressed in the
governing regulation. The Federal Rules
of Civil Procedure (FRCP) apply in any
situation not provided for or controlled
by these rules, or a governing statute,
regulation, or executive order.
(b) Type of proceeding. Unless the
governing statute, regulation, or
executive order prescribes a different
procedure, proceedings follow the
Administrative Procedure Act, 5 U.S.C.
551 through 559.
(c) Waiver, modification, and
suspension. Upon notice to all parties,
the presiding judge may waive, modify,
or suspend any rule under this subpart
when doing so will not prejudice a party
and will serve the ends of justice.
§ 18.11
Definitions.
For purposes of these rules, these
definitions supplement the definitions
in the Administrative Procedure Act, 5
U.S.C. 551.
(a) Calendar call means a meeting in
which the judge calls cases awaiting
hearings, determines case status, and
assigns a hearing date and time.
(b) Chief Judge means the Chief
Administrative Law Judge of the United
States Department of Labor Office of
Administrative Law Judges and judges
to whom the Chief Judge delegates
authority.
(c) Docket clerk means the Chief
Docket Clerk at the Office of
Administrative Law Judges in
Washington, DC. But once a case is
assigned to a judge in a district office,
docket clerk means the docket staff in
that office.
(d) Hearing means that part of a
proceeding consisting of a session to
decide issues of fact or law that is
recorded and transcribed and provides
the opportunity to present evidence or
argument.
(e) Judge means an administrative law
judge appointed under the provisions of
5 U.S.C. 3105.
(f) Order means the judge’s
disposition of one or more procedural or
substantive issues, or of the entire
matter.
(g) Proceeding means an action before
the Office of Administrative Law Judges
that creates a record leading to an
adjudication or order.
(h) Representative means any person
permitted to represent another in a
proceeding before the Office of
Administrative Law Judges.
§ 18.12 Proceedings before administrative
law judge.
(a) Designation. The Chief Judge
designates the presiding judge for all
proceedings.
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(b) Authority. In all proceedings
under this Part, the judge has all powers
necessary to conduct fair and impartial
proceedings, including those described
in the Administrative Procedure Act, 5
U.S.C. 556. Among them is the power
to:
(1) regulate the course of proceedings
in accordance with applicable statute,
regulation or executive order;
(2) administer oaths and affirmations
and examine witnesses;
(3) compel the production of
documents and appearance of witnesses
within a party’s control;
(4) issue subpoenas authorized by
law;
(5) rule on offers of proof and receive
relevant evidence;
(6) dispose of procedural requests and
similar matters;
(7) terminate proceedings through
dismissal or remand when not
inconsistent with statute, regulation, or
executive order;
(8) issue decisions and orders;
(9) exercise powers vested in the
Secretary of Labor that relate to
proceedings before the Office of
Administrative Law Judges; and
(10) take actions authorized by the
FRCP.
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§ 18.13
Settlement judge procedure.
(a) How initiated. The Office of
Administrative Law Judges provides
settlement judges to aid the parties in
resolving the matter that is the subject
of the controversy. Upon a joint request
by the parties or upon referral by the
judge when no party objects, the Chief
Judge may appoint a settlement judge. A
settlement judge will not be appointed
when settlement proceedings would be
inconsistent with a statute, regulation,
or executive order.
(b) Appointment. The Chief Judge has
discretion to appoint a settlement judge,
who must be an active or retired judge.
The settlement judge will not be
appointed to hear and decide the case
or approve the settlement without the
parties’ consent and the approval of the
Chief Judge.
(c) Duration of settlement proceeding.
Unless the Chief Judge directs
otherwise, settlement negotiations
under this section must be completed
within 60 days from the date of the
settlement judge’s appointment. The
settlement judge may request that the
Chief Judge extend the appointment.
The negotiations will be terminated if a
party withdraws from participation, or if
the settlement judge determines that
further negotiations would be
unproductive or inappropriate.
(d) Powers of the settlement judge.
The settlement judge may convene
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settlement conferences; require the
parties or their representatives to attend
with full authority to settle any
disputes; and impose other reasonable
requirements to expedite an amicable
resolution of the case.
(e) Stay of proceedings before
presiding judge. The appointment of a
settlement judge does not stay any
aspect of the proceeding before the
presiding judge. Any motion to stay
must be directed to the presiding judge.
(f) Settlement conferences. Settlement
conferences may be conducted by
telephone, videoconference or in person
at the discretion of the settlement judge
after considering the nature of the case,
location of the participants, availability
of technology, and efficiency of
administration.
(g) Confidentiality. All discussions
with the settlement judge are
confidential; none may be recorded or
transcribed. The settlement judge must
not disclose any confidential
communications made during
settlement proceedings, except as
required by statute, executive order, or
court order. The settlement judge may
not be subpoenaed or called as a witness
in any hearing of the case or any
subsequent administrative proceedings
before the Department to testify to
statements made or conduct during the
settlement discussions.
(h) Report. The parties must promptly
inform the presiding judge of the
outcome of the settlement negotiations.
If a settlement is reached, the parties
must submit the required documents to
the presiding judge within 14 days of
the conclusion of settlement discussions
unless the presiding judge orders
otherwise.
(i) Non-reviewable decisions. Whether
a settlement judge should be appointed,
the selection of a particular settlement
judge, or the termination of proceedings
under this section, are matters not
subject to review by Department
officials.
§ 18.14
Ex parte communication.
The parties, their representatives, or
other interested persons must not
engage in ex parte communications on
the merits of a case with the judge.
§ 18.15
judge.
Substitution of administrative law
(a) Substitution during hearing. If the
judge is unable to complete a hearing,
a successor judge designated pursuant
to § 18.12 may proceed upon certifying
familiarity with the record and
determining that the case may be
completed without prejudice to the
parties. The successor judge must, at a
party’s request, recall any witness
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whose testimony is material and
disputed and who is available to testify
again without undue burden. The
successor judge may also recall any
other witness.
(b) Substitution following hearing. If
the judge is unable to proceed after the
hearing is concluded, the successor
judge appointed pursuant to § 18.12
may issue a decision and order based
upon the existing record after notifying
the parties and giving them an
opportunity to respond. Within 14 days
of receipt of the judge’s notice, a party
may file an objection to the judge
issuing a decision based on the existing
record. If no objection is filed, the
objection is considered waived. Upon
good cause shown, the judge may order
supplemental proceedings.
§ 18.16
Disqualification.
(a) Disqualification on judge’s
initiative. A judge must withdraw from
a proceeding whenever he or she
considers himself or herself
disqualified.
(b) Request for disqualification. A
party may file a motion to disqualify the
judge. The motion must allege grounds
for disqualification, and include any
appropriate supporting affidavits,
declarations or other documents. The
presiding judge must rule on the motion
in a written order that states the grounds
for the ruling.
§ 18.17
Legal assistance.
The Office of Administrative Law
Judges does not appoint representatives,
refer parties to representatives, or
provide legal assistance.
Parties and Representatives
§ 18.20
Parties to a proceeding.
A party seeking original relief or
action is designated a complainant,
claimant or plaintiff, as appropriate. A
party against whom relief or other
action is sought is designated a
respondent or defendant, as appropriate.
When participating in a proceeding, the
applicable Department of Labor’s agency
is a party or party-in-interest.
§ 18.21 Party appearance and
participation.
(a) In general. A party may appear and
participate in the proceeding in person
or through a representative.
(b) Waiver of participation. By filing
notice with the judge, a party may waive
the right to participate in the hearing or
the entire proceeding. When all parties
waive the right to participate in the
hearing, the judge may issue a decision
and order based on the pleadings,
evidence, and briefs.
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(c) Failure to appear. When a party
has not waived the right to participate
in a hearing, conference or proceeding
but fails to appear at a scheduled
hearing or conference, the judge may,
after notice and an opportunity to be
heard, dismiss the proceeding or enter
a decision and order without further
proceedings if the party fails to establish
good cause for its failure to appear.
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§ 18.22
Representatives.
(a) Notice of appearance. When first
making an appearance, each
representative must file a notice of
appearance that indicates on whose
behalf the appearance is made and the
proceeding name and docket number.
The notice of appearance shall also
include the statements and
documentation required for admission
to appear for the applicable category of
representation found in subdivision (b)
of this section.
(b) Categories of representation;
admission standards.
(1) Attorney representative. Under
these rules, ‘‘attorney’’ or ‘‘attorney
representative’’ means an individual
who has been admitted to the bar of the
highest court of a State, Commonwealth,
or Territory of the United States, or the
District of Columbia.
(A) Attorney in good standing. An
attorney who is in good standing in his
or her licensing jurisdiction may
represent a party or subpoenaed witness
before the Office of Administrative Law
Judges. The attorney’s representation of
good standing is sufficient proof of good
standing, unless otherwise directed by
the judge.
(B) Attorney not in good standing. An
attorney who is not in good standing in
his or her licensing jurisdiction may not
represent a party or subpoenaed witness
before the Office of Administrative Law
Judges, unless he or she obtains the
judge’s approval. Such an attorney must
file a written statement that establishes
why the failure to maintain good
standing is not disqualifying. The judge
may deny approval for the appearance
of such an attorney after providing
notice and an opportunity to be heard.
(C) Disclosure of discipline. An
attorney representative must promptly
disclose to the judge any action
suspending, enjoining, restraining,
disbarring, or otherwise currently
restricting him or her in the practice of
law.
(2) Non-attorney representative. An
individual who is not an attorney as
defined by paragraph (b)(1) may
represent a party or subpoenaed witness
upon the judge’s approval. The
individual must file a written request to
serve as a non-attorney representative
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that sets forth the name of the party or
subpoenaed witness represented and
certifies that the party or subpoenaed
witness desires the representation. The
judge may require that the
representative establish that he or she is
subject to the laws of the United States
and possesses communication skills,
knowledge, character, thoroughness and
preparation reasonably necessary to
render appropriate assistance. The judge
may inquire as to the qualification or
ability of a non-attorney representative
to render assistance at any time. The
judge may deny the request to serve as
non-attorney representative after
providing the party or subpoenaed
witness with notice and an opportunity
to be heard.
(c) Duties. A representative must be
diligent, prompt, and forthright when
dealing with parties, representatives and
the judge, and act in a manner that
furthers the efficient, fair and orderly
conduct of the proceeding. An attorney
representative must adhere to the
applicable rules of conduct for the
jurisdiction(s) in which the attorney is
admitted to practice.
(d) Prohibited actions. A
representative must not:
(1) threaten, coerce, intimidate,
deceive or knowingly mislead a party,
representative, witness, potential
witness, judge, or anyone participating
in the proceeding regarding any matter
related to the proceeding;
(2) knowingly make or present false or
misleading statements, assertions or
representations about a material fact or
law related to the proceeding;
(3) unreasonably delay, or cause to be
delayed, without good cause, any
proceeding; or
(4) engage in any other action or
behavior prejudicial to the fair and
orderly conduct of the proceeding.
(e) Withdrawal of appearance. A
representative who desires to withdraw
after filing a notice of appearance or a
party desiring to withdraw the
appearance of a representative must file
a motion with the judge. The motion
must state that notice of the withdrawal
has been given to the party, client or
representative. The judge may deny a
representative’s motion to withdraw
when necessary to avoid undue delay or
prejudice to the rights of a party.
§ 18.23 Disqualification and discipline of
representatives.
(a) Disqualification.
(1) Grounds for disqualification.
Representatives qualified under § 18.22
may be disqualified upon:
(A) conviction of a felony;
(B) conviction of a misdemeanor, a
necessary element of which includes:
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(i) interference with the
administration of justice;
(ii) false swearing;
(iii) misrepresentation;
(iv) fraud;
(v) willful failure to file an income tax
return;
(vi) deceit;
(vii) bribery;
(viii) extortion;
(ix) misappropriation;
(x) theft; or
(xi) attempt, conspiracy, or
solicitation to commit a serious crime.
(C) suspension or disbarment by any
court or agency of the United States, the
District of Columbia, any state, territory,
commonwealth or possession of the
United States;
(D) disbarment on consent or
resignation from the bar of a court or
agency while an investigation into an
allegation of misconduct is pending;
(2) Disqualification procedure. The
Chief Judge must provide notice and an
opportunity to be heard as to why the
representative should not be
disqualified from practice before the
Office of Administrative Law Judges.
The notice will include a copy of the
document that provides the grounds for
the disqualification. Unless otherwise
directed, any response must be filed
within 21 days of service of the notice.
The Chief Judge’s determination must
be based on the reliable, probative and
substantial evidence of record,
including the notice and response.
(b) Discipline.
(1) Grounds for discipline. The Office
of Administrative Law Judges may
suspend, disqualify, or otherwise
discipline a representative. Conduct that
may result in discipline includes:
(A) an act, omission, or contumacious
conduct relating to any proceeding
before OALJ that violates these rules, an
applicable statute, an applicable
regulation, or the judge’s order or
instruction; or
(B) failure to adhere to the applicable
rules of conduct for the jurisdiction(s) in
which the attorney is admitted to
practice in any proceeding before OALJ.
(2) Disciplinary procedure.
(A) Notice. The Chief Judge must
notify the representative of the grounds
for proposed discipline, and of the
opportunity for a hearing. A request for
hearing must be filed within 21 days of
service of the notice.
(B) Default. If the representative does
not respond to the notice, the Chief
Judge may issue a final disciplinary
order.
(C) Disciplinary proceedings. If the
representative responds to the notice,
the Chief Judge will designate a judge to
conduct a hearing, if requested, and to
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issue a decision and order. The
representative has the opportunity to
present evidence, and argument. The
decision must be based on the reliable,
probative and substantial evidence of
record, including any submissions from
the representative.
(D) Petition for review. A petition to
review the decision and order must be
filed with the Chief Judge within 30
days of the date of the decision and
order, and state the grounds for review.
The Chief Judge reviews the decision
and order under the substantial
evidence standard. The Chief Judge’s
decision is not subject to review within
the Department of Labor.
(c) Notification of disciplinary action.
When an attorney representative is
suspended or disqualified, the Chief
Judge will notify the jurisdiction(s) in
which the attorney is admitted to
practice and the National Lawyer
Regulatory Data Bank maintained by the
American Bar Association Standing
Committee on Professional Discipline,
by providing a copy of the decision and
order.
(d) Application for reinstatement. A
representative suspended or
disqualified under this section may be
reinstated by the Chief Judge upon
application. At the discretion of the
Chief Judge, consideration of an
application for reinstatement may be
limited to written submissions or may
be referred for further proceedings
pursuant to paragraph (b)(2) of this
section.
§ 18.24
Briefs from amicus curiae.
The United States or an officer or
agency thereof, or a State, Territory,
Commonwealth, or the District of
Columbia may file an amicus brief
without the consent of the parties or
leave of the judge. Any other amicus
curiae may file a brief only by leave of
the judge, upon the judge’s request, or
if the brief states that all parties have
consented to its filing. A request for
leave to file an amicus brief must be
made by written motion that states the
interest of the movant in the proceeding.
Unless otherwise directed by the judge,
an amicus brief must be filed by the
close of the hearing.
Service, Format and Timing of Filings
and Other Papers
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§ 18.30
Service and filing.
(a) Service on parties.
(1) In general. Unless these rules
provide otherwise, all papers filed with
OALJ or with the judge must be served
on every party.
(2) Service: how made.
(A) Serving a party’s representative. If
a party is represented, service under this
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section must be made on the
representative. The judge also may order
service on the party.
(B) Service in general. A paper is
served under this section by:
(i) handing it to the person;
(ii) leaving it:
(a) at the person’s office with a clerk
or other person in charge or, if no one
is in charge, in a conspicuous place in
the office; or
(b) if the person has no office or the
office is closed, at the person’s dwelling
or usual place of abode with someone of
suitable age and discretion who resides
there;
(iii) mailing it to the person’s last
known address—in which event service
is complete upon mailing;
(iv) leaving it with the docket clerk if
the person has no known address;
(v) sending it by electronic means if
the person consented in writing—in
which event service is complete upon
transmission, but is not effective if the
serving party learns that it did not reach
the person to be served; or
(vi) delivering it by any other means
that the person consented to in
writing—in which event service is
complete when the person making
service delivers it to the agency
designated to make delivery.
(3) Certificate of service. A certificate
of service is a signed written statement
that the paper was served on all parties.
The statement must include:
(A) the title of the document;
(B) the name and address of each
person or representative being served;
(C) the name of the party filing the
paper and the party’s representative, if
any;
(D) the date of service; and
(E) how the paper was served.
(b) Filing with Office of
Administrative Law Judges.
(1) Required filings. Any paper that is
required to be served must be filed
within a reasonable time after service
with a certificate of service. But
disclosures under § 18.50(c) and the
following discovery requests and
responses must not be filed until they
are used in the proceeding or the judge
orders filing:
(A) notices of deposition,
(B) depositions,
(C) interrogatories,
(D) requests for documents or tangible
things or to permit entry onto land; and
(E) requests for admission.
(2) Filing: when made—in general. A
paper is filed when received by the
docket clerk or the judge during a
hearing.
(3) Filing how made. A paper may be
filed by mail, courier service, hand
delivery, facsimile or electronic
delivery.
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(A) Filing by facsimile.
(i) When permitted. A party may file
by facsimile only as directed or
permitted by the judge. If a party cannot
obtain prior permission because the
judge is unavailable, a party may file by
facsimile up to 12 pages, including a
statement of the circumstances
precluding filing by delivery or mail.
Based on the statement, the judge may
later accept the document as properly
filed at the time transmitted.
(ii) Cover sheet. Filings by facsimile
must include a cover sheet that
identifies the sender, the total number
of pages transmitted, and the matter’s
docket number and the document’s title.
(iii) Retention of the original
document. The original signed
document will not be substituted into
the record unless required by law or the
judge.
(B) Any party filing a facsimile of a
document must maintain the original
document and transmission record until
the case is final. A transmission record
is a paper printed by the transmitting
facsimile machine that states the
telephone number of the receiving
machine, the number of pages sent, the
transmission time and an indication that
no error in transmission occurred.
(C) Upon a party’s request or judge’s
order, the filing party must provide for
review the original transmitted
document from which the facsimile was
produced.
(4) Electronic filing, signing, or
verification. A judge may allow papers
to be filed, signed, or verified by
electronic means.
§ 18.31 Privacy protection for filings and
exhibits.
(a) Redacted filings and exhibits.
Unless the judge orders otherwise, in an
electronic or paper filing or exhibit that
contains an individual’s Social-Security
number, taxpayer-identification
number, or birth date, the name of an
individual known to be a minor, or a
financial-account number, the party or
nonparty making the filing must redact
all such information, except:
(1) the last four digits of the SocialSecurity number and taxpayeridentification number;
(2) the year of the individual’s birth;
(3) the minor’s initials; and
(4) the last four digits of the financialaccount number.
(b) Exemptions from the redaction
requirement. The redaction requirement
does not apply to the following:
(1) the record of an administrative or
agency proceeding;
(2) the official record of a state-court
proceeding;
(3) the record of a court or tribunal,
if that record was not subject to the
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redaction requirement when originally
filed; and
(4) a filing or exhibit covered by
paragraph (c) of this section.
(c) Option for filing a reference list. A
filing that contains redacted information
may be filed together with a reference
list that identifies each item of redacted
information and specifies an
appropriate identifier that uniquely
corresponds to each item listed. The
reference list must be filed under seal
and may be amended as of right. Any
reference in the case to a listed
identifier will be construed to refer to
the corresponding item of information.
(d) Waiver of protection of identifiers.
A person waives the protection of
paragraph (a) of this section as to the
person’s own information by filing or
offering it without redaction and not
under seal.
(e) Protection of material. For good
cause, the judge may order protection of
material pursuant to §§ 18.85,
Privileged, sensitive, or classified
material and 18.52, Protective orders.
srobinson on DSK4SPTVN1PROD with
§ 18.32
Computing and extending time.
(a) Computing time. The following
rules apply in computing any time
period specified in these rules, a judge’s
order, or in any statute, regulation, or
executive order that does not specify a
method of computing time.
(1) When the period is stated in days
or a longer unit of time:
(A) exclude the day of the event that
triggers the period;
(B) count every day, including
intermediate Saturdays, Sundays, and
legal holidays; and
(C) include the last day of the period,
but if the last day is a Saturday, Sunday,
or legal holiday, the period continues to
run until the end of the next day that
is not a Saturday, Sunday, or legal
holiday.
(2) ‘‘Last day’’ defined. Unless a
different time is set by a statute,
regulation, executive order, or judge’s
order, the ‘‘last day’’ ends at 4:30 p.m.
local time where the event is to occur.
(3) ‘‘Next day’’ defined. The ‘‘next
day’’ is determined by continuing to
count forward when the period is
measured after an event and backward
when measured before an event.
(4) ‘‘Legal holiday’’ defined. ‘‘Legal
holiday’’ means the day set aside by
statute for observing New Year’s Day,
Martin Luther King Jr.’s Birthday,
Washington’s Birthday, Memorial Day,
Independence Day, Labor Day,
Columbus Day, Veterans’ Day,
Thanksgiving Day, or Christmas Day;
and any day declared a holiday by the
President or Congress.
(b) Extending time. When an act may
or must be done within a specified time,
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the judge may, for good cause, extend
the time:
(1) with or without motion or notice
if the judge acts, or if a request is made,
before the original time or its extension
expires; or
(2) on motion made after the time has
expired if the party failed to act because
of excusable neglect.
(c) Additional time after certain kinds
of service. When a party may or must act
within a specified time after service and
service is made under
§ 18.30(a)(2)(B)(iii) or (iv), 3 days are
added after the period would otherwise
expire under paragraph (a) of this
section.
§ 18.33
Motions and other papers.
(a) In general. A request for an order
must be made by motion. The motion
must:
(1) be in writing, unless made during
a hearing;
(2) state with particularity the
grounds for seeking the order;
(3) state the relief sought;
(4) unless the relief sought has been
agreed to by all parties, be accompanied
by affidavits, declarations, or other
evidence; and
(5) if required by subsection (c)(4),
include a memorandum of points and
authority supporting the movant’s
position.
(b) Form. The rules governing
captions and other matters of form
apply to motions and other requests.
(c) Written motion before hearing.
(1) A written motion before a hearing
must be served with supporting papers,
at least 21 days before the time specified
for the hearing, with the following
exceptions:
(A) when the motion may be heard ex
parte;
(B) when these rules or an appropriate
statute, regulation, or executive order
set a different time; or,
(C) when an order sets a different
time.
(2) A written motion served within 21
days before the hearing must state why
the motion was not made earlier.
(3) A written motion before hearing
must state that counsel conferred, or
attempted to confer, with opposing
counsel in a good faith effort to resolve
the motion’s subject matter, and
whether the motion is opposed or
unopposed. A statement of consultation
is not required with pro se litigants or
with the following motions:
(A) to dismiss;
(B) for summary decision; and
(C) any motion filed as ‘‘joint,’’
‘‘agreed,’’ or ‘‘unopposed.’’
(4) Unless the motion is unopposed,
the supporting papers must include
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affidavits, declarations or other proof to
establish the factual basis for the relief.
For a dispositive motion and a motion
relating to discovery, a memorandum of
points and authority must also be
submitted. A Judge may direct the
parties file additional documents in
support of any motion.
(d) Opposition or other response to a
motion filed prior to hearing. A party to
the proceeding may file an opposition or
other response to the motion within 14
days after the motion is served. The
opposition or response may be
accompanied by affidavits, declarations,
or other evidence, and a memorandum
of the points and authorities supporting
the party’s position. Failure to file an
opposition or response within 14 days
after the motion is served may result in
the requested relief being granted.
Unless the judge directs otherwise, no
further reply is permitted and no oral
argument will be heard prior to hearing.
(e) A motions made at hearing. A
motion made at a hearing may be stated
orally unless the judge determines that
a written motion or response would best
serve the ends of justice.
(f) Renewed or repeated motions. A
motion seeking the same or
substantially similar relief previously
denied, in whole or in part, must
include the following information:
(1) the earlier motion(s);
(2) when the respective motion was
made,
(3) the judge to whom the motion was
made,
(4) the earlier ruling(s), and
(5) the basis for the current motion.
(g) Motion hearing. The judge may
order a hearing to take evidence or oral
argument on a motion.
§ 18.34
Format of papers filed.
Every paper filed must be printed in
black ink on 8.5 x 11-inch opaque white
paper and begin with a caption that
includes:
(a) the parties’ names,
(b) a title that describes the paper’s
purpose, and
(c) the docket number assigned by the
Office of Administrative Law Judges. If
the Office has not assigned a docket
number, the paper must bear the case
number assigned by the Department of
Labor agency where the matter
originated. If the case number is an
individual’s Social Security number
then only the last four digits may be
used. See 18.31(a)(1).
§ 18.35 Signing motions and other papers;
representations to the judge; sanctions.
(a) Date and signature. Every written
motion and other paper filed with OALJ
must be dated and signed by at least one
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representative of record in the
representative’s name—or by a party
personally if the party is unrepresented.
The paper must state the signer’s
address, telephone number, facsimile
number and email address, if any. The
judge must strike an unsigned paper
unless the omission is promptly
corrected after being called to the
representative’s or party’s attention.
(b) Representations to the judge. By
presenting to the judge a written motion
or other paper—whether by signing,
filing, submitting, or later advocating
it—the representative or unrepresented
party certifies that to the best of the
person’s knowledge, information, and
belief, formed after an inquiry
reasonable under the circumstances:
(1) it is not being presented for any
improper purpose, such as to harass,
cause unnecessary delay, or needlessly
increase the cost of the proceedings;
(2) the claims, defenses, and other
legal contentions are warranted by
existing law or by a nonfrivolous
argument for extending, modifying, or
reversing existing law or for establishing
new law;
(3) the factual contentions have
evidentiary support or, if specifically so
identified, will likely have evidentiary
support after a reasonable opportunity
for further investigation or discovery;
and
(4) the denials of factual contentions
are warranted on the evidence or, if
specifically so identified, are reasonably
based on belief or a lack of information.
(c) Sanctions.
(1) In general. If, after notice and a
reasonable opportunity to respond, the
judge determines that paragraph (b) of
this section has been violated, the judge
may impose an appropriate sanction on
any representative, law firm, or party
that violated the rule or is responsible
for the violation. Absent exceptional
circumstances, a law firm must be held
jointly responsible for a violation
committed by its partner, associate, or
employee.
(2) Motion for sanctions. A motion for
sanctions must be made separately from
any other motion and must describe the
specific conduct that allegedly violates
paragraph (b) of this section. The
motion must be served under § 18.30(a),
but it must not be filed or be presented
to the judge if the challenged paper,
claim, defense, contention, or denial is
withdrawn or appropriately corrected
within 21 days after service or within
another time the judge sets.
(3) On the judge’s initiative. On his or
her own, the judge may order a
representative, law firm, or party to
show cause why conduct specifically
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described in the order has not violated
paragraph (b) of this section.
(4) Nature of a sanction. A sanction
imposed under this section must be
limited to what suffices to deter
repetition of the conduct or comparable
conduct by others similarly situated.
(5) Requirements for an order. An
order imposing a sanction must describe
the sanctioned conduct and explain the
basis for the sanction.
(d) Inapplicability to discovery. This
section does not apply to disclosures
and discovery requests, responses,
objections, and motions under §§ 18.50
through 18.65.
formal hearing ordinarily will not be
scheduled with less than 7 days notice
to the parties, unless all parties consent
to an earlier hearing.
§ 18.43
Consolidation; separate hearings.
The judge may allow parties to amend
and supplement their filings.
(a) Consolidation. If separate
proceedings before the Office of the
Administrative Law Judges involve a
common question of law or fact, a judge
may:
(1) join for hearing any or all matters
at issue in the proceedings;
(2) consolidate the proceedings; or
(3) issue any other orders to avoid
unnecessary cost or delay.
(b) Separate hearings. For
convenience, to avoid prejudice, or to
expedite and economize, the judge may
order a separate hearing of one or more
issues.
Prehearing Procedure
§ 18.44
§ 18.36 Amendments after referral to the
Office of Administrative Law Judges.
§ 18.40
Notice of hearing.
(a) In general. Except when the
hearing is scheduled by calendar call,
the judge must notify the parties of the
hearing’s date, time, and place at least
14 days before the hearing. The notice
is sent by regular, first-class mail, unless
the judge determines that circumstances
require service by certified mail or other
means. The parties may agree to waive
the 14-day notice for the hearing.
(b) Date, time, and place. The judge
must consider the convenience and
necessity of the parties and the
witnesses in selecting the date, time,
and place of the hearing.
§ 18.41 Continuances and changes in
place of hearing.
(a) By the judge. Upon reasonable
notice to the parties, the judge may
change the time, date, and place of the
hearing.
(b) By a party’s motion. A request by
a party to continue a hearing or to
change the place of the hearing must be
made by motion.
(1) Continuances. A motion for
continuance must be filed promptly
after the party becomes aware of the
circumstances supporting the
continuance. In exceptional
circumstances, a party may orally
request a continuance and must
immediately notify the other parties of
the continuance request.
(2) Change in place of hearing. A
motion to change the place of a hearing
must be filed promptly.
§ 18.42
Expedited proceedings.
A party may move to expedite the
proceeding. The motion must
demonstrate the specific harm that
would result if the proceeding is not
expedited. If the motion is granted, the
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Prehearing conference.
(a) In general. The judge, with or
without a motion, may order one or
more prehearing conferences for such
purposes as:
(1) expediting disposition of the
proceeding;
(2) establishing early and continuing
control so that the case will not be
protracted because of lack of
management;
(3) discouraging wasteful prehearing
activities;
(4) improving the quality of the
hearing through more thorough
preparation; and
(5) facilitating settlement.
(b) Scheduling. Prehearing
conferences may be conducted in
person, by telephone, or other means
after reasonable notice of time, place
and manner of conference has been
given.
(c) Participation. All parties must
participate in prehearing conferences as
directed by the judge. A represented
party must authorize at least one of its
attorneys or representatives to make
stipulations and admissions about all
matters that can reasonably be
anticipated for discussion at the
prehearing conference, including
possible settlement.
(d) Matters for consideration. At the
conference, the judge may consider and
take appropriate actions on the
following matters:
(1) formulating and simplifying the
issues, and eliminating frivolous claims
or defenses;
(2) amending the papers that had
framed the issues before the matter was
referred for hearing;
(3) obtaining admissions and
stipulations about facts and documents
to avoid unnecessary proof, and ruling
in advance on the admissibility of
evidence;
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(4) avoiding unnecessary proof and
cumulative evidence, and limiting the
number of expert or other witnesses;
(5) determining the appropriateness
and timing of dispositive motions under
§§ 18.70 and 18.72;
(6) controlling and scheduling
discovery, including orders affecting
disclosures and discovery under
§§ 18.50 through 18.65;
(7) identifying witnesses and
documents, scheduling the filing and
exchange of any exhibits and prehearing
submissions, and setting dates for
further conferences and for the hearing;
(8) referring matters to a special
master;
(9) settling the case and using special
procedures to assist in resolving the
dispute such as the settlement judge
procedure under § 18.13, private
mediation, and other means authorized
by statute or regulation;
(10) determining the form and content
of prehearing orders;
(11) disposing of pending motions;
(12) adopting special procedures for
managing potentially difficult or
protracted proceedings that may involve
complex issues, multiple parties,
difficult legal questions, or unusual
proof problems;
(13) consolidating or ordering
separate hearings under § 18.43;
(14) ordering the presentation of
evidence early in the proceeding on a
manageable issue that might, on the
evidence, be the basis for disposing of
the proceeding;
(15) establishing a reasonable limit on
the time allowed to present evidence;
and
(16) facilitating in other ways the just,
speedy, and inexpensive disposition of
the proceeding.
(e) Reporting. The judge may direct
that the prehearing conference be
recorded and transcribed. If the
conference is not recorded, the judge
should summarize the conference
proceedings on the record at the hearing
or by separate prehearing notice or
order.
Disclosure and Discovery
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§ 18.50 General provisions governing
disclosure and discovery.
(a) Timing and sequence of discovery.
(1) Timing. A party may seek
discovery at any time after a judge
issues an initial notice or order. But if
the judge orders the parties to confer
under paragraph (b) of this section:
(A) the time to respond to any
pending discovery requests is extended
until the time agreed in the discovery
plan, or that the judge sets in resolving
disputes about the discovery plan, and
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(B) no party may seek additional
discovery from any source before the
parties have conferred as required by
paragraph (b) of this section, except by
stipulation.
(2) Sequence. Unless, on motion, the
judge orders otherwise for the parties’
and witnesses’ convenience and in the
interests of justice:
(A) methods of discovery may be used
in any sequence; and
(B) discovery by one party does not
require any other party to delay its
discovery.
(b) Conference of the parties; planning
for discovery.
(1) In general. The judge may order
the parties to confer on the matters
described in paragraphs (b)(2) and (3) of
this section.
(2) Conference content; parties’
responsibilities. In conferring, the
parties must consider the nature and
basis of their claims and defenses and
the possibilities for promptly settling or
resolving the case; make or arrange for
the disclosures required by paragraph
(c) of this section; discuss any issues
about preserving discoverable
information; and develop a proposed
discovery plan. The representatives of
record and all unrepresented parties
that have appeared in the case are
jointly responsible for arranging the
conference, for attempting in good faith
to agree on the proposed discovery plan,
and for submitting to the judge within
14 days after the conference a written
report outlining the plan. The judge may
order the parties or representatives to
attend the conference in person.
(3) Discovery plan. A discovery plan
must state the parties’ views and
proposals on:
(A) what changes should be made in
the timing, form, or requirement for
disclosures under paragraph (c) of this
section, including a statement of when
initial disclosures were made or will be
made;
(B) the subjects on which discovery
may be needed, when discovery should
be completed, and whether discovery
should be conducted in phases or be
limited to or focused on particular
issues;
(C) any issues about disclosure or
discovery of electronically stored
information, including the form or
forms in which it should be produced;
(D) any issues about claims of
privilege or of protection as hearingpreparation materials, including—if the
parties agree on a procedure to assert
these claims after production—whether
to ask the judge to include their
agreement in an order;
(E) what changes should be made in
the limitations on discovery imposed
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under these rules and what other
limitations should be imposed; and
(F) any other orders that the judge
should issue under § 18.52 or under
§ 18.44.
(c) Required disclosures.
(1) Initial disclosure.
(A) In general. Except as exempted by
paragraph (c)(1)(B) of this section or
otherwise ordered by the judge, a party
must, without awaiting a discovery
request, provide to the other parties:
(i) the name and, if known, the
address and telephone number of each
individual likely to have discoverable
information—along with the subjects of
that information—that the disclosing
party may use to support its claims or
defenses, unless the use would be solely
for impeachment;
(ii) a copy—or a description by
category and location—of all
documents, electronically stored
information, and tangible things that the
disclosing party has in its possession,
custody, or control and may use to
support its claims or defenses, unless
the use would be solely for
impeachment; and
(iii) a computation of each category of
damages claimed by the disclosing
party—who must also make available
for inspection and copying as under
§ 18.61 the documents or other
evidentiary material, unless privileged
or protected from disclosure, on which
each computation is based, including
materials bearing on the nature and
extent of injuries suffered.
(B) Proceedings exempt from initial
disclosure. The following proceedings
are exempt from initial disclosure:
(i) a proceeding under 29 CFR part 20
for review of an agency determination
regarding the existence or amount of a
debt, or the repayment schedule
proposed by the agency;
(ii) a proceeding before the Board of
Alien Labor Certification Appeals under
the Immigration and Nationality Act;
and
(iii) a proceeding under the
regulations governing certification of H–
2 non-immigrant temporary agricultural
employment at 20 CFR part 655, subpart
B;
(iv) a rulemaking proceeding under
the Occupational Safety and Health Act
of 1970; and
(v) a proceeding for civil penalty
assessments under Employee
Retirement Income Security Act of 1974,
29 U.S.C. 1132.
(C) Parties Exempt from Initial
Disclosure. The following parties are
exempt from initial disclosure:
(i) in a Black Lung benefits
proceeding under 30 U.S.C. 901 et seq.,
the representative of the Office of
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Workers’ Compensation Programs of the
Department of Labor, if an employer has
been identified as the Responsible
Operator and is a party to the
proceeding (see 20 CFR 725.418(d)); and
(ii) in a proceeding under the
Longshore and Harbor Workers’
Compensation Act, 33 U.S.C. 901 et
seq., or an associated statute such as the
Defense Base Act, 42 U.S.C. 1651 et seq.,
the representative of the Office of
Workers’ Compensation Programs of the
Department of Labor, unless the
Solicitor of Labor or the Solicitor’s
designee has elected to participate in
the proceeding under 20 CFR
702.333(b), or unless an employer or
carrier has applied for relief under the
special fund, as defined in 33 U.S.C.
908(f).
(D) Time for initial disclosures—in
general. A party must make the initial
disclosures required by paragraph
(c)(1)(A) of this section within 21 days
after an initial notice or order is entered
acknowledging that the proceeding has
been docketed at the OALJ unless (i) a
different time is set by stipulation or a
judge’s order, or (ii) a party objects
during the conference that initial
disclosures are not appropriate in the
proceeding and states the objection in
the proposed discovery plan. In ruling
on the objection, the judge must
determine what disclosures, if any, are
to be made and must set the time for
disclosure.
(E) Time for initial disclosures—for
parties served or joined later. A party
that is first served or otherwise joined
later in the proceeding must make the
initial disclosures within 21 days after
being served or joined, unless a different
time is set by stipulation or the judge’s
order.
(F) Basis for initial disclosure;
unacceptable excuses. A party must
make its initial disclosures based on the
information then reasonably available to
it. A party is not excused from making
its disclosures because it has not fully
investigated the case or because it
challenges the sufficiency of another
party’s disclosures or because another
party has not made its disclosures.
(2) Disclosure of expert testimony.
(A) In general. A party must disclose
to the other parties the identity of any
witness who may testify at hearing,
either live or by deposition. The judge
should set the time for the disclosure by
prehearing order.
(B) Witnesses who must provide a
written report. Unless otherwise
stipulated or ordered by the judge, this
disclosure must be accompanied by a
written report—prepared and signed by
the witness—if the witness is one
retained or specially employed to
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provide expert testimony in the case or
one whose duties as the party’s
employee regularly involve giving
expert testimony. The report must
contain:
(i) a complete statement of all
opinions the witness will express and
the basis and reasons for them;
(ii) the facts or data considered by the
witness in forming them;
(iii) any exhibits that will be used to
summarize or support them;
(iv) the witness’s qualifications,
including a list of all publications
authored in the previous 10 years;
(v) a list of all other cases in which,
during the previous 4 years, the witness
testified as an expert at trial, a hearing,
or by deposition; and
(vi) a statement of the compensation
to be paid for the study and testimony
in the case.
(C) Witnesses who do not provide a
written report. Unless otherwise
stipulated or ordered by the judge that
the witness is not required to provide a
written report, this disclosure must
state:
(i) the subject matter on which the
witness is expected to present expert
opinion evidence; and
(ii) a summary of the facts and
opinions to which the witness is
expected to testify.
(D) Supplementing the disclosure.
The parties must supplement these
disclosures when required under
§ 18.53.
(3) Prehearing disclosures. In addition
to the disclosures required by
paragraphs (c)(1) and (2) of this section,
a party must provide to the other parties
and promptly file the prehearing
disclosures described in § 18.80.
(4) Form of disclosures. Unless the
judge orders otherwise, all disclosures
under paragraph (c) under this section
must be in writing, signed, and served.
(d) Signing disclosures and discovery
requests, responses, and objections.
(1) Signature required; effect of
signature. Every disclosure under
paragraph (c) of this section and every
discovery request, response, or objection
must be signed by at least one of the
party’s representatives in the
representative’s own name, or by the
party personally if unrepresented, and
must state the signer’s address,
telephone number, facsimile number,
and email address, if any. By signing, a
representative or party certifies that to
the best of the person’s knowledge,
information, and belief formed after a
reasonable inquiry:
(A) with respect to a disclosure, it is
complete and correct as of the time it is
made; and
(B) with respect to a discovery
request, response, or objection, it is:
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(i) consistent with these rules and
warranted by existing law or by a
nonfrivolous argument for extending,
modifying, or reversing existing law, or
for establishing new law;
(ii) not interposed for any improper
purpose, such as to harass, cause
unnecessary delay, or needlessly
increase the cost of litigation; and
(iii) neither unreasonable nor unduly
burdensome or expensive, considering
the needs of the case, prior discovery in
the case, the amount in controversy, and
the importance of the issues at stake in
the action.
(2) Failure to sign. Other parties have
no duty to act on an unsigned
disclosure, request, response, or
objection until it is signed, and the
judge must strike it unless a signature is
promptly supplied after the omission is
called to the representative’s or party’s
attention.
(3) Sanction for improper
certification. If a certification violates
this section without substantial
justification, the judge, on motion or on
his or her own, must impose an
appropriate sanction, as provided in
§ 18.57, on the signer, the party on
whose behalf the signer was acting, or
both.
§ 18.51
Discovery scope and limits.
(a) Scope in general. Unless otherwise
limited by a judge’s order, the scope of
discovery is as follows: Parties may
obtain discovery regarding any
nonprivileged matter that is relevant to
any party’s claim or defense—including
the existence, description, nature,
custody, condition, and location of any
documents or other tangible things and
the identity and location of persons who
know of any discoverable matter. For
good cause, the judge may order
discovery of any matter relevant to the
subject matter involved in the
proceeding. Relevant information need
not be admissible at the hearing if the
discovery appears reasonably calculated
to lead to the discovery of admissible
evidence. All discovery is subject to the
limitations imposed by paragraph (b)(4)
of this section.
(b) Limitations on frequency and
extent.
(1) When permitted. By order, the
judge may alter the limits in these rules
on the number of depositions and
interrogatories or on the length of
depositions under § 18.64. The judge’s
order may also limit the number of
requests under § 18.63.
(2) Specific limitations on
electronically stored information. A
party need not provide discovery of
electronically stored information from
sources that the party identifies as not
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reasonably accessible because of undue
burden or cost. On motion to compel
discovery or for a protective order, the
party from whom discovery is sought
must show that the information is not
reasonably accessible because of undue
burden or cost. If that showing is made,
the judge may nonetheless order
discovery from such sources if the
requesting party shows good cause,
considering the limitations of paragraph
(b)(4) of this section. The judge may
specify conditions for the discovery.
(3) By requesting electronically stored
information, a party consents to the
application of Federal Rule of Evidence
502 with regard to inadvertently
disclosed privileged or protected
information.
(4) When required. On motion or on
his or her own, the judge must limit the
frequency or extent of discovery
otherwise allowed by these rules when:
(A) the discovery sought is
unreasonably cumulative or duplicative,
or can be obtained from some other
source that is more convenient, less
burdensome, or less expensive;
(B) the party seeking discovery has
had ample opportunity to obtain the
information by discovery in the action;
or
(C) the burden or expense of the
proposed discovery outweighs its likely
benefit, considering the needs of the
case, the amount in controversy, the
parties’ resources, the importance of the
issues at stake in the action, and the
importance of the discovery in resolving
the issues.
(c) Hearing preparation: materials.
(1) Documents and tangible things.
Ordinarily, a party may not discover
documents and tangible things that are
prepared in anticipation of litigation or
for hearing by or for another party or its
representative (including the other
party’s attorney, consultant, surety,
indemnitor, insurer, or agent). But,
subject to paragraph (d) of this section,
those materials may be discovered if:
(A) they are otherwise discoverable
under paragraph (a) of this section; and
(B) the party shows that it has
substantial need for the materials to
prepare its case and cannot, without
undue hardship, obtain their substantial
equivalent by other means.
(2) Protection against disclosure. A
judge who orders discovery of those
materials must protect against
disclosure of the mental impressions,
conclusions, opinions, or legal theories
of a party’s representative concerning
the litigation.
(3) Previous statement. Any party or
other person may, on request and
without the required showing, obtain
the person’s own previous statement
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about the action or its subject matter. If
the request is refused, the person may
move for a judge’s order. A previous
statement is either:
(A) a written statement that the
person has signed or otherwise adopted
or approved; or
(B) a contemporaneous stenographic,
mechanical, electrical, or other
recording—or a transcription of it—that
recites substantially verbatim the
person’s oral statement.
(d) Hearing preparation: experts.
(1) Deposition of an expert who may
testify. A party may depose any person
who has been identified as an expert
whose opinions may be presented at
trial. If § 18.50(c)(2)(B) requires a report
from the expert the deposition may be
conducted only after the report is
provided, unless the parties stipulate
otherwise.
(2) Hearing-preparation protection for
draft reports or disclosures. Paragraphs
(c)(1) and (2) of this section protect
drafts of any report or disclosure
required under § 18.50(c)(2), regardless
of the form in which the draft is
recorded.
(3) Hearing-preparation protection for
communications between a party’s
representative and expert witnesses.
Paragraphs (c)(1) and (2) under this
section protect communications
between the party’s representative and
any witness required to provide a report
under § 18.50(c)(2)(B), regardless of the
form of the communications, except to
the extent that the communications:
(A) relate to compensation for the
expert’s study or testimony;
(B) identify facts or data that the
party’s representative provided and that
the expert considered in forming the
opinions to be expressed; or
(C) identify assumptions that the
party’s representative provided and that
the expert relied on in forming the
opinions to be expressed.
(4) Expert employed only for hearing
preparation. Ordinarily, a party may
not, by interrogatories or deposition,
discover facts known or opinions held
by an expert who has been retained or
specially employed by another party in
anticipation of litigation or to prepare
for hearing and whose testimony is not
anticipated to be used at the hearing.
But a party may do so only:
(A) as provided in § 18.62(b); or
(B) on showing exceptional
circumstances under which it is
impracticable for the party to obtain
facts or opinions on the same subject by
other means.
(e) Claiming privilege or protecting
hearing-preparation materials.
(1) Information withheld. When a
party withholds information otherwise
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discoverable by claiming that the
information is privileged or subject to
protection as hearing-preparation
material, the party must:
(A) expressly make the claim; and
(B) describe the nature of the
documents, communications, or
tangible things not produced or
disclosed—and do so in a manner that,
without revealing information itself
privileged or protected, will enable
other parties to assess the claim.
(2) Information produced. If
information produced in discovery is
subject to a claim of privilege or of
protection as hearing-preparation
material, the party making the claim
must notify any party that received the
information of the claim and the basis
for it. After being notified, a party must
promptly return, sequester, or destroy
the specified information and any
copies it has; must not use or disclose
the information until the claim is
resolved; must take reasonable steps to
retrieve the information if the party
disclosed it before being notified; and
may promptly present the information
to the judge for an in camera
determination of the claim. The
producing party must preserve the
information until the claim is resolved.
§ 18.52
Protective orders.
(a) In general. A party or any person
from whom discovery is sought may file
a written motion for a protective order.
The motion must include a certification
that the movant has in good faith
conferred or attempted to confer with
other affected parties in an effort to
resolve the dispute without the judge’s
action. The judge may, for good cause,
issue an order to protect a party or
person from annoyance, embarrassment,
oppression, or undue burden or
expense, including one or more of the
following:
(1) forbidding the disclosure or
discovery;
(2) specifying terms, including time
and place, for the disclosure or
discovery;
(3) prescribing a discovery method
other than the one selected by the party
seeking discovery;
(4) forbidding inquiry into certain
matters, or limiting the scope of
disclosure or discovery to certain
matters;
(5) designating the persons who may
be present while the discovery is
conducted;
(6) requiring that a deposition be
sealed and opened only on the judge’s
order;
(7) requiring that a trade secret or
other confidential research,
development, or commercial
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information not be revealed or be
revealed only in a specified way; and
(8) requiring that the parties
simultaneously file specified documents
or information in sealed envelopes, to
be opened as the judge directs.
(b) Ordering discovery. If a motion for
a protective order is wholly or partly
denied, the judge may, on just terms,
order that any party or person provide
or permit discovery.
§ 18.53 Supplementing disclosures and
responses.
(a) In general. A party who has made
a disclosure under § 18.50(c)—or who
has responded to an interrogatory,
request for production, or request for
admission—must supplement or correct
its disclosure or response:
(1) in a timely manner if the party
learns that in some material respect the
disclosure or response is incomplete or
incorrect, and if the additional or
corrective information has not otherwise
been made known to the other parties
during the discovery process or in
writing; or
(2) as ordered by the judge.
(b) Expert witness. For an expert
whose report must be disclosed under
§ 18.50(c)(2)(B), the party’s duty to
supplement extends both to information
included in the report and to
information given during the expert’s
deposition. Any additions or changes to
this information must be disclosed by
the time the party’s prehearing
disclosures under § 18.50(c)(3) are due.
§ 18.54 Stipulations about discovery
procedure.
Unless the judge orders otherwise, the
parties may stipulate that:
(a) a deposition may be taken before
any person, at any time or place, on any
notice, and in the manner specified—in
which event it may be used in the same
way as any other deposition; and
(b) other procedures governing or
limiting discovery be modified—but a
stipulation extending the time for any
form of discovery must have the judge’s
approval if it would interfere with the
time set for completing discovery, for
hearing a motion, or for hearing.
srobinson on DSK4SPTVN1PROD with
§ 18.55
Using depositions at hearings.
(a) Using depositions.
(1) In general. At a hearing, all or part
of a deposition may be used against a
party on these conditions:
(A) the party was present or
represented at the taking of the
deposition or had reasonable notice of
it;
(B) it is used to the extent it would be
admissible under the applicable rules of
evidence if the deponent were present
and testifying; and
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(C) the use is allowed by paragraphs
(a)(2) through (8) of this section.
(2) Impeachment and other uses. Any
party may use a deposition to contradict
or impeach the testimony given by the
deponent as a witness, or for any other
purpose allowed by the applicable rules
of evidence.
(3) Deposition of party, agent, or
designee. An adverse party may use for
any purpose the deposition of a party or
anyone who, when deposed, was the
party’s officer, director, managing agent,
or designee under § 18.64(b)(6) or
§ 18.65(a)(4).
(4) Deposition of expert, treating
physician, or examining physician. A
party may use for any purpose the
deposition of an expert witness, treating
physician or examining physician.
(5) Unavailable witness. A party may
use for any purpose the deposition of a
witness, whether or not a party, if the
judge finds:
(A) that the witness is dead;
(B) that the witness is more than 100
miles from the place of hearing or is
outside the United States, unless it
appears that the witness’s absence was
procured by the party offering the
deposition;
(C) that the witness cannot attend or
testify because of age, illness, infirmity,
or imprisonment;
(D) that the party offering the
deposition could not procure the
witness’s attendance by subpoena; or
(E) on motion and notice, that
exceptional circumstances make it
desirable—in the interests of justice and
with due regard to the importance of
live testimony in an open hearing—to
permit the deposition to be used.
(6) Limitations on use.
(A) Deposition taken on short notice.
A deposition must not be used against
a party who, having received less than
14 days’ notice of the deposition,
promptly moved for a protective order
under § 18.52(a)(2) requesting that it not
be taken or be taken at a different time
or place—and this motion was still
pending when the deposition was taken.
(B) Unavailable deponent; party could
not obtain a representative. A
deposition taken without leave of the
judge under the unavailability provision
of § 18.64(a)(2)(A)(iii) must not be used
against a party who shows that, when
served with the notice, it could not,
despite diligent efforts, obtain a
representative to represent it at the
deposition.
(7) Using part of a deposition. If a
party offers in evidence only part of a
deposition, an adverse party may
require the offeror to introduce other
parts that in fairness should be
considered with the part introduced,
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and any party may itself introduce any
other parts.
(8) Deposition taken in an earlier
action. A deposition lawfully taken may
be used in a later action involving the
same subject matter between the same
parties, or their representatives or
successors in interest, to the same extent
as if taken in the later action. A
deposition previously taken may also be
used as allowed by the applicable rules
of evidence.
(b) Objections to admissibility. Subject
to paragraph (d)(3) of this section, an
objection may be made at a hearing to
the admission of any deposition
testimony that would be inadmissible if
the witness were present and testifying.
(c) Form of presentation. Unless the
judge orders otherwise, a party must
provide a transcript of any deposition
testimony the party offers, but the judge
may receive the testimony in
nontranscript form as well.
(d) Waiver of objections.
(1) To the notice. An objection to an
error or irregularity in a deposition
notice is waived unless promptly served
in writing on the party giving the notice.
(2) To the officer’s qualification. An
objection based on disqualification of
the officer before whom a deposition is
to be taken is waived if not made:
(A) before the deposition begins; or
(B) promptly after the basis for
disqualification becomes known or,
with reasonable diligence, could have
been known.
(3) To the taking of the deposition.
(A) Objection to competence,
relevance, or materiality. An objection
to a deponent’s competence—or to the
competence, relevance, or materiality of
testimony—is not waived by a failure to
make the objection before or during the
deposition, unless the ground for it
might have been corrected at that time.
(B) Objection to an error or
irregularity. An objection to an error or
irregularity at an oral examination is
waived if:
(i) it relates to the manner of taking
the deposition, the form of a question or
answer, the oath or affirmation, a party’s
conduct, or other matters that might
have been corrected at that time; and
(ii) it is not timely made during the
deposition.
(C) Objection to a written question.
An objection to the form of a written
question under § 18.65 is waived if not
served in writing on the party
submitting the question within the time
for serving responsive questions or, if
the question is a recross-question,
within 7 days after being served with it.
(4) To completing and returning the
deposition. An objection to how the
officer transcribed the testimony—or
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prepared, signed, certified, sealed,
endorsed, sent, or otherwise dealt with
the deposition—is waived unless a
motion to suppress is made promptly
after the error or irregularity becomes
known or, with reasonable diligence,
could have been known.
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§ 18.56
Subpoena.
(a) In general.
(1) Upon written application of a
party the judge may issue a subpoena
authorized by statute or law that
requires a witness to attend and to
produce relevant papers, books,
documents, or tangible things in the
witness’ possession or under the
witness’ control.
(2) Form and contents.
(A) Requirements—in general. Every
subpoena must:
(i) state the title of the matter and
show the case number assigned by the
Office of Administrative Law Judges or
the Office of Worker’s Compensation
Programs. In the event that the case
number is an individual’s Social
Security number only the last four
numbers may be used. See § 18.31(a)(1);
(ii) bear either the signature of the
issuing judge or the signature of an
attorney authorized to issue the
subpoena under paragraph (a)(3) of this
section;
(iii) command each person to whom
it is directed to do the following at a
specified time and place: attend and
testify; produce designated documents,
electronically stored information, or
tangible things in that person’s
possession, custody, or control; or
permit the inspection of premises; and
(iv) set out the text of paragraphs (c)
and (d) of this section.
(B) Command to attend a
deposition—notice of the recording
method. A subpoena commanding
attendance at a deposition must state
the method for recording the testimony.
(C) Combining or separating a
command to produce or to permit
inspection; specifying the form for
electronically stored information. A
command to produce documents,
electronically stored information, or
tangible things or to permit the
inspection of premises may be included
in a subpoena commanding attendance
at a deposition or hearing, or may be set
out in a separate subpoena. A subpoena
may specify the form or forms in which
electronically stored information is to be
produced.
(D) Command to produce; included
obligations. A command in a subpoena
to produce documents, electronically
stored information, or tangible things
requires the responding party to permit
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inspection, copying, testing, or sampling
of the materials.
(3) The judge may, by order in a
specific proceeding, authorize an
attorney representative to issue and sign
a subpoena.
(b) Service.
(1) By whom; tendering fees; serving a
copy of certain subpoenas. Any person
who is at least 18 years old and not a
party may serve a subpoena. Serving a
subpoena requires delivering a copy to
the named person and, if the subpoena
requires that person’s attendance,
tendering with it the fees for 1 day’s
attendance and the mileage allowed by
law. Service may also be made by
certified mail with return receipt. Fees
and mileage need not be tendered when
the subpoena issues on behalf of the
United States or any of its officers or
agencies. If the subpoena commands the
production of documents, electronically
stored information, or tangible things or
the inspection of premises before the
formal hearing, then before it is served,
a notice must be served on each party.
(2) Service in the United States.
Subject to paragraph (c)(3)(A)(ii) of this
section, a subpoena may be served at
any place within a State,
Commonwealth, or Territory of the
United States, or the District of
Columbia.
(3) Service in a foreign country. 28
U.S.C. 1783 governs issuing and serving
a subpoena directed to a United States
national or resident who is in a foreign
country.
(4) Proof of service. Proving service,
when necessary, requires filing with the
judge a statement showing the date and
manner of service and the names of the
persons served. The statement must be
certified by the server.
(c) Protecting a person subject to a
subpoena.
(1) Avoiding undue burden; sanctions.
A party or representative responsible for
requesting, issuing, or serving a
subpoena must take reasonable steps to
avoid imposing undue burden on a
person subject to the subpoena. The
judge must enforce this duty and
impose an appropriate sanction.
(2) Command to produce materials or
permit inspection.
(A) Appearance not required. A
person commanded to produce
documents, electronically stored
information, or tangible things, or to
permit the inspection of premises, need
not appear in person at the place of
production or inspection unless also
commanded to appear for a deposition
or hearing.
(B) Objections. A person commanded
to produce documents or tangible things
or to permit inspection may serve on the
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party or representative designated in the
subpoena a written objection to
inspecting, copying, testing or sampling
any or all of the materials or to
inspecting the premises—or to
producing electronically stored
information in the form or forms
requested. The objection must be served
before the earlier of the time specified
for compliance or 14 days after the
subpoena is served. If an objection is
made, the following rules apply:
(i) At any time, on notice to the
commanded person, the serving party
may move the judge for an order
compelling production or inspection.
(ii) These acts may be required only
as directed in the order, and the order
must protect a person who is neither a
party nor a party’s officer from
significant expense resulting from
compliance.
(3) Quashing or modifying a
subpoena.
(A) When required. On timely motion,
the judge must quash or modify a
subpoena that:
(i) fails to allow a reasonable time to
comply;
(ii) requires a person who is neither
a party nor a party’s officer to travel
more than 100 miles from where that
person resides, is employed, or regularly
transacts business in person—except
that, subject to paragraph (c)(3)(B)(iii) of
this section, the person may be
commanded to attend the formal
hearing;
(iii) requires disclosure of privileged
or other protected matter, if no
exception or waiver applies; or
(iv) subjects a person to undue
burden.
(B) When permitted. To protect a
person subject to or otherwise affected
by a subpoena, the judge may, on
motion, quash or modify the subpoena
if it requires:
(i) disclosing a trade secret or other
confidential research, development, or
commercial information;
(ii) disclosing an unretained expert’s
opinion or information that does not
describe specific occurrences in dispute
and results from the expert’s study that
was not requested by a party; or
(iii) a person who is neither a party
nor a party’s officer to incur substantial
expense to travel more than 100 miles
to attend the formal hearing.
(C) Specifying conditions as an
alternative. In the circumstances
described in paragraph (c)(3)(B) of this
section, the judge may, instead of
quashing or modifying a subpoena,
order appearance or production under
specified conditions if the serving party:
(i) shows a substantial need for the
testimony or material that cannot be
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otherwise met without undue hardship;
and
(ii) ensures that the subpoenaed
person will be reasonably compensated.
(d) Duties in responding to a
subpoena.
(1) Producing documents or
electronically stored information. These
procedures apply to producing
documents or electronically stored
information:
(A) Documents. A person responding
to a subpoena to produce documents
must produce them as they are kept in
the ordinary course of business or must
organize and label them to correspond
to the categories in the demand.
(B) Form for producing electronically
stored information not specified. If a
subpoena does not specify a form for
producing electronically stored
information, the person responding
must produce it in a form or forms in
which it is ordinarily maintained or in
a reasonably usable form or forms.
(C) Electronically stored information
produced in only one form. The person
responding need not produce the same
electronically stored information in
more than one form.
(D) Inaccessible electronically stored
information. The person responding
need not provide discovery of
electronically stored information from
sources that the person identifies as not
reasonably accessible because of undue
burden or cost. On motion to compel
discovery or for a protective order, the
person responding must show that the
information is not reasonably accessible
because of undue burden or cost. If that
showing is made, the judge may
nonetheless order discovery from such
sources if the requesting party shows
good cause, considering the limitations
of § 18.51(b)(4)(C). The judge may
specify conditions for the discovery.
(2) Claiming privilege or protection.
(A) Information withheld. A person
withholding subpoenaed information
under a claim that it is privileged or
subject to protection as hearingpreparation material must:
(i) expressly make the claim; and
(ii) describe the nature of the
withheld documents, communications,
or tangible things in a manner that,
without revealing information itself
privileged or protected, will enable the
parties to assess the claim.
(B) Information produced. If
information produced in response to a
subpoena is subject to a claim of
privilege or of protection as hearingpreparation material, the person making
the claim may notify any party that
received the information of the claim
and the basis for it. After being notified,
a party must promptly return, sequester,
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or destroy the specified information and
any copies it has; must not use or
disclose the information until the claim
is resolved; must take reasonable steps
to retrieve the information if the party
disclosed it before being notified; and
may promptly present the information
to the judge in camera for a
determination of the claim. The person
who produced the information must
preserve the information until the claim
is resolved.
(e) Failure to obey. When a person
fails to obey a subpoena, the party
adversely affected by the failure may,
when authorized by statute or by law,
apply to the appropriate district court to
enforce the subpoena.
§ 18.57 Failure to make disclosures or to
cooperate in discovery; sanctions.
(a) Motion for an order compelling
disclosure or discovery.
(1) In general. On notice to other
parties and all affected persons, a party
may move for an order compelling
disclosure or discovery. The motion
must include a certification that the
movant has in good faith conferred or
attempted to confer with the person or
party failing to make disclosure or
discovery in an effort to obtain it
without the judge’s action.
(2) Specific motions.
(A) To compel disclosure. If a party
fails to make a disclosure required by
§ 18.50(c), any other party may move to
compel disclosure and for appropriate
sanctions.
(B) To compel a discovery response. A
party seeking discovery may move for
an order compelling an answer,
designation, production, or inspection.
This motion may be made if:
(i) a deponent fails to answer a
question asked under §§ 18.64 and
18.65;
(ii) a corporation or other entity fails
to make a designation under §§ 18.64(d)
and 18.65(a)(4);
(iii) a party fails to answer an
interrogatory submitted under § 18.60;
or
(iv) a party fails to respond that
inspection will be permitted—or fails to
permit inspection—as requested under
§ 18.61.
(C) Related to a deposition. When
taking an oral deposition, the party
asking a question may complete or
adjourn the examination before moving
for an order.
(3) Evasive or incomplete disclosure,
answer, or response. For purposes of
paragraph (a) of this section, an evasive
or incomplete disclosure, answer, or
response must be treated as a failure to
disclose, answer, or respond.
(b) Failure to comply with a judge’s
order.
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(1) For not obeying a discovery order.
If a party or a party’s officer, director,
or managing agent—or a witness
designated under §§ 18.64(b)(6) and
18.65(a)(4)—fails to obey an order to
provide or permit discovery, including
an order under § 18.50(b) or paragraph
(a) of this section, the judge may issue
further just orders. They may include
the following:
(A) directing that the matters
embraced in the order or other
designated facts be taken as established
for purposes of the proceeding, as the
prevailing party claims;
(B) prohibiting the disobedient party
from supporting or opposing designated
claims or defenses, or from introducing
designated matters in evidence;
(C) striking claims or defenses in
whole or in part;
(D) staying further proceedings until
the order is obeyed;
(E) dismissing the proceeding in
whole or in part; or
(F) rendering a default decision and
order against the disobedient party;
(2) For not producing a person for
examination. If a party fails to comply
with an order under § 18.62 requiring it
to produce another person for
examination, the judge may issue any of
the orders listed in paragraph (b)(1) of
this section, unless the disobedient
party shows that it cannot produce the
other person.
(c) Failure to disclose, to supplement
an earlier response, or to admit. If a
party fails to provide information or
identify a witness as required by
§§ 18.50(c) and 18.53, or if a party fails
to admit what is requested under
§ 18.63(a) and the requesting party later
proves a document to be genuine or the
matter true, the party is not allowed to
use that information or witness to
supply evidence on a motion or at a
hearing, unless the failure was
substantially justified or is harmless. In
addition to or instead of this sanction,
the judge, on motion and after giving an
opportunity to be heard may impose
other appropriate sanctions, including
any of the orders listed in paragraph
(b)(1) of this section.
(d) Party’s failure to attend its own
deposition, serve answers to
interrogatories, or respond to a request
for inspection.
(1) In general.
(A) Motion; grounds for sanctions.
The judge may, on motion, order
sanctions if:
(i) a party or a party’s officer, director,
or managing agent—or a person
designated under §§ 18.64(b)(6) and
18.65(a)(4)—fails, after being served
with proper notice, to appear for that
person’s deposition; or
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(ii) a party, after being properly served
with interrogatories under § 18.60 or a
request for inspection under § 18.61,
fails to serve its answers, objections, or
written response.
(B) Certification. A motion for
sanctions for failing to answer or
respond must include a certification
that the movant has in good faith
conferred or attempted to confer with
the party failing to act in an effort to
obtain the answer or response without
the judge’s action.
(2) Unacceptable excuse for failing to
act. A failure described in paragraph
(d)(1)(A) of this section is not excused
on the ground that the discovery sought
was objectionable, unless the party
failing to act has a pending motion for
a protective order under § 18.52(a).
(3) Types of sanctions. Sanctions may
include any of the orders listed in
paragraph (b)(1) of this section.
(e) Failure to provide electronically
stored information. Absent exceptional
circumstances, a judge may not impose
sanctions under these rules on a party
for failing to provide electronically
stored information lost as a result of the
routine, good-faith operation of an
electronic information system.
(f) Procedure. A judge may impose
sanctions under this section upon:
(1) a separately filed motion; or
(2) notice from the judge followed by
a reasonable opportunity to be heard.
Types of Discovery
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§ 18.60
Interrogatories to parties.
(a) In general.
(1) Number. Unless otherwise
stipulated or ordered by the judge, a
party may serve on any other party no
more than 25 written interrogatories,
including all discrete subparts. Leave to
serve additional interrogatories may be
granted to the extent consistent with
§ 18.51.
(2) Scope. An interrogatory may relate
to any matter that may be inquired into
under § 18.51. An interrogatory is not
objectionable merely because it asks for
an opinion or contention that relates to
fact or the application of law to fact, but
the judge may order that the
interrogatory need not be answered
until designated discovery is complete,
or until a prehearing conference or some
other time.
(b) Answers and objections.
(1) Responding party. The
interrogatories must be answered:
(A) by the party to whom they are
directed; or
(B) if that party is a public or private
corporation, a partnership, an
association, or a governmental agency,
by any officer or agent, who must
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furnish the information available to the
party.
(2) Time to respond. The responding
party must serve its answers and any
objections within 30 days after being
served with the interrogatories. A
shorter or longer time may be stipulated
to under § 18.54 or be ordered by the
judge.
(3) Answering each interrogatory.
Each interrogatory must, to the extent it
is not objected to, be answered
separately and fully in writing under
oath.
(4) Objections. The grounds for
objecting to an interrogatory must be
stated with specificity. Any ground not
stated in a timely objection is waived
unless the judge, for good cause,
excuses the failure.
(5) Signature. The person who makes
the answers must sign them, and the
attorney or non-attorney representative
who objects must sign any objections.
(c) Use. An answer to an interrogatory
may be used to the extent allowed by
the applicable rules of evidence.
(d) Option to produce business
records. If the answer to an interrogatory
may be determined by examining,
auditing, compiling, abstracting, or
summarizing a party’s business records
(including electronically stored
information), and if the burden of
deriving or ascertaining the answer will
be substantially the same for either
party, the responding party may answer
by:
(1) specifying the records that must be
reviewed, in sufficient detail to enable
the interrogating party to locate and
identify them as readily as the
responding party could; and
(2) giving the interrogating party a
reasonable opportunity to examine and
audit the records and to make copies,
compilations, abstracts, or summaries.
§ 18.61 Producing documents,
electronically stored information, and
tangible things, or entering onto land, for
inspection and other purposes.
(a) In general. A party may serve on
any other party a request within the
scope of § 18.51:
(1) to produce and permit the
requesting party or its representative to
inspect, copy, test, or sample the
following items in the responding
party’s possession, custody, or control:
(A) any designated documents or
electronically stored information—
including writings, drawings, graphs,
charts, photographs, sound recordings,
images, and other data or data
compilations—stored in any medium
from which information can be obtained
either directly or, if necessary, after
translation by the responding party into
a reasonably usable form; or
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(B) any designated tangible things; or
(2) to permit entry onto designated
land or other property possessed or
controlled by the responding party, so
that the requesting party may inspect,
measure, survey, photograph, test, or
sample the property or any designated
object or operation on it.
(b) Procedure.
(1) Contents of the request. The
request:
(A) must describe with reasonable
particularity each item or category of
items to be inspected;
(B) must specify a reasonable time,
place, and manner for the inspection
and for performing the related acts; and
(C) may specify the form or forms in
which electronically stored information
is to be produced.
(2) Responses and objections.
(A) Time to respond. The party to
whom the request is directed must
respond in writing within 30 days after
being served. A shorter or longer time
may be stipulated to under § 18.54 or be
ordered by the judge.
(B) Responding to each item. For each
item or category, the response must
either state that inspection and related
activities will be permitted as requested
or state an objection to the request,
including the reasons.
(C) Objections. An objection to part of
a request must specify the part and
permit inspection of the rest.
(D) Responding to a request for
production of electronically stored
information. The response may state an
objection to a requested form for
producing electronically stored
information. If the responding party
objects to a requested form—or if no
form was specified in the request—the
party must state the form or forms it
intends to use.
(E) Producing the documents or
electronically stored information.
Unless otherwise stipulated or ordered
by the judge, these procedures apply to
producing documents or electronically
stored information:
(i) A party must produce documents
as they are kept in the usual course of
business or must organize and label
them to correspond to the categories in
the request;
(ii) If a request does not specify a form
for producing electronically stored
information, a party must produce it in
a form or forms in which it is ordinarily
maintained or in a reasonably usable
form or forms; and
(iii) A party need not produce the
same electronically stored information
in more than one form.
(c) Nonparties. As provided in
§ 18.56, a nonparty may be compelled to
produce documents and tangible things
or to permit an inspection.
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Physical and mental examinations.
(a) Examination by notice.
(1) In general. A party may serve upon
another party whose mental or physical
condition is in controversy a notice to
attend and submit to an examination by
a suitably licensed or certified
examiner.
(2) Contents of the notice. The notice
must specify:
(A) the legal basis for the
examination;
(B) the time, place, manner,
conditions, and scope of the
examination, as well as the person or
persons who will perform it; and
(C) how the reasonable transportation
expenses were calculated.
(3) Service of notice. Unless otherwise
agreed by the parties, the notice must be
served no fewer than 14 days before the
examination date.
(4) Objection. The person to be
examined must serve any objection to
the notice no later than 7 days after the
notice is served. The objection must be
stated with particularity.
(b) Examination by motion.
Upon objection by the person to be
examined the requesting party may file
a motion to compel a physical or mental
examination. The motion must include
the elements required by paragraph
(a)(2) of this section.
(c) Examiner’s report.
(1) Delivery of the report. The party
who initiated the examination must,
deliver a complete copy of the
examination report to the party
examined, together with like reports of
all earlier examinations of the same
condition.
(2) Contents. The examiner’s report
must be in writing and must set out in
detail the examiner’s findings, including
diagnoses, conclusions, and the results
of any tests.
srobinson on DSK4SPTVN1PROD with
§ 18.63
Requests for admission.
(a) Scope and procedure.
(1) Scope. A party may serve on any
other party a written request to admit,
for purposes of the pending action only,
the truth of any matters within the
scope of § 18.51 relating to:
(A) facts, the application of law to
fact, or opinions about either; and
(B) the genuineness of any described
documents.
(2) Form; copy of a document. Each
matter must be separately stated. A
request to admit the genuineness of a
document must be accompanied by a
copy of the document unless it is, or has
been, otherwise furnished or made
available for inspection and copying.
(3) Time to respond; effect of not
responding. A matter is admitted unless,
within 30 days after being served, the
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party to whom the request is directed
serves on the requesting party a written
answer or objection addressed to the
matter and signed by the party or its
attorney. A shorter or longer time for
responding may be stipulated to under
§ 18.54 or be ordered by the judge.
(4) Answer. If a matter is not admitted,
the answer must specifically deny it or
state in detail why the answering party
cannot truthfully admit or deny it. A
denial must fairly respond to the
substance of the matter; and when good
faith requires that a party qualify an
answer or deny only a part of a matter,
the answer must specify the part
admitted and qualify or deny the rest.
The answering party may assert lack of
knowledge or information as a reason
for failing to admit or deny only if the
party states that it has made reasonable
inquiry and that the information it
knows or can readily obtain is
insufficient to enable it to admit or
deny.
(5) Objections. The grounds for
objecting to a request must be stated. A
party must not object solely on the
ground that the request presents a
genuine issue for hearing.
(6) Motion regarding the sufficiency of
an answer or objection. The requesting
party may move to determine the
sufficiency of an answer or objection.
Unless the judge finds an objection
justified, the judge must order that an
answer be served. On finding that an
answer does not comply with this
section, the judge may order either that
the matter is admitted or that an
amended answer be served. The judge
may defer final decision until a
prehearing conference or a specified
time before the hearing.
(b) Effect of an admission;
withdrawing or amending it. A matter
admitted under this section is
conclusively established unless the
judge, on motion, permits the admission
to be withdrawn or amended. The judge
may permit withdrawal or amendment
if it would promote the presentation of
the merits of the action and if the judge
is not persuaded that it would prejudice
the requesting party in maintaining or
defending the action on the merits. An
admission under this section is not an
admission for any other purpose and
cannot be used against the party in any
other proceeding.
§ 18.64
Depositions by oral examination.
(a) When a deposition may be taken.
(1) Without leave. A party may, by
oral questions, depose any person,
including a party, without leave of the
judge except as provided in paragraph
(a)(2) of this section. The deponent’s
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attendance may be compelled by
subpoena under § 18.56.
(2) With leave. A party must obtain
leave of the judge, and the judge must
grant leave to the extent consistent with
§ 18.51(b):
(A) if the parties have not stipulated
to the deposition and:
(i) the deposition would result in
more than 10 depositions being taken
under this section or § 18.65 by one of
the parties;
(ii) the deponent has already been
deposed in the case; or
(iii) the party seeks to take the
deposition before the time specified in
§ 18.50(a), unless the party certifies in
the notice, with supporting facts, that
the deponent is expected to leave the
United States and be unavailable for
examination in this country after that
time; or
(B) if the deponent is confined in
prison.
(b) Notice of the deposition; other
formal requirements.
(1) Notice in general. Except as
stipulated or otherwise ordered by the
judge, a party who wants to depose a
person by oral questions must give
reasonable written notice to every other
party of no fewer than 14 days. The
notice must state the time and place of
the deposition and, if known, the
deponent’s name and address. If the
name is unknown, the notice must
provide a general description sufficient
to identify the person or the particular
class or group to which the person
belongs.
(2) Producing documents. If a
subpoena duces tecum is to be served
on the deponent, the materials
designated for production, as set out in
the subpoena, must be listed in the
notice or in an attachment. If the notice
to a party deponent is accompanied by
a request for production under § 18.61,
the notice must comply with the
requirements of § 18.61(b).
(3) Method of recording.
(A) Method stated in the notice. The
party who notices the deposition must
state in the notice the method for
recording the testimony. Unless the
judge orders otherwise, testimony may
be recorded by audio, audiovisual, or
stenographic means. The noticing party
bears the recording costs. Any party
may arrange to transcribe a deposition.
(B) Additional method. With prior
notice to the deponent and other parties,
any party may designate another
method for recording the testimony in
addition to that specified in the original
notice. That party bears the expense of
the additional record or transcript
unless the judge orders otherwise.
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(4) By remote means. The parties may
stipulate—or the judge may on motion
order—that a deposition be taken by
telephone or other remote means. For
the purpose of this section, the
deposition takes place where the
deponent answers the questions.
(5) Officer’s duties.
(A) Before the deposition. Unless the
parties stipulate otherwise, a deposition
must be conducted before a person
having power to administer oaths. The
officer must begin the deposition with
an on-the-record statement that
includes:
(i) The officer’s name and business
address;
(ii) the date, time, and place of the
deposition;
(iii) the deponent’s name;
(iv) the officer’s administration of the
oath or affirmation to the deponent;
(v) the identity of all persons present;
and
(vi) the date and method of service of
the notice of deposition.
(B) Conducting the deposition;
avoiding distortion. If the deposition is
recorded nonstenographically, the
officer must repeat the items in
paragraphs (b)(5)(A)(i)–(iii) of this
section at the beginning of each unit of
the recording medium. The deponent’s
and attorneys’ appearance or demeanor
must not be distorted through recording
techniques.
(C) After the deposition. At the end of
a deposition, the officer must state on
the record that the deposition is
complete and must set out any
stipulations made by the attorneys about
custody of the transcript or recording
and of the exhibits, or about any other
pertinent matters.
(6) Notice or subpoena directed to an
organization. In its notice or subpoena,
a party may name as the deponent a
public or private corporation, a
partnership, an association, a
governmental agency, or other entity
and must describe with reasonable
particularity the matters for
examination. The named organization
must then designate one or more
officers, directors, or managing agents,
or designate other persons who consent
to testify on its behalf; and it may set
out the matters on which each person
designated will testify. A subpoena
must advise a nonparty organization of
its duty to make this designation. The
persons designated must testify about
information known or reasonably
available to the organization. This
paragraph (6) does not preclude a
deposition by any other procedure
allowed by these rules.
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(c) Examination and crossexamination; record of the examination;
objections; written questions.
(1) Examination and crossexamination. The examination and
cross-examination of a deponent
proceed as they would at the hearing
under the applicable rules of evidence.
After putting the deponent under oath
or affirmation, the officer must record
the testimony by the method designated
under paragraph (b)(3)(A) of this
section. The testimony must be recorded
by the officer personally or by a person
acting in the presence and under the
direction of the officer.
(2) Objections. An objection at the
time of the examination—whether to
evidence, to a party’s conduct, to the
officer’s qualifications, to the manner of
taking the deposition, or to any other
aspect of the deposition—must be noted
on the record, but the examination still
proceeds; the testimony is taken subject
to any objection. An objection must be
stated concisely in a nonargumentative
and nonsuggestive manner. A person
may instruct a deponent not to answer
only when necessary to preserve a
privilege, to enforce a limitation ordered
by the judge, or to present a motion
under paragraph (d)(3) of this section.
(3) Participating through written
questions. Instead of participating in the
oral examination, a party may serve
written questions in a sealed envelope
on the party noticing the deposition,
who must deliver them to the officer.
The officer must ask the deponent those
questions and record the answers
verbatim.
(d) Duration; sanction; motion to
terminate or limit.
(1) Duration. Unless otherwise
stipulated or ordered by the judge, a
deposition is limited to 1 day of 7 hours.
The judge must allow additional time
consistent with § 18.51(b) if needed to
fairly examine the deponent or if the
deponent, another person, or any other
circumstance impedes or delays the
examination.
(2) Sanction. The judge may impose
an appropriate sanction, in accordance
with § 18.57, on a person who impedes,
delays, or frustrates the fair examination
of the deponent.
(3) Motion to terminate or limit.
(A) Grounds. At any time during a
deposition, the deponent or a party may
move to terminate or limit it on the
ground that it is being conducted in bad
faith or in a manner that unreasonably
annoys, embarrasses, or oppresses the
deponent or party. If the objecting
deponent or party so demands, the
deposition must be suspended for the
time necessary to obtain an order.
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(B) Order. The judge may order that
the deposition be terminated or may
limit its scope and manner as provided
in § 18.52. If terminated, the deposition
may be resumed only by the judge’s
order.
(e) Review by the witness; changes.
(1) Review; statement of changes. On
request by the deponent or a party
before the deposition is completed, the
deponent must be allowed 30 days after
being notified by the officer that the
transcript or recording is available in
which:
(A) To review the transcript or
recording; and
(B) if there are changes in form or
substance, to sign a statement listing the
changes and the reasons for making
them.
(2) Changes indicated in the officer’s
certificate. The officer must note in the
certificate prescribed by paragraph (f)(1)
of this section whether a review was
requested and, if so, must attach any
changes the deponent makes during the
30-day period.
(f) Certification and delivery; exhibits;
copies of the transcript or recording;
filing.
(1) Certification and delivery. The
officer must certify in writing that the
witness was duly sworn and that the
deposition accurately records the
witness’s testimony. The certificate
must accompany the record of the
deposition. Unless the judge orders
otherwise, the officer must seal the
deposition in an envelope or package
bearing the title of the action and
marked ‘‘Deposition of [witness’s
name]’’ and must promptly send it to
the party or the party’s representative
who arranged for the transcript or
recording. The party or the party’s
representative must store it under
conditions that will protect it against
loss, destruction, tampering, or
deterioration.
(2) Documents and tangible things.
(A) Originals and copies. Documents
and tangible things produced for
inspection during a deposition must, on
a party’s request, be marked for
identification and attached to the
deposition. Any party may inspect and
copy them. But if the person who
produced them wants to keep the
originals, the person may:
(i) Offer copies to be marked, attached
to the deposition, and then used as
originals—after giving all parties a fair
opportunity to verify the copies by
comparing them with the originals; or
(ii) give all parties a fair opportunity
to inspect and copy the originals after
they are marked—in which event the
originals may be used as if attached to
the deposition.
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(B) Order regarding the originals. Any
party may move for an order that the
originals be attached to the deposition
pending final disposition of the
proceeding.
(3) Copies of the transcript or
recording. Unless otherwise stipulated
or ordered by the judge, the officer must
retain the stenographic notes of a
deposition taken stenographically or a
copy of the recording of a deposition
taken by another method. When paid
reasonable charges, the officer must
furnish a copy of the transcript or
recording to any party or the deponent.
(4) Notice of filing. A party who files
the deposition must promptly notify all
other parties of the filing.
(g) Failure to attend a deposition or
serve a subpoena. A judge may order
sanctions, in accordance with § 18.57, if
a party who, expecting a deposition to
be taken, attends in person or by an
attorney, and the noticing party failed
to:
(1) Attend and proceed with the
deposition; or
(2) serve a subpoena on a nonparty
deponent, who consequently did not
attend.
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§ 18.65
Depositions by written questions.
(a) When a deposition may be taken.
(1) Without leave. A party may, by
written questions, depose any person,
including a party, without leave of the
judge except as provided in paragraph
(a)(2) of this section. The deponent’s
attendance may be compelled by
subpoena under § 18.56.
(2) With leave. A party must obtain
leave of the judge, and the judge must
grant leave to the extent consistent with
§ 18.51(b):
(A) If the parties have not stipulated
to the deposition and:
(i) The deposition would result in
more than 10 depositions being taken
under this section or § 18.64 by a party;
(ii) the deponent has already been
deposed in the case; or
(iii) the party seeks to take a
deposition before the time specified in
§ 18.50(a); or
(B) if the deponent is confined in
prison.
(3) Service; required notice. A party
who wants to depose a person by
written questions must serve them on
every other party, with a notice stating,
if known, the deponent’s name and
address. If the name is unknown, the
notice must provide a general
description sufficient to identify the
person or the particular class or group
to which the person belongs. The notice
must also state the name or descriptive
title and the address of the officer before
whom the deposition will be taken.
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(4) Questions directed to an
organization. A public or private
corporation, a partnership, an
association, or a governmental agency
may be deposed by written questions in
accordance with § 18.64(b)(6).
(5) Questions from other parties. Any
questions to the deponent from other
parties must be served on all parties as
follows: Cross-questions, within 14 days
after being served with the notice and
direct questions; redirect questions,
within 7 days after being served with
cross-questions; and recross-questions,
within 7 days after being served with
redirect questions. The judge may, for
good cause, extend or shorten these
times.
(b) Delivery to the officer; officer’s
duties. Unless a different procedure is
ordered by the judge, the party who
noticed the deposition must deliver to
the officer a copy of all the questions
served and of the notice. The officer
must promptly proceed in the manner
provided in § 18.64(c), (e), and (f) to:
(1) Take the deponent’s testimony in
response to the questions;
(2) prepare and certify the deposition;
and
(3) send it to the party, attaching a
copy of the questions and of the notice.
(c) Notice of completion or filing.
(1) Completion. The party who
noticed the deposition must notify all
other parties when it is completed.
(2) Filing. A party who files the
deposition must promptly notify all
other parties of the filing.
Disposition Without Hearing
§ 18.70
Motions for dispositive action.
(a) In general. When consistent with
statute, regulation or executive order,
any party may move under § 18.33 for
disposition of the pending proceeding.
If the judge determines at any time that
subject matter jurisdiction is lacking,
the judge must dismiss the matter.
(b) Motion to remand. A party may
move to remand the matter to the
referring agency. A remand order must
include any terms or conditions and
should state the reason for the remand.
(c) Motion to dismiss. A party may
move to dismiss part or all of the matter
for reasons recognized under controlling
law, such as lack of subject matter
jurisdiction, failure to state a claim
upon which relief can be granted, or
untimeliness. If the opposing party fails
to respond, the judge may consider the
motion unopposed.
(d) Motion for decision on the record.
When the parties agree that an
evidentiary hearing is not needed, they
may move for a decision based on
stipulations of fact or a stipulated
record.
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§ 18.71 Approval of settlement or consent
findings.
(a) Motion for approval of settlement
agreement. When the applicable statute
or regulation requires it, the parties
must submit a settlement agreement for
the judge’s review and approval.
(b) Motion for consent findings and
order. Parties may file a motion to
accept and adopt consent findings. Any
agreement that contains consent
findings and an order that disposes of
all or part of a matter must include:
(1) a statement that the order has the
same effect as one made after a full
hearing;
(2) a statement that the order is based
on a record that consists of the paper
that began the proceeding (such as a
complaint, order of reference, or notice
of administrative determination), as it
may have been amended, and the
agreement;
(3) a waiver of any further procedural
steps before the judge; and
(4) a waiver of any right to challenge
or contest the validity of the order
entered into in accordance with the
agreement.
§ 18.72
Summary decision.
(a) Motion for summary decision or
partial summary decision. A party may
move for summary decision, identifying
each claim or defense—or the part of
each claim or defense—on which
summary decision is sought. The judge
shall grant summary decision if the
movant shows that there is no genuine
dispute as to any material fact and the
movant is entitled to decision as a
matter of law. The judge should state on
the record the reasons for granting or
denying the motion.
(b) Time to file a motion. Unless the
judge orders otherwise, a party may file
a motion for summary decision at any
time until 30 days before the date fixed
for the formal hearing.
(c) Procedures.
(1) Supporting factual positions. A
party asserting that a fact cannot be or
is genuinely disputed must support the
assertion by:
(A) citing to particular parts of
materials in the record, including
depositions, documents, electronically
stored information, affidavits or
declarations, stipulations (including
those made for purposes of the motion
only), admissions, interrogatory
answers, or other materials; or
(B) showing that the materials cited
do not establish the absence or presence
of a genuine dispute, or that an adverse
party cannot produce admissible
evidence to support the fact.
(2) Objection that a fact is not
supported by admissible evidence. A
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party may object that the material cited
to support or dispute a fact cannot be
presented in a form that would be
admissible in evidence.
(3) Materials not cited. The judge
need consider only the cited materials,
but the judge may consider other
materials in the record.
(4) Affidavits or declarations. An
affidavit or declaration used to support
or oppose a motion must be made on
personal knowledge, set out facts that
would be admissible in evidence, and
show that the affiant or declarant is
competent to testify on the matters
stated.
(d) When facts are unavailable to the
nonmovant. If a nonmovant shows by
affidavit or declaration that, for
specified reasons, it cannot present facts
essential to justify its opposition, the
judge may:
(1) defer considering the motion or
deny it;
(2) allow time to obtain affidavits or
declarations or to take discovery; or
(3) issue any other appropriate order.
(e) Failing to properly support or
address a fact. If a party fails to properly
support an assertion of fact or fails to
properly address another party’s
assertion of fact as required by
paragraph (c) of this section, the judge
may:
(1) give an opportunity to properly
support or address the fact;
(2) consider the fact undisputed for
purposes of the motion;
(3) grant summary decision if the
motion and supporting materials—
including the facts considered
undisputed—show that the movant is
entitled to it; or
(4) issue any other appropriate order.
(f) Decision independent of the
motion. After giving notice and a
reasonable time to respond, the judge
may:
(1) grant summary decision for a
nonmovant;
(2) grant the motion on grounds not
raised by a party; or
(3) consider summary decision on the
judge’s own after identifying for the
parties material facts that may not be
genuinely in dispute.
(g) Failing to grant all the requested
relief. If the judge does not grant all the
relief requested by the motion, the judge
may enter an order stating any material
fact—including an item of damages or
other relief—that is not genuinely in
dispute and treating the fact as
established in the case.
(h) Affidavit or declaration submitted
in bad faith. If satisfied that an affidavit
or declaration under this section is
submitted in bad faith or solely for
delay, the judge—after notice and a
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reasonable time to respond—may order
sanctions or other relief as authorized
by law.
Hearing
§ 18.80
Prehearing statement.
(a) Time for filing. Unless the judge
orders otherwise, at least 21 days before
the hearing, each participating party
must file a prehearing statement.
(b) Required conference. Before filing
a prehearing statement, the party must
confer with all other parties in good
faith to:
(1) stipulate to the facts to the fullest
extent possible; and
(2) revise exhibit lists, eliminate
duplicative exhibits, prepare joint
exhibits, and attempt to resolve any
objections to exhibits.
(c) Contents. Unless ordered
otherwise, the prehearing statement
must state:
(1) the party’s name;
(2) the issues of law to be determined
with reference to the appropriate
statute, regulation, or case law;
(3) a precise statement of the relief
sought;
(4) the stipulated facts that require no
proof;
(5) the facts disputed by the parties;
(6) a list of witnesses the party
expects to call;
(7) a list of the joint exhibits;
(8) a list of the party’s exhibits;
(9) an estimate of the time required for
the party to present its case-in-chief;
and
(10) any additional information that
may aid the parties’ preparation for the
hearing or the disposition of the
proceeding, such as the need for
specialized equipment at the hearing.
(d) Joint prehearing statement. The
judge may require the parties to file a
joint prehearing statement rather than
individual prehearing statements.
(e) Signature. The prehearing
statement must be in writing and
signed. By signing, an attorney,
representative, or party makes the
certifications described in § 18.50(d).
§ 18.81
Formal hearing.
(a) Public. Hearings are open to the
public. But, when authorized by law
and only to the minimum extent
necessary, the judge may order a hearing
or any part of a hearing closed to the
public, including anticipated witnesses.
The order closing all or part of the
hearing must state findings and explain
why the reasons for closure outweigh
the presumption of public access. The
order and any objection must be part of
the record.
(b) Taking testimony. Unless a closure
order is issued under paragraph (a) of
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this section, the witnesses’ testimony
must be taken in an open hearing. For
good cause and with appropriate
safeguards, the judge may permit
testimony in an open hearing by
contemporaneous transmission from a
different location.
(c) Party participation. For good cause
and with appropriate safeguards, the
judge may permit a party to participate
in an open hearing by contemporaneous
transmission from a different location.
§ 18.82
Exhibits.
(a) Identification. All exhibits offered
in evidence must be marked with a
designation identifying the party
offering the exhibit and must be
numbered and paginated as the judge
orders.
(b) Electronic data. By order the judge
may prescribe the format for the
submission of data that is in electronic
form.
(c) Exchange of exhibits. When
written exhibits are offered in evidence,
one copy must be furnished to the judge
and to each of the parties at the hearing,
unless copies were previously furnished
with the list of proposed exhibits or the
judge directs otherwise. If the judge
does not fix a date for the exchange of
exhibits, the parties must exchange
copies of exhibits at the earliest
practicable time before the hearing
begins.
(d) Authenticity. The authenticity of a
document identified in a pre-hearing
exhibit list is admitted unless a party
files a written objection to authenticity
at least 7 days before the hearing. The
judge may permit a party to challenge a
document’s authenticity if the party
establishes good cause for its failure to
file a timely written objection.
(e) Substitution of copies for original
exhibits. The judge may permit a party
to withdraw original documents offered
in evidence and substitute accurate
copies of the originals.
(f) Designation of parts of documents.
When only a portion of a document
contains relevant matter, the offering
party must exclude the irrelevant parts
to the greatest extent practicable.
(g) Records in other proceedings.
Portions of the record of other
administrative proceedings, civil actions
or criminal prosecutions may be
received in evidence, when the offering
party shows the copies are accurate.
§ 18.83
Stipulations.
(a) The parties may stipulate to any
facts in writing at any stage of the
proceeding or orally on the record at a
deposition or at a hearing. These
stipulations bind the parties unless the
judge disapproves them.
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(b) Every stipulation that requests or
requires a judge’s action must be written
and signed by all affected parties or
their representatives. Any stipulation to
extend time must state the reason for the
date change.
(c) A proposed form of order may be
submitted with the stipulation; it may
consist of an endorsement on the
stipulation of the words, ‘‘Pursuant to
stipulation, it is so ordered,’’ with
spaces designated for the date and the
signature of the judge.
§ 18.84
Official notice.
On motion of a party or on the judge’s
own, official notice may be taken of any
adjudicative fact or other matter subject
to judicial notice. The parties must be
given an adequate opportunity to show
the contrary of the matter noticed.
§ 18.85 Privileged, sensitive, or classified
material.
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(a) Exclusion. On motion of any
interested person or the judge’s own, the
judge may limit the introduction of
material into the record or issue orders
to protect against undue disclosure of
privileged communications, or sensitive
or classified matters. The judge may
admit into the record a summary or
extract that omits the privileged,
sensitive or classified material.
(b) Sealing the record.
(1) On motion of any interested
person or the judge’s own, the judge
may order any material that is in the
record to be sealed from public access.
The motion must propose the fewest
redactions possible that will protect the
interest offered as the basis for the
motion. A redacted copy or summary of
any material sealed must be made part
of the public record unless the
necessary redactions would be so
extensive that the public version would
be meaningless, or making even a
redacted version or summary available
would defeat the reason the original is
sealed.
(2) An order that seals material must
state findings and explain why the
reasons to seal adjudicatory records
outweigh the presumption of public
access. Sealed materials must be placed
in a clearly marked, separate part of the
record. Notwithstanding the judge’s
order, all parts of the record remain
subject to statutes and regulations
pertaining to public access to agency
records.
§ 18.86
Hearing room conduct.
Participants must conduct themselves
in an orderly manner. The consumption
of food or beverage, and rearranging
courtroom furniture are prohibited,
unless specifically authorized by the
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judge. Electronic devices must be
silenced and must not disrupt the
proceedings. Parties, witnesses and
spectators are prohibited from using
video or audio recording devices to
record hearings.
§ 18.87
Standards of conduct.
(a) In general. All persons appearing
in proceedings must act with integrity
and in an ethical manner.
(b) Exclusion for misconduct. During
the course of a proceeding, the judge
may exclude any person—including a
party or a party’s attorney or nonattorney representative—for
contumacious conduct such as refusal to
comply with directions, continued use
of dilatory tactics, refusal to adhere to
reasonable standards of orderly or
ethical conduct, failure to act in good
faith, or violation of the prohibition
against ex parte communications. The
judge must state the basis for the
exclusion.
(c) Review of representative’s
exclusion. Any representative excluded
from a proceeding may appeal to the
Chief Judge for reinstatement within 7
days of the exclusion. The exclusion
order is reviewed for abuse of
discretion. The proceeding from which
the representative was excluded will not
be delayed or suspended pending
review by the Chief Judge, except for a
reasonable delay to enable the party to
obtain another representative.
§ 18.88
Transcript of proceedings.
(a) Hearing transcript. All hearings
must be recorded and transcribed. The
parties and the public may obtain copies
of the transcript from the official
reporter at rates not to exceed the
applicable rates fixed by the contract
with the reporter.
(b) Corrections to the transcript. A
party may file a motion to correct the
official transcript. Motions for
correction must be filed within 14 days
of the receipt of the transcript unless the
judge permits additional time. The
judge may grant the motion in whole or
part if the corrections involve
substantive errors. At any time before
issuing a decision and upon notice to
the parties, the judge may correct errors
in the transcript.
Post Hearing
§ 18.90 Closing the record; subsequent
motions.
(a) In general. The record of a hearing
closes when the hearing concludes,
unless the judge directs otherwise. If
any party waives a hearing, the record
closes on the date the judge sets for the
filing of the parties’ submissions.
(b) Motion to reopen the record.
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(1) A motion to reopen the record
must be made promptly after the
additional evidence is discovered. No
additional evidence may be admitted
unless the offering party shows that new
and material evidence has become
available that could not have been
discovered with reasonable diligence
before the record closed. Each new item
must be designated as an exhibit under
§ 18.82(a) and accompanied by proof
that copies have been served on all
parties.
(2) If the record is reopened, the other
parties must have an opportunity to
offer responsive evidence, and a new
evidentiary hearing may be set.
(c) Motions after the decision. After
the decision and order is issued, the
judge retains jurisdiction to dispose of
appropriate motions, such as a motion
to award attorney’s fees and expenses, a
motion to correct the transcript, or a
motion for reconsideration.
§ 18.91
Post-hearing brief.
The judge may grant a party time to
file a post-hearing brief with proposed
findings of fact, conclusions of law, and
the specific relief sought. The brief must
refer to all portions of the record and
authorities relied upon in support of
each assertion.
§ 18.92
Decision and order.
At the conclusion of the proceeding,
the judge must issue a written decision
and order.
§ 18.93
Motion for reconsideration.
A motion for reconsideration of a
decision and order must be filed no later
than 10 days after service of the
decision on the moving party.
§ 18.94 Indicative ruling on a motion for
relief that is barred by a pending petition for
review.
(a) Relief pending review. If a timely
motion is made for relief that the judge
lacks authority to grant because a
petition for review has been docketed
and is pending, the judge may:
(1) defer considering the motion;
(2) deny the motion; or
(3) state either that the judge would
grant the motion if the reviewing body
remands for that purpose or that the
motion raises a substantial issue.
(b) Notice to reviewing body. The
movant must promptly notify the clerk
of the reviewing body if the judge states
that he or she would grant the motion
or that the motion raises a substantial
issue.
(c) Remand. The judge may decide the
motion if the reviewing body remands
for that purpose.
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§ 18.95
Review of decision.
The statute or regulation that
conferred hearing jurisdiction provides
the procedure for review of a judge’s
decision. If the statute or regulation
does not provide a procedure, the
judge’s decision becomes the Secretary’s
final administrative decision.
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Agencies
[Federal Register Volume 77, Number 233 (Tuesday, December 4, 2012)]
[Proposed Rules]
[Pages 72141-72193]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-28516]
[[Page 72141]]
Vol. 77
Tuesday,
No. 233
December 4, 2012
Part IV
Department of Labor
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Office of the Secretary
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29 CFR Part 18
Rules of Practice and Procedure for Hearings Before the Office of
Administrative Law Judges; Proposed Rule
Federal Register / Vol. 77 , No. 233 / Tuesday, December 4, 2012 /
Proposed Rules
[[Page 72142]]
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DEPARTMENT OF LABOR
Office of the Secretary
29 CFR Part 18
RIN 1290-AA26
Rules of Practice and Procedure for Hearings Before the Office of
Administrative Law Judges
AGENCY: Office of the Secretary, Labor.
ACTION: Notice of proposed rulemaking.
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SUMMARY: The Department of Labor proposes to revise and reorganize the
Rules of Practice and Procedure for Administrative Hearings Before the
Office of Administrative Law Judges, from our regulations, which
provide procedural guidance to administrative law judges, claimants,
employers, and Department of Labor representatives seeking to resolve
disputes under a variety of employment and labor laws. The Office of
Administrative Law Judges promulgated these regulations in 1983. The
regulations were modeled on the Federal Rules of Civil Procedure (FRCP)
and have proved extraordinarily helpful in providing litigants with
familiar rules governing hearing procedure.
Since 1983, the FRCP have been amended many times. Moreover, in
2007 the FRCP were given a complete revision to improve style and
clarity. The nature of litigation has also changed in the past 28
years, particularly in the areas of discovery and electronic records.
Thus, OALJ has revised its regulations to make the rules more
accessible and useful to parties, and to harmonize administrative
hearing procedures with the current FRCP. The goal in amending the
regulations is to provide clarity through the use of consistent
terminology, structure and formatting so that parties have clear
direction when pursuing or defending against a claim.
In addition to revising the regulations to conform to modern legal
procedure, the rules need to be modified to reflect the types of claims
now heard by OALJ. When the rules were promulgated in 1983, OALJ
primarily adjudicated occupational disease and injury cases. Presently,
and looking ahead to the future, OALJ is and will be increasingly
tasked with hearing whistleblower and other workplace retaliation
claims, in addition to the occupational disease and injury cases. These
types of cases require more structured management and oversight by the
presiding administrative law judge and more sophisticated motions and
discovery procedures than the current regulations provide. In order to
best manage the complexities of whistleblower and discrimination
claims, OALJ needs to update its rules to address the procedural
questions that arise in these cases.
DATES: Submit comments on or before February 4, 2013.
ADDRESSES: You may submit comments by any of the following methods:
Electronically: You may submit your comments and attachments
electronically at www.regulations.gov.
Mail, hand delivery, express mail, messenger or courier service:
You may submit your comments and attachments to the U.S. Department of
Labor, Office of Administrative Law Judges, 800 K Street NW., Suite
400-North, Washington, DC 20001-8002; telephone (202) 693-7300.
Deliveries (hand, express mail, messenger, and courier service) are
accepted during the Office of Administrative Law Judges' normal
business hours, 8:00 a.m.-4:30 p.m., e.t.
Instruction for submitting comments: Please submit only one copy of
your comments via any of the methods noted in this section. All
submissions received must include the agency name, as well as RIN 1290-
AA26. Also, please note that due to security concerns, postal mail
delivery in Washington, DC may be delayed. Therefore, in order to
ensure that comments are received on time, the Department encourages
the public to submit comments electronically as indicated above. For
further information on submitting comments, plus additional information
on the rulemaking process, see the ``Public Participation'' heading in
the SUPPLEMENTARY INFORMATION section of this notice.
FOR FURTHER INFORMATION CONTACT: Todd Smyth at the U.S. Department of
Labor, Office of Administrative Law Judges, 800 K Street NW Suite 400-
North, Washington, DC 20001-8002; telephone (202) 693-7300.
SUPPLEMENTARY INFORMATION:
I. Background
Administrative law judges at the Office of Administrative Law
Judges (OALJ), United States Department of Labor (Department), conduct
formal hearings under the Administrative Procedure Act, 5 U.S.C. 554
through 557. An administrative law judge manages hearings that mirror
federal civil litigation, is bound by applicable rules of evidence and
procedure, and is insulated from political influence. See Tennessee v.
U.S. Dep't of Transp., 326 F.3d 729, 735-36 (6th Cir. 2003). An
administrative law judge acts as the functional equivalent of a trial
judge. See Fed. Mar. Comm'n v. S.C. State Ports Auth., 535 U.S. 743,
756-57 (2002). The types of cases heard by administrative law judges
involve a full range of complexity, from simple administrative review
of an existing administrative record to de novo, trial-type litigation.
Consequently, rules of practice and procedure are essential to a just,
speedy, and inexpensive determination of every proceeding.
The current Rules of Practice and Procedure for Administrative
Hearings before the Office of Administrative Law Judges, 29 CFR part
18, subpart A (Part 18, Subpart A), were published on July 15, 1983.
See 48 FR 32538, 32538, July 15, 1983. Rarely have they been altered.
Some rules relating to discovery were amended in 1994. See 59 FR 41874,
41876, Aug. 15, 1994. The most recent amendment, made in August 1999,
permitted the appointment of settlement judges in cases arising under
the Longshore and Harbor Workers' Compensation Act (Longshore Act), 33
U.S.C. 901 et seq., and associated statutes. See 64 FR 47088, 47089,
Aug. 27, 1999. Since its original publication, Part 18, Subpart A has
never been comprehensively revised to keep abreast of ongoing changes
to the procedures that govern civil litigation in federal trial courts.
The OALJ rules of practice and procedure are analogous to the
Federal Rules of Civil Procedure used in the United States District
Courts. Congress authorized the Supreme Court to prescribe rules for
the United States District Courts in 1934, under the Rules Enabling
Act, 28 U.S.C. 2072. The original version of those rules became
effective on September 16, 1938.\1\ Since 1938, thirty-three sessions
of Congress have approved changes to the FRCP, from 1941 through the
most recent amendments that took effect on December 1, 2010.
Significant amendments became effective in 1948, 1963, 1966, 1970,
1980, 1983, 1987, 1993, 2000, 2006, 2007, 2009, and 2010. Id. The
procedural rules for OALJ have not kept pace with the eight groups of
changes to the FRCP since the early 1980s.
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\1\ Staff of H. Comm. on the Judiciary, 111th Cong., Federal
Rules of Civil Procedure with Forms at vii (Comm. Print 2010),
www.uscourts.gov/uscourts/RulesAndPolicies/rules/2010%20Rules/Civil%20Procedure.pdf.
---------------------------------------------------------------------------
The disputes that comprise the docket at OALJ have also changed
with time. When the rules of practice and procedure were first
published, OALJ's judges mainly (but not exclusively) were devoting
their efforts to deciding benefit claims under two broad statutory
categories:
[[Page 72143]]
The Black Lung Benefits Act, subchapter 4 of the Federal
Coal Mine Health and Safety Act of 1969, as amended, 30 U.S.C. 901 et
seq. (1969); and
The Longshore Act and its extensions, which included the
Nonappropriated Fund Instrumentalities Act, 5 U.S.C. 8171 (1927); the
Outer Continental Shelf Lands Act, 43 U.S.C. 1333 (1953); and the
Defense Base Act, as amended, 42 U.S.C. 1651 (1941).\2\
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\2\ Judges at OALJ continue to hear a very few claims under
another Longshore Act extension, the District of Columbia Workmen's
Compensation Act of 1928, 36 DC Code Sec. 501 et seq., despite the
District's adoption of its own workers' compensation law. For claims
that involve an injury suffered before the District's own law took
effect in mid-1982, judges at OALJ continue to hear them. Keener v.
Wash. Metro. Transit Auth., 800 F.2d 1173, 1175 (D.C. Cir. 1986).
---------------------------------------------------------------------------
Over the last nearly two decades, Congress charged the Department
of Labor (and consequently the OALJ) with the responsibility to hear
and decide matters under many new statutes. Most relate to complaints
by employees who assert their employers retaliated against them after
they engaged in whistleblower activity. Some of these statutes for
example are:
Section 110 of the Comprehensive Environmental Response,
Compensation and Liability Act, 42 U.S.C. 9610, Public Law 96-510, 94
Stat. 2787, enacted on December 11, 1980;
Section 405 of the Surface Transportation Assistance Act
of 1982 (STAA), 49 U.S.C. 31105, Public Law 97-424, 96 Stat. 2097,
2157-58, first enacted on January 6, 1983 (and originally codified as
49 U.S.C. 2301 et seq.), and last amended by sec. 1536 of the
Implementing Recommendations of the 9/11 Commission Act of 2007, Public
Law 110-53, 121 Stat. 464, enacted on August 3, 2007;
Section 212(n)(2)(C)(iv) of the Immigration and
Nationality Act, 8 U.S.C. 1182(n)(2)(C)(iv), as amended by the American
Competitiveness and Workforce Improvement Act of 1998, which was part
of the Omnibus Consolidated and Emergency Supplemental Appropriations
Act of 1998, Public Law 105-277, div. C, tit. IV, sec. 411(a), 112
Stat. 2681-641 to 2681-657, enacted on October 21,1998;
Section 519 of the Wendell H. Ford Aviation Investment and
Reform Act for the 21st Century (AIR21), 49 U.S.C. 42121, Public Law
106-181, 114 Stat. 145, enacted on April 5, 2000;
Section 6(a) of the Pipeline Safety Improvement Act of
2002, 49 U.S.C. 60129, Public Law 107-355, 116 Stat. 2989, enacted on
December 17, 2002;
Section 806 of the Corporate and Criminal Fraud
Accountability Act of 2002 (the Sarbanes-Oxley Act), 18 U.S.C. 1514A,
Public Law 107-204, 116 Stat. 802, first enacted on July 30, 2002, and
last amended by sec. 929A of the Dodd-Frank Wall Street Reform and
Consumer Protection Act, Public Law 111-203, 124 Stat. 1848, 1852,
enacted on July 21, 2010;
Section 1413 of the Implementing Recommendations of the 9/
11 Commission Act of 2007, 6 U.S.C. 1142, Public Law 100-53, 121 Stat.
414, that amended the National Transit Systems Security Act on August
3, 2007; and
Section 1521 of the Implementing Recommendations of the 9/
11 Commission Act of 2007, 49 U.S.C. 20109, Public Law 100-53, 121
Stat. 444, that amended the Federal Railroad Safety Act on August 3,
2007.
Congress remains active in the area of whistleblower protection. On
July 21, 2010, Congress created and expanded whistleblower protection
for employees in the financial services industry under the Dodd-Frank
Wall Street Reform and Consumer Protection Act, Public Law 111-203. On
October 15, 2010, it amended another employment protection program that
includes the opportunity for a hearing before an administrative law
judge at the OALJ. See the amendment to the Seaman's Protection Act in
sec. 611 of the Coast Guard Authorization Act of 2010, 46 U.S.C. 2114,
Public Law 111-281, 124 Stat. 2969. This year Congress established an
additional right to an administrative hearing for whistleblowing
employees in sec. 402 of the FDA Food Safety Modernization Act, 21
U.S.C. 399d, Public Law 111-353, 124 Stat. 3968, enacted January 4,
2011.
The substantive program regulations the Department has published to
implement many of the statutes that grant workers and employers formal
hearings on claims of workplace retaliation offer limited guidance
about the procedures those adjudications should follow. Regulations
often incorporate instead the procedural rules of Part 18, Subpart A.
See, e.g., 29 CFR 1978.107(a), 1979.107(a), 1980.107(a) (2011) (STAA,
AIR21, and Sarbanes-Oxley regulations, respectively). In adopting
program regulations, the Department has acknowledged it was leaving
matters like the ``place of hearing, right to counsel, procedures,
evidence and record of hearing, oral arguments and briefs, and
dismissal for cause'' to the Part 18, Subpart A rules precisely
``because the Office of Administrative Law Judges has adopted its own
rules of practice that cover these matters.'' 76 FR 2808, 2814, Jan.
18, 2011 (amending the 29 CFR part 24 regulations that cover
whistleblowers in the nuclear power and environmental industries).
The growth in whistleblower jurisdiction has led OALJ to search for
ways to manage those proceedings efficiently. Implementing procedures
the federal district courts have developed or refined since 1983 will
improve the current Part 18, Subpart A rules.
For example, several regulations that govern whistleblower claims
explicitly grant the presiding judge ``broad discretion to limit
discovery'' as a way to ``expedite the hearing.'' 29 CFR 1979.107(b),
1980.107(b), 1981.107(b). The Department's discussion when it published
the final rules on Sarbanes-Oxley matters offered as an illustration
that the judge may ``limit the number of interrogatories, requests for
production of documents or depositions allowed.'' 69 FR 52104, 52110,
Aug. 24, 2004. Other program regulations, such as those that govern
disputes under the Energy Reorganization Act and six environmental
statutes that cover whistleblowers in the nuclear and environmental
industries published at 29 CFR part 24, incorporate the Part 18,
Subpart A regulations without an explicit reference to a judge's
authority to control discovery. See 29 CFR 24.107(a). The Preface to
those Part 24 regulations nonetheless recognizes that the current Part
18, Subpart A regulations invest a judge with broad authority ``to
limit discovery in appropriate circumstances.'' 76 FR at 2815. Whether
a program regulation specifically recognizes a judge's authority to
limit or manage discovery, or implicitly does so by adopting the Part
18, Subpart A regulations, the judge will consider the parties' views
on the discovery appropriate to develop the facts for hearing before
limiting it. As detailed below, the early initial disclosures the
federal courts now require parties to exchange under Fed. R. Civ. P.
26(a)(1) obviates the need for some formal discovery. The discovery
plan that parties craft under Fed. R. Civ. P. 26(f) after they confer
at the outset of the litigation offers a ready way to tailor discovery
to the proceeding.
A 2010 study surveyed lawyers who were the attorneys of record in
federal civil cases that terminated in the last quarter of 2008 about
their satisfaction with the current FRCP. Lawyers from the Litigation
Section of the American Bar Association and from the National
Employment Lawyers Association were sampled too. The survey instrument
had been developed jointly by the American
[[Page 72144]]
College of Trial Lawyers and the Institute for the Advancement of the
American Legal System. A majority of lawyers across all the groups
responded that active case management by judges offered a useful way to
limit or avoid abusive, frivolous, or unnecessary discovery. Emery G.
Lee & Thomas E. Willging, Attorney Satisfaction with the Federal Rules
of Civil Procedure: Report to the Judicial Conference Advisory
Committee on Civil Rules 3, 9 (2010). These survey results mesh
comfortably with comments the Department received as the 29 CFR part 24
regulations were amended. Some lawyers who commented there urged the
Department, among other things, to require parties to those
whistleblower claims to exchange the initial disclosures now mandated
by Fed. R. Civ. P. 26(a)(1). 76 FR at 2815.
Updating the Part 18, Subpart A regulations has value beyond
whistleblower litigation. Regulations for the Longshore and Harbor
Workers' Compensation Act published at 20 CFR 702.331 through 702.351
predate Part 18, Subpart A. They sketch out only broad outlines of how
hearings should proceed, so the parties and judges fall back on the
Part 18, Subpart A rules in cases brought under the Longshore Act and
its extensions. Workers, their employers, and insurance carriers also
will profit from updated procedures that avoid the need to serve
discovery to learn basic information, and allow more focused case
management.
The Department believes that in many instances the current Part 18,
Subpart A rules provide limited guidance. Judges have addressed the
current rules' limitations by managing procedural matters through
orders, often directing parties to follow aspects of the various
updates to the FRCP. The consequent variety in approaches to case
management has troubled some lawyers, especially those with nationwide
client bases who routinely practice before different judges throughout
the nation.
Lastly, the Department recognizes that the current Part 18, Subpart
A rules can be stated more clearly, something the 2007 style amendments
to the FRCP highlight. The style amendments were the first
comprehensive overhaul since the FRCP were adopted in 1938. Taking more
than four years to complete, they aspired to simplify and clarify
federal procedure. The more austere sentence structure used throughout
the restyled FRCP made them shorter, easier to read and more clearly
articulated. The amendments proposed to Part 18, Subpart A emulate
those improvements.
The Department's principal goals in revising Part 18, Subpart A
were to:
Bring the rules into closer alignment with the current
FRCP;
Revise the rules to aid the development of facts germane
to additional sorts of adjudications the Department's judges handle;
Enhance procedural uniformity, while allowing judges to
manage cases flexibly, because (a) An administrative proceeding is
meant to be less formal than a jury trial; (b) local trial practice in
different regions of the country should be accommodated when doing so
does not affect substantive rights; and (c) governing statutes and
substantive regulations may impose their own specific procedural
requirements; and
Make the rules clearer and easier to understand through
the use of consistent terminology, structure, and formatting.
II. Alignment With the Federal Rules of Civil Procedure
The decisions and orders that judges enter to resolve cases under
sec. 556 and 557 of the Administrative Procedure Act resemble findings
of fact and conclusions of law federal district and magistrate judges
enter in non-jury cases under Fed. R. Civ. P. 52. Matters proceed
before OALJ much the way non-jury cases move through the federal
courts.
Using language similar or identical to the applicable FRCP gains
the advantage of the broad experience of the federal courts and the
well-developed precedent they have created to guide litigants, judges,
and reviewing authorities within the Department on procedure. Parties
and judges obtain the additional advantage of focusing primarily on the
substance of the administrative disputes, spending less time on the
distraction of litigating about procedure.
Part 18, Subpart A currently provides that the ``Rules of Civil
Procedure for the District Courts of the United States shall be applied
in any situation not provided for or controlled by these rules, or by
any statute, executive order or regulation.'' 29 CFR 18.1(a).
Experienced practitioners know to consult the FRCP for guidance in
circumstances the current Part 18, Subpart A rules do not explicitly
cover. Given the developments in the FRCP since 1983, parties and
judges switch back and forth between two different sources of procedure
(the Part 18, Subpart A rules and the FRCP). This is a less than ideal
situation. The proposed revision continues the current practice of
looking to the federal civil rules to resolve procedural questions that
the revised Part 18, Subpart A rules do not explicitly cover, a
principle that Sec. 18.1(a) has embodied for over twenty-five years.
Pretrial procedures under the FRCP have significantly changed since
Part 18, Subpart A was published in 1983. Some of the most significant
changes have encompassed:
The scope of pretrial discovery;
How time is computed under the FRCP;
The innovation of early mandatory disclosures about
documentary proof and lay and expert witness testimony that were
unknown to litigation practice in 1983, the related discovery plans the
parties now negotiate, and the ongoing duty parties now bear to
supplement their mandatory disclosures and discovery responses;
Alterations to the rule on pretrial conferences to
encourage judges to manage cases, and give them the tools to do so;
Imposing presumptive limitations on aspects of discovery;
Adding rules on the discovery of electronically stored
information, a rare source of information in the early 1980's that has
become ubiquitous today; and
The procedure, but not the standard, for granting summary
judgment under Fed. R. Civ. P. 56 that was substantially revised in
2010.
The 2007 style amendments to the FRCP in some instances altered the
original numbering of provisions that first came into being after 1983.
The current rule numbers from the 2010 edition of the FRCP are used in
the following discussion of significant changes in litigation practice
since 1983.
A. Scope of Discovery
The scope of discovery has changed. The formulation used in current
Part 18, Subpart A at Sec. 18.14 extends discovery to ``any matter,
not privileged, which is relevant to the subject matter involved in the
proceeding.'' The FRCP now permits parties the somewhat narrower
opportunity to learn about unprivileged matters ``relevant to a party's
claim or defense.'' Advisory Committee Notes to the 2000 Amendments to
Fed. R. Civ. P. 26(b)(1); Jeffery W. Stemple & David F. Herr, Applying
Amended Rule 26(b)(1) in Litigation: The New Scope of Discovery, 199
F.R.D. 396, 398 (2001).
B. Time Computation
Litigation requires timely filings and actions. The way time is
calculated under Fed. R. Civ. P. 6 changed in 2009. In the Department's
view, the Part 18, Subpart A rules should be harmonized with the FRCP
so parties and their lawyers use the simpler, clearer, and more
consistent way federal courts now
[[Page 72145]]
calculate time. Part 18, Subpart A presently excludes weekends and
legal holidays when computing some deadlines but not others. See
current 29 CFR 18.4(a). Fed. R. Civ. P. 6 now counts intervening
weekends and holidays for all time periods. Most short periods found
throughout the FRCP were extended to offset the shift in the time-
computation rules and to ensure that each period is reasonable. Five-
day periods became 7-day periods and 10-day periods became 14-day
periods, in effect maintaining the status quo.
Time periods in the FRCP shorter than 30 days also were revised to
multiples of 7 days, to reduce the likelihood of ending on weekends.
Other changes to the FRCP time-computation rules affect how to tell
when the last day of a period ends, and how to compute backward-counted
periods that end on a weekend or holiday.
C. Mandatory Disclosures, Their Supplements, and Discovery Plans
The Department believes that the success the federal courts have
had with requiring parties to exchange elementary information early in
the dispute, without the need for a formal discovery demand, should be
incorporated into OALJ's procedures for most cases. The same is true
for the way the federal courts require parties to disclose the opinions
of experts, and to supplement disclosures and discovery responses.
Disclosures of information relevant to the claims or defenses a
party may raise in the litigation were required in the 1993 amendments
to the FRCP. See David D. Siegel, The Recent (Dec. 1, 1993) Changes in
the Federal Rules of Civil Procedure: Background, the Question of
Retroactivity, and a Word about Mandatory Disclosure, 151 F.R.D. 147
(1993). Although originally subject to variation by local rule of a
district court, by 2000 the disclosures became mandatory and nationally
uniform (although the federal courts exempted a narrow group of cases
that were unlikely to benefit from required disclosures).
The disclosure obligation was narrowed in 2000 to embrace only
information the party would use to support its claims or defenses at a
pretrial conference, to support a motion, to question a witness during
a discovery deposition, or at trial. Advisory Committee Notes to the
2000 Amendments to Fed. R. Civ. P. 26(a). These mandatory disclosures
cover basic information needed to prepare most cases for trial or to
make an informed decision about settlement. Advisory Committee Notes to
the 1993 Amendments to Fed. R. Civ. P. 26(a). They must be exchanged at
the outset of the proceeding, even before the opponent issues any
discovery request, and for the most part there is a moratorium on
discovery until the automatic disclosures are made. Fed. R. Civ. P.
26(d)(1). Few excuses for failing to make timely disclosures are
countenanced. Fed. R. Civ. P. 26(a)(1)(E). These prompt initial
disclosures lead to an early conference where the parties discuss
whether the case can be settled and negotiate a proposed discovery
schedule they report to the judge. Fed. R. Civ. P. 26(f)(2).
Other amendments enhanced the pretrial disclosure of the opinions
of an expert witness. A party now is required to:
Provide a detailed written report, signed by an expert who
is retained or specially employed to give expert testimony, under Fed.
R. Civ. P. 26(a)(2)(B);
Deliver the report before the expert is deposed, under
Fed. R. Civ. P. 26(b)(4); and
Prepare and serve a disclosure of the expert's testimony
if the expert was not retained or specially employed to testify (and so
not required to write and sign a report), under Fed. R. Civ. P.
26(a)(2)(C).
By signing and serving a required disclosure (or any discovery
response), the lawyer attests that it is complete and correct;
consistent with the rules; not interposed for an improper purpose; and
not unreasonable nor unduly burdensome or expensive, given the needs
and prior discovery in the case, the amount in controversy, and the
importance of the issues at stake. Fed. R. Civ. P. 26(g).
A required disclosure that turns out to have been incomplete or
incorrect in some material respect must be supplemented ``in a timely
manner.'' Fed. R. Civ. P. 26(e). The duty to supplement extends to a
required report or disclosure about expert witness testimony and to a
discovery response. Id.
D. Case Management Through Pretrial Conferences and Orders
The amendments to Fed. R. Civ. P. 16 made in 1993 enhanced a
judge's authority to manage litigation with the goal of achieving the
just, speedy, and inexpensive determination of a matter through the use
of scheduling orders under Fed. R. Civ. P. 16(b) and pretrial
conferences under Fed. R. Civ. P. 16(c). Those revisions to Fed. R.
Civ. P. 16 expanded the judge's authority to ``take appropriate
action'' in a civil case. Charles R. Ritchey, Rule 16 Revised, and
Related Rules: Analysis of Recent Developments for the Benefit of the
Bench and Bar, 157 F.R.D. 69, 75 (1994).
A pretrial conference offers the opportunity to appropriately
control the extent and timing of discovery. At a conference the parties
and judge may consider ways to avoid unnecessary proof and cumulative
evidence at trial (including expert testimony) under what is now Fed.
R. Civ. P. 16(c)(2)(D). Determining whether a motion for summary
adjudication is even appropriate, and setting the time to file it, may
be discussed under Fed. R. Civ. P. 16(b)(3)(A), (c)(2)(E). See
generally D. Brock Hornby, Summary Judgment Without Illusions, 13 Green
Bag 2d 273, 284-85 (2010) (explaining the complexity of the summary
judgment process). Controlling discovery and setting deadlines for
initial, expert, and pretrial disclosures under Fed. R. Civ. P. 26; for
stipulations under Fed. R. Civ. P. 29; and dealing with failures to
make disclosures or to cooperate in discovery under Fed. R. Civ. P. 37,
all may be considered at a pretrial conference under Fed. R. Civ. P.
16(c)(2)(F). A pretrial order that limits the length of trial under
Fed. R. Civ. P. 16(c)(2)(O) offers the parties a better opportunity to
determine their priorities and be selective in presenting their
evidence than if limits are imposed only at the time of trial. Limits
on trial time must be reasonable in the circumstances and ordinarily
imposed only after the parties are given the opportunity to outline the
nature of the testimony they expect to offer through various witnesses
and the time they expect to need for direct and cross-examination. See
Advisory Committee Note to the 1993 Amendments to Fed. R. Civ. P.
16(c)(15). Exploring settlement and the use of alternative dispute
resolution procedures can be considered under Fed. R. Civ. P.
16(c)(2)(I). Separate trials may be set for potentially dispositive
issues under Fed. R. Civ. P. 16(c)(2)(M).
E. Presumptive Limitations on Discovery
Discovery practice in federal court litigation has been altered
since 1983 in a number of ways. The amendments were not meant to block
needed discovery, but to provide judicial supervision to curtail
excessive discovery. Advisory Committee Note to the 1993 Amendments to
Fed. R. Civ. P. 33(a). The FRCP now presumptively limit the number of
interrogatories a party may serve, including ``all discrete subparts;''
the number of depositions taken by oral examination or on written
questions; taking the deposition of a
[[Page 72146]]
witness more than once; and restricting the deposition of a witness to
one day of no more than seven hours. Fed. R. Civ. P. 33(a); Fed. R.
Civ. P. 30(a)(2)(A)(i), (ii), (d)(1); and Fed. R. Civ. P.
31(a)(2)(A)(i).
These presumptive limitations are adjusted as a case requires,
often through the scheduling order the judge enters on the discovery
plan the parties propose after their initial conference. Fed. R. Civ.
P. 26(b)(2)(A), (f)(3)(E); see also, Advisory Committee Notes to the
2000 Amendments to Fed. R. Civ. P. 26(b)(2).
Parties also must seek to resolve discovery disputes informally
before filing a motion. Fed. R. Civ. P. 26(c)(1); see also, Advisory
Committee Notes to the 1993 Amendments to Fed. R. Civ. P. 26(a)
(concerning what was then the new subparagraph (B)).
F. Discovery of Electronically Stored Information
E-discovery provisions that recognize how pervasive digital
information has become were incorporated into the FRCP in 2006. Richard
L. Marcus, E-Discovery & Beyond: Toward Brave New World or 1984?, 236
F.R.D. 598, 604-605 (2006). The amendments recognize the integral role
digital data such as email, instant messaging, and web-based
information play in contemporary life and in discovery; they introduced
into the FRCP the concept of ``electronically stored information.'' As
with changes to the presumptive limits on various discovery methods,
the discovery plan the parties develop is expected to address any
issues about disclosure or discovery of electronically stored
information, including the form in which it should be produced. Fed. R.
Civ. P. 26(f)(3)(C); Fed. R. Civ. P. 34(b)(2)(D), (E); see also
Advisory Committee Notes to the 2006 Amendments to Fed. R. Civ. P.
26(f); Advisory Committee Notes to the 2006 Amendments to Fed. R. Civ.
P. 34(b); Hopson v. Mayor & City Council of Balt., 232 F.R.D. 228, 245
(D. Md. 2006).
Digital information is so omnipresent that federal courts now
deride as ``frankly ludicrous'' arguments that a trial lawyer who
claims to be ``computer illiterate'' should be excused from fulfilling
the rules' e-discovery obligations. Martin v. Nw. Mut. Life Ins. Co.,
No. 804CV2328T23MAP, 2006 WL 148991, at *2 (M.D. Fla. Jan. 19, 2006)
(unpublished). Today a lawyer bears an affirmative duty not just to ask
a client to locate and gather paper and electronic documents, but to
search out sources of electronic information. Phoenix Four, Inc. v.
Strategic Res. Corp., No. 05 Civ. 4837(HB), 2006 WL 2135798, at *5
(S.D.N.Y. Aug. 1, 2006) (unpublished); In re A & M Fla. Prop. II, LLC,
No. 09-15173, 2010 WL 1418861, at *6 (Bankr. S.D.N.Y. Apr. 7, 2010)
(unpublished). Those efforts must, however, be proportional to what is
at stake in the litigation. Fed. R. Civ. P. 26(b)(2)(C)(iii); see also,
The Sedona Principles: Second Edition, Best Practices Recommendations &
Principles for Addressing Electronic Document Production, Principle 2,
cmt. 2.b., at 17 (2007) (``Electronic discovery burdens should be
proportional to the amount in controversy and the nature of the case.
Otherwise, transaction costs due to electronic discovery will overwhelm
the ability to resolve disputes fairly in litigation.''); cf., Pension
Comm. of the Univ. of Montreal Pension Plan v. Banc of Am. Sec., LLC,
685 F.Supp.2d 456, 464-65 (S.D.N.Y. 2010) (describing significant
discovery burdens that were reasonable in a $550 million claim arising
from the liquidation of hedge funds; but those burdens may be
inappropriate in litigation where much less is at stake).
In addition, the parties should discuss and agree at the initial
conference on how to handle inadvertent disclosure of digital
information that otherwise would enjoy attorney-client privilege or
work product protection. Fed. R. Civ. P. 26(f)(3)(D). Their agreement
plays a pivotal role under recently enacted Fed. R. Evid. 502(b), (d),
and (e). They avoid a waiver of privilege or work product protection
when their agreement is incorporated into a scheduling order or another
order. See Advisory Committee Notes to the 2006 amendments to Fed. R.
Civ. P. 26(f).
The current FRCP not only guide the resolution of discovery
disputes, but also set standards for allocating the potentially high
cost of discovery among the parties when the sources of digital data
are not readily accessible. Advisory Committee Notes to 2006 Amendments
to Fed. R. Civ. P. 26(b)(2) (``The conditions [the judge imposes] may
also include payment by the requesting party of part or all of the
reasonable costs of obtaining information from sources that are not
reasonably accessible.'')
G. Summary Decision
A motion for summary adjudication carries the potential to dispose
of an entire claim or portions of it with finality but without a trial,
so it plays a key role in litigation. The procedure ought to be the
same at the OALJ as in U.S. district courts; any divergence creates an
incentive for a party to prefer the forum with the summary decision
r[eacute]gime most favorable to its position. This matters because
under many statutes whistleblower litigation begins at OALJ, but the
complainant may proceed in U.S. district court if a final order has not
been entered within a relatively short time after the claim is first
brought to the attention of the Department. See, e.g., 18 U.S.C.
1514A(b)(1)(B) (2010) (Sarbanes-Oxley Act); 42 U.S.C. 5841(b)(4) (2010)
(Energy Reorganization Act); 46 U.S.C. 2114(b) (2010) (Seaman's
Protection Act); 49 U.S.C. 31105(c) (2010) (Surface Transportation
Assistance Act).
Federal Rule of Civil Procedure 56 was recently revised effective
December 1, 2010. It now instructs the judge to state a reason for
granting or denying the motion, usually by identifying the central
issues, which can help the parties focus any further proceedings.
Advisory Committee Notes to 2010 Amendments to Fed. R. Civ. P. 56(a).
The judge is not obliged to search the record independently to
determine whether there is a factual dispute for trial, but nonetheless
may consider record materials the parties never called to the judge's
attention. Advisory Committee Notes to 2010 Amendments to Fed. R. Civ.
P. 56(c)(3). A formal affidavit is not required to support the motion;
an unsworn declaration signed under penalty of perjury suffices,
recognizing the status 28 U.S.C. 1746 gives to those statements. Fed.
R. Civ. P. 56(c)(4). Even if the motion is not granted, or granted only
in part, the judge may find that certain facts are undisputed and treat
them as established. Fed. R. Civ. P. 56(g). Invoking this authority
demands care, however. To limit litigation expenses, a nonmovant who
feels confident a genuine dispute as to one or a few facts will defeat
the motion may choose not to file a detailed response to all facts the
movant stated. That choice should not expose the party to the risk that
the additional facts will be treated as established under subdivision
(g). Advisory Committee Notes to 2010 Amendments to Fed. R. Civ. P.
56(h).
The judge may sanction a party who submits an affidavit or
declaration with its motion papers in bad faith or solely for delay.
Fed. R. Civ. P. 56(h).
H. Additional Matters
Other portions of the FRCP have also undergone significant changes,
including rules on the subjects of:
Sanctions under Fed. R. Civ. P. 11 in 1993, see Edward D.
Cavanagh, Rule 11 of The Federal Rules of Civil Procedure: The Case
Against Turning Back the Clock, 162 F.R.D. 383, 396 (1995); and
Subpoenas under Fed. R. Civ. P. 45 in 1991, see David D.
Siegel, Federal
[[Page 72147]]
Subpoena Practice Under the New Rule 45 of The Federal Rules of Civil
Procedure, 139 F.R.D. 197, 197 (1992).
The proposed revisions to Part 18, Subpart A reflect the general
tenor of these amendments.
III. Evolution in Types of Cases
Congress has vested the Department (and therefore OALJ) with the
responsibility to conduct formal hearings pursuant to more than 60
laws, including at least 19 that protect employees from retaliation for
whistleblowing.
The bulk of hearings conducted by OALJ involve longshore workers'
compensation and black lung benefits claims. This was true when OALJ's
rules of practice were published in 1983 and is still true today.\3\
These cases have benefited from having established rules of practice
and procedure modeled on the FRCP. The evolution in the types of cases
heard by OALJ, however, has resulted in a significant increase in
hearings that are the functional equivalent of a civil trial in federal
or state court, absent only the jury. In particular, whistleblower
cases now account for a significant portion of OALJ's workload,
disproportionate to their percentage of the overall docket. As noted
above, many of the statutes creating the responsibility for
whistleblower adjudication by the Department of Labor were promulgated
after the Part 18, Subpart A rules were published in 1983. Nine
whistleblower laws with the potential for ALJ hearings within the
Department of Labor were enacted after the year 2000. Hearings arising
under these statutes often involve complex fact patterns and novel
legal issues. Overall, whistleblower litigation typically requires more
extensive discovery, case management, motion work, summary decision
practice, and time in trial than many of the other types of cases heard
by OALJ.
---------------------------------------------------------------------------
\3\ OALJ also conducts administrative review in a large number
of immigration-related appeals involving both permanent and
temporary labor certification applications. Many of these reviews do
not require an evidentiary hearing because the review is on the
existing record.
---------------------------------------------------------------------------
Moreover, intensive litigation is typical in cases arising under
the Defense Base Act. Although the Defense Base Act has been in
existence since World War II, increasing use of contract services by
the military and other parts of the federal government has resulted in
significantly more hearings conducted by OALJ under that law in recent
years. These cases tend not to settle, and therefore require more case
management by judges as compared with other workers' compensation cases
adjudicated by OALJ. OALJ also now conducts hearings involving labor
condition applications of employers who employ H-1B nonimmigrant
workers. OALJ's experience is that many of these cases do not settle;
they also involve extensive procedural motions and multi-day hearings.
Thus, the change in the case mix before OALJ has heightened the
need for procedural rules that are clearly written, permit improved and
more consistent case management by judges, and are familiar to the
national legal community under current federal court practice.
IV. Flexibility/Uniformity
Notwithstanding the variety of statutes and regulations that
generate disputes at OALJ, the provisions of the Administrative
Procedure Act at 5 U.S.C. 556 offer broad guidance to administrative
law judges about how to conduct proceedings. Flexibility in applying
procedural rules is desirable, so that judges manage litigation
according to the needs of an individual case. The Department's
opportunity to review the decision of its administrative law judges
under 5 U.S.C. 557(b) safeguards a party from an abuse of that
discretion.
Some cases by their nature need special management. For example,
applying a general rule that sets the time to respond to formal
discovery demands may be inappropriate in a case that demands expedited
handling. A striking illustration of an expedited proceeding is one to
review a denial of an employer's application to the Office of Foreign
Labor Certification under 20 CFR 655.103 to certify the use of non-
immigrant workers in temporary agricultural employment under the H-2A
visa program of the Immigration & Nationality Act, 8 U.S.C.
1101(a)(15)(H)(ii)(a), 1188(e). In such cases, the employer only has
five business days to seek review of an application's denial under 20
CFR 655.141(b)(4) and 655.142(c). Where the employer requests
administrative review, the judge has only five business days after
receipt of the administrative file from the Office of Foreign Labor
Certification to render a decision. 20 CFR 655.171(a) (2011). Where the
employer requests de novo review, the Part 18, Subpart A rules apply,
but the hearing must be convened within five business days after the
administrative law judge receives the administrative file, and the
decision must follow within ten calendar days. 20 CFR 655.171(b).
Additionally, for some types of cases--for example, those adjudicated
under the Longshore and Harbor Workers' Compensation Act, 33 U.S.C. 901
et seq., and its extensions such as the Defense Base Act, 42 U.S.C.
1651, et seq., and the Black Lung Benefits Act, 30 U.S.C. 901 et seq.--
the Department's substantive regulations also include procedural
provisions. See 20 CFR parts 702 (Longshore) and 725 (Black Lung).
The proposed rules have been drafted to authorize a judge to tailor
procedures to the case, through a prehearing order. A judge may take a
broad range of actions under proposed Sec. 18.50(b)(2) and (3).
Parties may be ordered to confer about settlement early in the case,
required to make prehearing disclosures without any formal discovery
demand from the other party, and directed to draft a discovery plan.
Yet the judge also may relieve the parties from the obligation to make
initial disclosures, and alter the general limitations on the number of
interrogatories and the number and length of depositions. This
flexibility permits a judge to address, in an individualized way, the
needs of any specific case. The judge also may address any regional
differences in litigation practices that may require direction or
clarification.
V. Clarity/Re-Organization
The FRCP underwent a complete revision that culminated in 2007 to
improve their style and clarity. Restyled Federal Rules of Appellate
Procedure took effect in 1998, as the restyled Federal Rules of
Criminal Procedure did in 2002. Sources that guided drafting, usage,
and style for all three revisions included the Guidelines for Drafting
and Editing Court Rules, which the Standing Committee on Federal Rules
of Practice and Procedure of the Judicial Conference of the United
States published at 169 F.R.D. 171 (1997), and Bryan A. Garner's A
Dictionary of Modern Legal Usage (2d ed. 1995). The purpose of the
style revisions was twofold: to make the rules easier to understand,
and to make style and terminology consistent throughout the rules. See
Advisory Committee's Notes to the 2007 Amendments to Fed. R. Civ. P. 1.
The restyled federal civil rules reduced the use of inconsistent,
ambiguous, redundant, repetitive, or archaic words. For example, the
restyled rules replaced ``shall'' with ``must,'' ``may,'' or
``should,'' as appropriate, based on which one the context and the
established interpretation made correct. Id. The sole exception was the
highly controversial restoration of the ``shall'' in Fed. R. Civ. P.
56(a) on summary judgment when it was amended in 2010. Advisory
Committee's Notes to the 2010 Amendments to Fed. R. Civ. P. 56(a).
The drafting guidelines the authors of the 2007 style amendments
used to
[[Page 72148]]
enhance the clarity and readability of the FRCP also were used as the
Department revised Part 18, Subpart A. Proposed revisions typically are
based on the text of the restyled federal civil rule for the
corresponding subject, unless there was a reason to deviate from the
federal rule's language. As one example, the word ``court'' is replaced
throughout with the word ``judge,'' because administrative
adjudications do not take place in a court. Where substantive
deviations from the FRCP were made, the reason for the deviation is
noted in the portion of the Notice of Proposed Rulemaking pertaining to
the specific proposed rule. Where there is no corresponding federal
civil rule, the Department used the FRCP drafting guidelines to revise
the existing Part 18, Subpart A rules, to improve their clarity and
internal consistency. The ordering of some rules was altered to improve
the overall clarity of the Part 18, Subpart A regulations. A conversion
table that shows the current Part 18, Subpart A rules and their
corresponding proposed rule appears at the end of this Preface. In
drafting the text of the proposed rules, the Department also took into
account two Executive Orders:
Executive Order 12866 (1993), which requires that
regulations be ``simple and easy to understand, with the goal of
minimizing uncertainty and litigation * * * '' 58 FR 51735, sec.
1(b)(12), Sept. 30, 1993 (amended 2002 & 2007); and
Executive Order 12988 (1996), which requires that
regulations be written in ``clear language.'' 61 FR 4729, sec. 3(b)(2)
(Feb. 5, 1996).
The Plain Writing Act of 2010, 5 U.S.C. 301, Public Law 111-274,
124 Stat. 2861 (2010), while not directly applicable to regulations,
recognizes the value of plain writing in government documents by
requiring clear, concise, and well-organized publications. The Office
of Management and Budget has published a ``Best Practices Guide for
Regulations'' available on the internet.\4\ These proposed rules follow
the guidance these sources offer.
---------------------------------------------------------------------------
\4\ This guide is available at https://www.regulations.gov/exchange/sites/default/files/doc_files/20101130_eRule_Best_Practices_Document_rev.pdf.
---------------------------------------------------------------------------
Section 6(a) of Executive Order 13,563 (dated January 18, 2011),
states: ``To facilitate the periodic review of existing significant
regulations, agencies shall consider how best to promote retrospective
analysis of rules that may be outmoded, ineffective, insufficient, or
excessively burdensome, and to modify, streamline, expand, or repeal
them in accordance with what has been learned.'' 76 FR at 3821. The
Executive Order also requires each agency to prepare a plan for
reviewing its regulations. Although the revision of Part 18, Subpart A
began well before this recent Executive Order, the proposed revisions
meet the Order's requirements, by replacing outmoded rules with a more-
readily understandable version.
VI. Regulatory Review
A. Executive Order 12866 (Regulatory Planning and Review)
This proposed rule has been drafted and reviewed in accordance with
Executive Order 12866. The Department of Labor, in coordination with
the Office of Management and Budget (OMB), has determined that this
proposed rule is not a ``significant regulatory action'' under
Executive Order 12866, section 3(f) because rule because the rule will
not have an annual effect on the economy of $100 million or more; nor
create a serious inconsistency or otherwise interfere with an action
taken or planned by another agency; nor materially alter the budgetary
impact of entitlements, grants, user fees, or loan programs or the
rights and obligations of recipients thereof. Furthermore, the rule
does not raise a novel legal or policy issue arising out of legal
mandates, the President's priorities or the principles set forth in
this Executive Order. Accordingly, the proposed rule has not been
reviewed by OMB.
B. Regulatory Flexibility Act/Small Business Regulatory Enforcement
Fairness Act
The Department concludes that the Regulatory Flexibility Act, 5
U.S.C. 601 et. seq. does not apply since the changes proposed here
consist of amendments to rules of agency organization, procedure and
practice, and consequently are exempt from the notice and public
comment requirements of the Administrative Procedure Act, see 5 U.S.C.
553(b)(3)(A).
C. Executive Order 12291 (Federal Regulation)
The Department has reviewed this rule in accordance with Executive
Order 12291 and determined it is not a ``major rule'' under Executive
Order 12291 because it is not likely to result in (1) An annual effect
on the economy of $100 million or more; (2) a major increase in costs
or prices for consumers, individual industries, Federal, State, or
local government agencies, or geographic regions; or (3) significant
adverse effects on competition, employment, investment, productivity,
innovation, or on the ability of United States-based enterprises to
compete with foreign-based enterprises in domestic or export markets.
Accordingly, no regulatory impact analysis is required.
D. Unfunded Mandates Reform Act of 1995 and the Executive Order 13132
(Federalism)
The Department has reviewed this proposed rule in accordance with
the requirements of the Unfunded Mandates Reform Act of 1995, 2 U.S.C.
1531 et seq., and Executive Order 13132. The Department concludes that
the requirements of these provisions do not apply to the proposed rule,
because the proposed rule does not place any mandate on State, local,
or tribal governments.
E. Paperwork Reduction Act
The Department certifies that this proposed rule has been assessed
in accordance with the requirements of the Paperwork Reduction Act, 44
U.S.C. 3501 et seq. (1995)(PRA). The Department concludes that the
requirements of the PRA do not apply to this rulemaking because this
regulation does not contain any information collection requirements
that require the approval of the Office of Management and Budget.
F. The National Environmental Policy Act of 1969 (Environmental Impact
Assessment)
The Department has reviewed the proposed rule in accordance with
the requirements of the National Environmental Policy Act (NEPA) of
1969, as amended (42 U.S.C. 4321 et seq.) and the Department of Labor's
NEPA procedures (29 CFR part 11). The Department concludes that the
requirements of the NEPA do not apply to this rulemaking as there are
no requirements or provisions contained in this proposed rule that
involve assuring the maintenance of a healthful environment and there
are no provisions impacting the responsibilities to preserve and
enhance that environment contained herein and, thus, has not conducted
an environmental assessment or an environmental impact statement.
G. The Privacy Act of 1974, 5 U.S.C. 552a, as Amended
The Department has reviewed this proposed rule in accordance with
the Privacy Act of 1974, as amended (5 U.S.C. 552a). This rulemaking
would not require any new process, filing or collection of any new
information in the proceedings before the Office of
[[Page 72149]]
Administrative Law Judges and therefore, the Department has determined
this proposed rule would not result in a new or revised Privacy Act
System of Records.
H. Federal Regulations and Policies on Families
The Department has reviewed this proposed rule in accordance with
the requirements of the Federal Regulations and Policies on Families,
Section 654 of the Treasury and General Government Appropriations Act
of 1999. These proposed regulations were not found to have a potential
negative effect on family well-being as it is defined there under.
I. Executive Order 13045 (Protection of Children From Environmental
Health Risks and Safety Risks)
The Department certifies that this proposed rule has been assessed
regarding environmental health risks and safety risks that may
disproportionately affect children. These proposed regulations were not
found to have a potential negative effect on the health or safety of
children.
J. Executive Order 12630 (Governmental Actions and Interference With
Constitutionally Protected Property Rights)
The Department has reviewed this proposed rule in accordance with
E.O. 12630 and has determined that it does not contain any ``policies
that have takings implications'' in regard to the ``licensing,
permitting, or other condition requirements or limitations on private
property use, or that require dedications or exactions from owners of
private property.''
K. Executive Order 13175 (Consultation and Coordination with Indian
Tribal Governments)
The Department has reviewed this proposed rule in accordance with
E.O. 13175 and has determined that it does not have ``tribal
implications.'' The proposed rule does not ``have substantial direct
effects on one or more Indian tribes, on the relationship between the
Federal government and Indian tribes, or on the distribution of power
and responsibilities between the Federal government and Indian
tribes.''
L. Executive Order 12988 (Civil Justice Reform)
This regulation has been drafted and reviewed in accordance with
Executive Order 12988, Civil Justice Reform, and will not unduly burden
the Federal court system. The regulation has been written so as to
minimize litigation and provide a clear legal standard for affected
conduct, and has been reviewed carefully to eliminate drafting errors
and ambiguities.
M. Executive Order 13211 (Actions Concerning Regulations that
Significantly Affect Energy Supply, Distribution, or Use)
The Department has reviewed this proposed regulation in accordance
with Executive Order 13211 and determined that the proposed rule is not
subject to Executive Order 13211 because it is not a significant
regulatory action under Executive Order 12866, will not have a
significant adverse effect on the supply, distribution, or use of
energy, and has not been designated by the Administrator of the Office
of Information and Regulatory Affairs as a significant energy action.
VII. Public Participation
A. APA Requirements for Notice and Comment
The changes proposed here consist of amendments to rules of agency
organization, procedure and practice, and consequently are exempt from
the notice and public comment requirements of the Administrative
Procedure Act, see 5 U.S.C. 553(b)(3)(A). However, the Department
wishes to provide the public with an opportunity to submit comments on
any aspect of the entire proposed rule.
B. Publication of Comments
Please be advised that the Department will post all comments
without making any change to the comments, including any personal
information provided. The www.regulations.gov Web site is the Federal
e-rulemaking portal and all comments received electronically or by
mail, hand delivery, express mail, messenger or courier service are
available and accessible to the public on this Web site. Therefore, the
Department recommends that commenters safeguard their personal
information by not including social security numbers, personal
addresses, telephone numbers, and email addresses in comments. It is
the responsibility of the commenter to safeguard his or her
information.
C. Access to Docket
In addition to all comments received by the Department being
accessible on www.regulations.gov, the Department will make all the
comments available for public inspection during normal business hours
at the above address. If you need assistance to review the comments,
the Department will provide you with appropriate aids such as readers
or print magnifiers. The Department will make copies of the proposed
rule available, upon request, in large print or electronic file on
computer disc. The Department will consider providing the proposed rule
in other formats upon request. To schedule an appointment to review the
comments and/or obtain the proposed rule in an alternate format,
contact Todd Smyth at the U.S. Department of Labor, Office of
Administrative Law Judges, 800 K Street NW., Suite 400-North,
Washington, DC 20001-8002; telephone (202) 693-7300.
Part 18, Subpart A--Cross Referencing Chart
----------------------------------------------------------------------------------------------------------------
New section New section title Old section Old section title Federal rule of civil procedure
----------------------------------------------------------------------------------------------------------------
GENERAL PROVISIONS
----------------------------------------------------------------------------------------------------------------
18.10........... Scope and purpose. 18.1/18.26 Scope of rules and Fed. R. Civ. P. 1
conduct of
hearings.
18.11........... Definitions....... 18.2 Definitions....... ...................................
18.12........... Proceedings before 18.25/18.29(a) Proceedings before ...................................
administrative administrative
law judge. law judge/
authority of the
administrative
law judge.
18.13........... Settlement judge 18.9 Consent order or ...................................
procedure. settlement;
settlement judge
procedure.
18.14........... Ex parte 18.38 Ex parte ...................................
communication. communications.
18.15........... Substitution of 18.30 Unavailability of Fed. R. Civ. P. 63
administrative administrative
law judge. law judge.
18.16........... Disqualification.. 18.31 Disqualification.. ...................................
[[Page 72150]]
18.17........... Legal assistance.. 18.35 Legal assistance.. ...................................
----------------------------------------------------------------------------------------------------------------
PARTIES AND REPRESENTATIVES
----------------------------------------------------------------------------------------------------------------
18.20........... Parties to a 18.10 Parties, how ...................................
proceeding. designated.
18.21........... Party appearance 18.39/18.34(a) 18.39, Waiver of ...................................
and participation. right to appear
and failure to
participate or to
appear--text was
incorporated into
proposed
``participation''
rule.
18.22........... Representatives... 18.34 Representatives... ...................................
18.23........... Disqualification ................. .................. ...................................
and discipline of
representatives.
18.24........... Briefs from amicus 18.12 Amicus curiae..... ...................................
curiae.
----------------------------------------------------------------------------------------------------------------
SERVICE, FORMAT AND TIMING OF FILINGS AND OTHER PAPERS
----------------------------------------------------------------------------------------------------------------
18.30........... Service and filing 18.3 Service and filing Fed. R. Civ. P. 5
18.31........... Privacy protection ................. .................. Fed. R. Civ. P. 5.2
for filings and
exhibits.
18.32........... Computing and 18.4 Time computations. Fed. R. Civ. P. 6
extending time.
18.33........... Motions and other 18.6 Motions and Fed. R. Civ. P. 7(b) & 43(c)
papers. requests.
18.34........... Format of papers ................. .................. ...................................
filed.
18.35........... Signing motions ................. .................. Fed. R. Civ. P. 11
and other papers;
representations
to the judge;
sanctions.
18.36........... Amendments after 18.5 Responsive ...................................
referral to the pleadings--answer
Office of and request for
Administrative hearings.
Law Judges.
----------------------------------------------------------------------------------------------------------------
PREHEARING PROCEDURE
----------------------------------------------------------------------------------------------------------------
18.40........... Notice of hearing. 18.27 Notice of hearing. ...................................
18.41........... Continuances and 18.28 Continuances...... ...................................
changes in place
of hearing.
18.42........... Expedited 18.42 Expedited ...................................
proceedings. proceedings.
18.43........... Consolidation; 18.11 Consolidation of Fed. R. Civ. P. 42
separate hearings. hearings.
18.44........... Prehearing 18.8 Prehearing Fed. R. Civ. P. 16
conference. conferences.
----------------------------------------------------------------------------------------------------------------
DISCLOSURE AND DISCOVERY
----------------------------------------------------------------------------------------------------------------
18.50........... General provisions ................. .................. Fed. R. Civ. P. 26(a), (d), (f),
governing (g)
disclosure and
discovery.
18.51........... Discovery scope 18.14 Scope of discovery Fed. R. Civ. P. 26(b)
and limits.
18.52........... Protective orders. 18.15 Protective orders. Fed. R. Civ. P. 26(c)
18.53........... Supplementing 18.16 Supplementation of Fed. R. Civ. P. 26(e)
disclosures and responses.
responses.
18.54........... Stipulations about 18.17 Stipulations Fed. R. Civ. P. 29
discovery and regarding
procedure. discovery.
18.55........... Using depositions 18.23 Use of depositions Fed. R. Civ. P. 32
at hearings. at hearings.
18.56........... Subpoena.......... 18.24 Subpoenas......... Fed. R. Civ. P. 45
18.57........... Failure to make 18.21 Motion to compel Fed. R. Civ. P. 37
disclosures or to discovery.
cooperate in
discovery;
sanctions.
----------------------------------------------------------------------------------------------------------------
TYPES OF DISCOVERY
----------------------------------------------------------------------------------------------------------------
18.60........... Interrogatories to 18.18 Written Fed. R. Civ. P. 33
parties. interrogatories
to parties/.
18.61........... Producing 18.19 Production of Fed. R. Civ. P. 34
documents, documents and
electronically other evidence;
stored entry upon land
information, and for inspection
tangible things, and other
or entering onto purposes; and
land, for physical and
inspection and mental
other purposes.. examination.
18.62........... Physical and 18.19 Production of Fed. R. Civ. P. 35
mental documents and
examinations. other evidence;
entry upon land
for inspection
and other
purposes; and
physical and
mental
examination.
18.63........... Requests for 18.20 Admissions........ Fed. R. Civ. P. 36
admission.
18.64........... Depositions by 18.22 Depositions by Fed. R. Civ. P. 30
oral examination. oral examinations.
18.65........... Depositions by ................. .................. Fed. R. Civ. P. 31
written questions.
----------------------------------------------------------------------------------------------------------------
DISPOSITION WITHOUT HEARING
----------------------------------------------------------------------------------------------------------------
18.70........... Motions for ................. .................. ...................................
dispositive
action.
18.71........... Approval of 18.9 .................. ...................................
settlement and
consent findings.
[[Page 72151]]
18.72........... Summary decision.. 18.40/18.41 18.40, Motion for Fed. R. Civ. P. 56
summary decision
merged with
18.41, Summary
decision.
----------------------------------------------------------------------------------------------------------------
HEARING
----------------------------------------------------------------------------------------------------------------
18.80........... Prehearing 18.7 Prehearing ...................................
statement. statements.
18.81........... Formal hearing.... 18.43 Formal hearings... Fed. R. Civ. P. 43(a)
18.82........... Exhibits.......... 18.47/18.48 18.49/ Exhibits/records ...................................
18.50 in other
proceedings/
designation of
parts of
documents/
authenticity.
18.83........... Stipulations...... 18.51 Stipulations...... ...................................
18.84........... Official notice... 18.45 Official notice... ...................................
18.85........... Privileged, 18.46/18.56 In camera and ...................................
sensitive, or protective orders/
classified restricted access.
materials.
18.86........... Hearing room 18.37 Hearing room ...................................
conduct. conduct.
18.87........... Standards of 18.36 Standards of ...................................
conduct. conduct.
18.88........... Transcript of 18.52 Record of hearings ...................................
proceedings.
----------------------------------------------------------------------------------------------------------------
POST HEARING
----------------------------------------------------------------------------------------------------------------
18.90........... Closing the 18.54/18.55 Closing the record/ ...................................
record; receipt of
additional documents after
evidence. hearing.
18.91........... Post-hearing brief 18.57 Decision of the ...................................
administrative
law judge and
post-hearing
briefs.
18.92........... Decision and order 18.57 Decision of the ...................................
administrative
law judge and
post-hearing
briefs.
18.93........... Motion for ................. .................. Fed. R. Civ. P. 59(e)
reconsideration.
18.94........... Indicative ruling ................. .................. Fed. R. Civ. P. 62.1
on a motion for
relief that is
barred by a
pending petition
for review.
18.95........... Review of Decision 18.58 Appeals........... ...................................
----------------------------------------------------------------------------------------------------------------
DELETED SECTIONS
----------------------------------------------------------------------------------------------------------------
Deleted........... 18.13 Discovery methods. ...................................
Deleted........... 18.32 Separation of ...................................
functions.
Deleted........... 18.33 Expedition........ ...................................
Deleted........... 18.53 Closing of ...................................
hearings.
Deleted........... 18.59 Certification of ...................................
official record.
----------------------------------------------------------------------------------------------------------------
General Provisions
Sec. 18.10 Scope and purpose.
The Department proposes to remove the current Sec. 18.1 and add
Sec. 18.10. The proposed Sec. 18.10 is modeled after Fed. R. Civ. P.
1.
As in the current rule, the proposed rule states that in the event
the procedures in Part 18, Subpart A are inconsistent with a governing
statute, regulation, or executive order, the latter controls. The
Department recognizes that specific procedural regulations have already
been promulgated for some statutes under which administrative law
judges adjudicate cases, and that these regulations may prescribe
procedures inconsistent with these proposed rules. The Department has
found that the phrase ``rule of special application'' has not clearly
conveyed the intent of this sentence. Thus, proposed Sec. 18.10
rephrases this sentence as follows: ``To the extent that these rules
may be inconsistent with a governing statute, regulation, or executive
order, the latter controls. If a specific Department of Labor
regulation governs a proceeding, the provisions of that regulation
apply, and these rules apply to situations not addressed in the
governing regulation.''
Subdivision (a) recognizes that some of the Department's
regulations involving proceedings before OALJ include extremely
detailed procedures and requirements. These rules do not address
requirements that are specific to certain types of cases. For example,
the regulations for Black Lung compensation benefits proceedings, at 20
CFR parts 718 and 725, include specific evidentiary limitations (see 20
CFR 725.414). Similarly, the regulations in both Black Lung and
Longshore compensation cases require that hearings be held within 75
miles of the claimants residence if possible. See 20 CFR 725.454(a),
702.337(a).
Additionally, the Department recognizes that the provisions of a
specific regulation may be inconsistent with these rules. In such
event, the specific regulation--and not these rules--applies. For
example, in a case arising under the Black Lung Benefits Act, there is
inconsistency between the regulation at proposed Sec. 18.93, Motion
for reconsideration, which provides parties 10 days after service of
the judge's decision and order to file a motion for reconsideration,
and the black lung regulation at 20 CFR 725.479(b), which provides 30
days after the filing of the judge's decision and order to file a
motion for reconsideration. Because the regulations at 20 CFR part 725
govern proceedings arising under the Black Lung Benefits Act, the
regulation at sec. 725.479(b) would control.
The Department proposes to relocate the language from current Sec.
18.26 to proposed Sec. 18.10 because it is more properly located with
the other general guiding principles. The Department proposes to
clarify the meaning of
[[Page 72152]]
current Sec. 18.26 under subdivision (b). First, current Sec. 18.26
only references sec. 554 of the APA. However, Subchapter II of Chapter
5 of the APA determines how the entire proceeding, including the
hearing, will be conducted. Accordingly, the proposed rule revises and
expands the reference to include all of Subchapter II, instead of only
referencing sec. 554. Second, Subchapter II instructs how the entire
proceeding should be conducted; accordingly, the reference to hearings
in the current rule was changed to proceedings in order to encompass
the entire process of adjudicating a case before OALJ.
The current Sec. 18.1(b)--renumbered as Sec. 18.10(c)--is revised
to improve the clarity of the rule. The Department does not propose
changes to the judge's ability to waive, modify, or suspend the rules
by these revisions.
Sec. 18.11 Definitions.
The Department proposes to revise the current Sec. 18.2 and
renumber it as Sec. 18.11. The definitions in Sec. 18.2 supplement
the definitions stated in sec. 551 of the Administrative Procedure Act.
The Department proposes to amend the opening sentence of this section
by referencing the definitions provided in sec. 551 of the
Administrative Procedure Act. The definitions in sec. 551 apply to OALJ
proceedings.
The Department proposes to delete the following terms from the
current Sec. 18.2: (a), Adjudicatory proceeding; (c), Administrative
Procedure Act; (d), Complaint; (g), Party; (h), Person; (i), Pleading;
(j), Respondent; (k), Secretary; (l), Complainant; (m), Petition; (n),
Consent Agreement; (o), Commencement of Proceeding. Except for the
``Administrative Procedure Act,'' those terms are no longer used in the
proposed revisions to the rules or sec. 551 of the APA defines the
term. When a proposed section references the Administrative Procedure
Act, the name of the Act and the appropriate section number is stated.
The Department proposes to define the following terms that are not
defined by the APA: (a), Calendar call; (b), Chief Judge; (c), Docket
clerk; and (h), Representative. The terms ``calendar call,'' ``docket
clerk'' and ``representative'' are used with more frequency in the
proposed revision of the rules. The Department proposes to define
``Chief Judge'' to clarify that the term also includes a judge to whom
the Chief Judge delegates authority. The Department proposes to define
``representative'' to clarify that, unless otherwise specified, the
term applies to all representatives who represent a person or party
before OALJ. The Department proposes to define ``docket clerk'' to
clarify current practice before OALJ. When a case is first filed with
OALJ it is received by the Chief Docket Clerk in the national office
located in Washington, DC. But once a case is assigned to a judge in a
district office all filings should be made with the docket staff in
that office.
The Department proposes to amend the definitions of the following
terms to improve clarity and specificity: (d), Hearing; (e), Judge;
(f), Order; and (g), Proceeding. The Department proposes to expand the
definition of ``hearing'' to encompass more than sessions where
evidence is submitted. Hearings to determine issues of fact may rely on
official notice rather than oral testimony subject to cross
examination, and hearings to determine issues of law may not require
the submission of evidence. The Department proposes to revise the
definition of ``judge'' to eliminate the reference in the current rule
to presiding officers not appointed as administrative law judges
pursuant to 5 U.S.C. 3105.
The Department proposes to revise the definition of ``order'' and
delete the reference in the current rule to rulemaking. The Part 18,
Subpart A rules and these proposed revisions apply to the adjudication
of cases and not rulemaking. This reference is therefore superfluous.
The Department proposes to revise the definition of ``proceeding'' to
avoid defining a term using the term itself; the proposed definition
provides a more accurate definition, one that includes the creation of
a record leading to an adjudication or order.
Sec. 18.12 Proceedings before administrative law judge.
The Department proposes to revise the current Sec. Sec. 18.25 and
18.29(a) and combine the content into proposed Sec. 18.12.
The proposed Sec. 18.12 is divided into two subdivisions:
designation and authority. The Department proposes to relocate the
content of current Sec. 18.25 to proposed Sec. 18.12(a). This section
incorporates the revised definition of ``judge'' and ``Chief Judge''
from proposed Sec. 18.11.
The Department proposes to relocate the content of current Sec.
18.29(a) to proposed Sec. 18.12(b). The enumerated powers of the judge
in the proposed subdivision (b) are similar to those listed in sec. 556
of the APA (5. U.S.C. 556) and those listed in the current Sec.
18.29(a), except for stylistic changes. For example, proposed
subparagraphs (b)(4), (b)(5) and part of (b)(2) are taken directly from
sec. 556. Under subdivision (b), the Department clarifies that OALJ may
conduct hearings as determined by the Secretary of Labor when no
statute entitles a person to an ``on the record'' hearing. The proposed
subparagraph (b)(1) is meant to clarify the administrative law judge's
powers to regulate both formal and informal proceedings, including
setting prehearing conferences, and when appointed as a settlement
judge, to conduct settlement conferences. The current Sec. 18.29
(a)(1) only addresses formal hearings. The current Sec. 18.29(a)(6)
and (a)(9) has been deleted because these provisions are redundant of
the proposed introductory statement.
The difference between paragraph (b)(3) and (b)(4) is that the
former applies to parties to the cause of action whereas the later
applies to non-parties. Under (b)(3) judges have the authority to grant
motions to compel a party to respond to a request for the production of
documents, requests for written responses to interrogatories, requests
for admission, and attendance at a proceeding. Issuing subpoenas
authorized by law is the only way a judge can exercise control over
non-parties.
The Department proposes to delete current Sec. 18.29(b), because
its content is addressed in the applicable statutes (e.g., 33 U.S.C.
927(b)(Longshore and Harbor Workers' Compensation Act).
Sec. 18.13 Settlement judge procedure.
The Department proposes to revise the current Sec. 18.9 and
renumber it as proposed Sec. 18.13.
There are three topics addressed in the current Sec. 18.9: (1)
Motions for consent findings and order; (2) approval of settlement
agreements; and (3) the settlement judge procedure. Motions for
approval of a settlement agreement and for a consent finding and order
(current Sec. 18.9 (a)-(d)) are now addressed in the proposed Sec.
18.71, Approval of settlement or consent findings). Proposed Sec.
18.13 provides the procedures for parties wishing to use the settlement
judge process. The revisions to the previous subdivision (e) are
largely structural and stylistic.
Under proposed subdivision (c) the Department proposes to extend
the number of days for the settlement proceeding from 30 to 60 days.
Based on OALJ's experience related to Longshore and Harbor Worker's
Compensation Act cases, 30 calendar days is not enough time to complete
a settlement agreement. For example, parties may need more than 30 days
in cases dealing with location issues, or Medicare set asides, or in
international negotiations under the Defense Base Act.
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The Department proposes to delete the cross-referencing clause in
current subdivision (d) because it is inherent within the rule that a
settlement judge's powers terminate immediately if settlement
negotiations are terminated.
Under proposed subdivision (f) the Department proposes to provide
the settlement judge the option of conducting the settlement conference
in the manner he or she considers most appropriate, giving the
settlement judge wider discretion over the mode of the settlement
conference. The current Sec. 18.9 requires the settlement judge to
conduct the settlement conference by telephone, except in specific
situations. The Department determined that telephone conferences have
not been the most expedient way to conduct settlement conferences;
therefore the proposed change expands the judge's authority to
determine what process the parties want to use and to best utilize
changing technology.
Under the proposed subdivision (g) the Department proposes to
delete the language in current Sec. 18.9(e)(8) regarding the
inadmissibility of settlement statements and conduct because the
confidentiality of dispute resolution communications is now extensively
addressed by the Administrative Dispute Resolution Act. See 5 U.S.C.
574.
The Department proposes to delete the current Sec. 18.9(e)(9)
because the requirements for a consent order or settlement agreement
are generally covered by the governing statute or implementing
regulation. This language is possibly misleading because it implies
that all settlements must have the elements of consent findings. There
are also additional requirements found in specific regulations. See,
e.g., Clean Air Act 29 CFR 1979.11(d)(2) and Longshore and Harbor
Worker's Compensation Act 20 CFR 702.242 and 702.243.
The language from the current Sec. 18.9(e)(10) is relocated to
proposed subdivision (h). The Department is extending the period of
time parties have to submit the required settlement documents to the
presiding judge from 7 days to 14 days. This will allow parties
additional time to draft the settlement documents and will decrease the
number of requests for an extension of time.
Sec. 18.14 Ex parte communication.
The Department proposes to revise the current Sec. 18.38 and
renumber it as proposed Sec. 18.14.
The Department proposes stylistic changes to the current Sec.
18.38, specifically subdivision (a). The language in the proposed rule
clarifies that the prohibition against ex parte communication applies
to the parties, their representatives, and other interested persons, as
well as the judge. The Department proposes to change ``any person'' to
``interested persons'' to be consisted with the Administrative
Procedure Act. See 5 U.S.C. 557(d)(1)(A).
The Department proposes to delete the description of ex parte
communication; however, this change is not intended to change the
definition of ex parte communication. The notification of procedural
request requirement is now covered by proposed Sec. Sec. 18.33,
Motions and other papers, and 18.41, Continuances and changes in place
of hearing.
The Department deleted the current subdivision (b), Sanctions,
because sanctions are covered in applicable statutes. In particular,
the Administrative Procedure Act provides an option of imposing
sanctions following ex parte communications if sufficient grounds
exist. See 5 U.S.C. 556(d)(2000); 5 U.S.C. 557(d)(1). Section 5 U.S.C.
557(d)(1)(D) gives the administrative law judge broad authority to
sanction any knowing violation of the APA's prohibition on ex parte
contacts. Accordingly, it is unnecessary to repeat the statute in these
regulations.
Sec. 18.15 Substitution of administrative law judge.
The Department proposes to revise the current Sec. 18.30 and
renumber it as proposed Sec. 18.15.
The Department proposes to change the title of this section to
``Substitution of administrative law judge'' to more accurately reflect
the procedure provided by the rule--how a substitute judge is appointed
when the presiding judge becomes unavailable.
The Department proposes a revision to the current subdivision (a)
modeled after Fed. R. Civ. P. 63. The Department proposes to require
the successor judge to certify that he or she is familiar with the
record before continuing with the presentation of the evidence.
Included in this subpart is a reference to proposed Sec. 18.12, the
section that defines the procedure for appointing a judge to a case.
Under the proposed subdivision (b), the Department proposes to
codify the longstanding Department of Labor policy, based on Strantz v.
Director, OWCP, 3 B.L.R. 1-431 (1981), of notifying the parties that
the original judge is no longer available, allowing them to object to
the successor judge issuing a decision based on the existing record,
and ordering supplemental proceedings upon a showing of good cause.
Finally, administrative need within OALJ routinely requires that
cases be reassigned among judges prior to the submission of evidence,
such as where a case is continued prior to a scheduled docket. The
proposed Sec. 18.15 does not affect those reassignments.
Sec. 18.16 Disqualification.
The Department proposes to revise the current Sec. 18.31 and
renumber it as proposed Sec. 18.16. The proposed revisions are largely
stylistic.
Under subdivision (a), the Department proposes to delete the
current notice requirement; however, this is not a procedural change.
Parties will be notified when a presiding judge has disqualified
himself or herself in due course with the appointment of a new judge.
The current Sec. 18.31 requires a motion to disqualify to be
accompanied by a supporting affidavit. The Department proposes to
clarify in Sec. 18.16(b) that as an alternative or addition to a
supporting affidavit a motion to disqualify may be accompanied by
supporting declarations or other documents. A presiding judge who
receives a motion to disqualify must rule on the motion in a written
order that states the grounds for the ruling.
The Department proposes to delete the current subdivision (c),
which provides that the Chief Judge will appoint a new presiding judge
if a judge recuses himself or herself. This procedure is covered by the
substitution provisions of proposed Sec. 18.15 and, therefore, is
superfluous here.
Sec. 18.17 Legal assistance.
The Department proposes to revise the current Sec. 18.35 and
renumber it as proposed Sec. 18.17. The Department proposes largely
stylistic revisions to this section. The rule continues to be that OALJ
does not appoint representatives or refer parties to representatives.
In addition, the Department proposes to revise this section to
expressly state that OALJ does not provide legal assistance to parties.
The Department proposes to change the reference to ``counsel'' to
``representative'' because the former is too narrow and does not
include non-attorney representatives.
Parties and Representatives
Sec. 18.20 Parties to a proceeding.
The Department proposes to revise the current Sec. 18.10 and
renumber it as proposed Sec. 18.20.
[[Page 72154]]
The Department proposes to delete the definition of ``party'' in
the current subdivision (a) because this definition is provided in the
APA. See 5 U.S.C. 551(3).
The current Sec. 18.10 includes provisions regarding how a party
may intervene in a case. The Department proposes to delete subdivisions
(b)-(d) because impleading and intervention are rare circumstances
before OALJ. If circumstances require, then the parties or judge may
refer to the Fed. R. Civ. P. 19, Required joinder of parties, Fed. R.
Civ. P. 20, Permissive joinder of parties, and Fed. R. Civ. P. 24,
Intervention. As set forth in proposed Sec. 18.10(a) the rules of
civil procedure will apply to circumstances not covered by the
Department's rules.
Sec. 18.21 Party appearance and participation.
The Department proposes to revise and combine the current
Sec. Sec. 18.34(a) and 18.39 into proposed Sec. 18.21, Party
appearance and participation, because both address a party's right to
appear.
The Department proposes to relocate the content from the current
Sec. 18.34(a) to proposed Sec. 18.21(a). This subpart states that a
party has a right to appear and participate in a proceeding in person
or through a representative. The enumeration of the rights currently
included in Sec. 18.34(a) is summarized by the words ``appear and
participate in the proceeding.'' The current Sec. 18.34(a) addresses
the possible actions a party may take during the course of a proceeding
as provided by the rules. The Department proposes to delete this
language because these actions are covered by other sections within the
Rules, most specifically within Title III: Filings, Title V: Discovery,
and Title VIII: Hearings.
The proposed subdivisions (b) and (c) are based on the current
Sec. 18.39(a) and (b), respectively. The Department has removed the
10-day timeframe with the intention that the presiding judge will set
an appropriate time for response.
Sec. 18.22 Representatives.
The Department proposes to revise the current Sec. 18.34 and
renumber it as proposed Sec. 18.22.
The Department proposes to narrow the scope of proposed Sec. 18.22
so that it functions as a list of qualifications and duties for
attorneys and non-attorney representatives who represent parties before
OALJ. The content from the current subdivision (a) is not included in
proposed Sec. 18.22, as explained in the note to the proposed Sec.
18.21, Party appearance and participation.
The Department proposes not to include the content from current
subdivisions (c) through (f) in proposed Sec. 18.22 because the
substantive rights of parties and subpoenaed witnesses are delineated
by other regulations under Part 18, Subpart A.
The Department proposes to relocate the current subdivision (b) to
subdivision (a), Notice of appearance. Under the proposed subdivision
(a), the Department clarifies that each representative must file a
``notice of appearance'' when first making an appearance and that the
notice is to include the statements and documentation required for
admission to appear as either an attorney or non-attorney
representative. This provision codifies current practice and clarifies
the timing of when the ``notice of appearance'' must be filed.
The Department proposes to relocate the current subdivision (g) to
proposed subdivision (b), Categories of representation; admission
standard. Under proposed paragraph (b)(1), the Department defines the
terms ``attorney'' and ``attorney representative'' under the proposed
rules. The current Sec. 18.34(g) uses the phrase ``attorney at law''
to describe whose appearance is governed by current subsections (g)(1)
and (g)(2); however, the Department proposes to delete this phrase from
the proposed rules because it is ambiguous. As in the current Sec.
18.34, an attorney who is in good standing in his or her licensing
jurisdiction may represent a party or subpoenaed witness. An attorney's
own representation of good standing is sufficient proof thereof, unless
otherwise directed by the judge. Under new subparagraph (b)(1)(B), an
attorney who is not in good standing in his or her licensing
jurisdiction will not be permitted to appear before OALJ unless that
attorney establishes in writing why the failure to maintain good
standing is not disqualifying.
The Department proposes to add a new provision under subparagraph,
(b)(1)(C) Disclosure of discipline, that places the duty on an attorney
to promptly disclose to the judge any current action suspending,
enjoining, restraining, disbarring, or otherwise restricting him or her
in the practice of law.
Under the proposed paragraph (b)(2), the Department clarifies that
an individual who is not an attorney may represent a party or a
subpoenaed witness upon the judge's approval. The Department proposes
to clarify what information must be included in a written request to
serve as a non-attorney representative and provides the standard the
judge will use to determine whether the non-attorney representative has
the qualifications or ability to render assistance. The judge may deny
a person's request to serve as a non-attorney representative only after
providing the party or subpoenaed witness with notice and an
opportunity to be heard.
The Department proposes to add subdivisions (c), Duties, (d),
Prohibited actions, and (e), Withdrawal of appearance, to proposed
Sec. 18.22. In subdivision (c), the Department determined that the
best approach to determining the governing code of conduct is to
require attorneys to adhere to the rules of conduct of their licensing
jurisdiction. Under subdivision (d), the Department proposes to state
specific actions a representative is prohibited from taking while
representing a party before OALJ. The proposed subdivision (e) provides
the procedure for a representative of record to withdraw as a
representative before OALJ and codifies current practice.
Sec. 18.23 Disqualification and discipline of representatives.
The Department determined that a separate rule identifying the
grounds and creating procedures for disqualification of a
representative was appropriate. The proposed Sec. 18.22,
Representatives, addresses a representative's qualifications and
duties. The proposed Sec. 18.87, Standards of conduct, creates a
procedure for excluding a party or representative for poor behavior
during the course of a particular proceeding. The Department determined
that the grounds and procedures for disqualifying a representative are
distinct and separate from the concepts addressed in the current
Sec. Sec. 18.34 and 18.36, and, accordingly, proposes Sec. 18.23.
The proposed Sec. 18.23 deals with both the disqualification of
lawyers from practicing before the Department because professional
discipline has been imposed on them in other jurisdictions, and
discipline the Department itself may impose on lawyers or other
representatives who misbehave during administrative litigation.
Lawyers traditionally have been regulated under a state-centered
regime of professional self-regulation, in which federal administrative
agencies played no role. State supreme courts, the admitting and
disciplinary authority for their states' lawyers, often delegate to the
state bar association the regulatory task of writing advisory ethics
opinions; they also rely heavily on the American Bar Association to
develop model ethics
[[Page 72155]]
rules and to suggest how to structure their systems of lawyer
discipline.
Administrative agencies may discipline lawyers who represent
clients before them. Before the advent of the Administrative Procedure
Act, the U.S. Supreme Court recognized that quasi-judicial agencies
empowered to adopt rules of procedure could set admission requirements.
Goldsmith v. U.S. Bd. of Tax Appeals, 270 U.S. 117, 122 (1926). The
legislative history of sec. 6(a) of the federal Administrative
Procedure Act ``leaves no doubt that Congress intended to keep
unchanged the agencies' existing powers to regulate practice before
them.'' 5 U.S.C. 555(b); Attorney General's Manual on the
Administrative Procedure Act (U.S. Dep't of Justice 1947) (hereinafter
Attorney General's Manual), at 65.
Congress later abolished nearly all agency requirements for
admission to practice with the Agency Practice Act of 1965. 5 U.S.C.
500(b), first enacted in Public Law 89332, 79 Stat. 1281, later
incorporated into the U.S. Code by Public Law 9083, 81 Stat. 195 (Sept.
11, 1967) (with minor stylistic changes). See also the Report to
Accompany S. 1758, House Committee on the Judiciary, H.R. Rep. No.
1141, 89th Cong., 1st Sess.(1965), reprinted in 1965 U.S. Code Cong. &
Admin. News, 89th Cong., 1st Sess at 4170. Any lawyer who is a member
in good standing of a state bar could practice before federal agencies,
unless an agency is authorized to impose additional requirements,
something Congress did for the Patent and Trademark Office. 5 U.S.C.
500(d)(4). The Agency Practice Act is neutral on the authority of
agencies to discipline representatives, including lawyers. 5 U.S.C.
500(d)(2) (stating that the Agency Practice Act does not ``authorize or
limit the discipline, including disbarment, of individuals who appear
in a representative capacity before an agency.''). The courts of
appeals read the authority to adopt rules of practice and procedure as
power to discipline the wayward, to protect the integrity of the
agency's procedures and the public generally. Polydorff v. ICC, 773
F.2d 372 (DC Cir. 1985) (upholding the authority of the ICC to
discipline an attorney); Touche Ross & Co. v. SEC, 609 F.2d 570, 581-
582 (2d Cir. 1979) (upholding the authority of the SEC to discipline
accountants who practice before it); Koden v. U.S. Dep't of Justice,
564 F.2d 228 (7th Cir. 1977) (upholding the authority of the
Immigration and Naturalization Service to discipline attorneys who
appeared before it).
According to the Reporter for the American Bar Association Special
Committee on Evaluation of Ethical Standards, who drafted the Model
Code of Professional Responsibility a generation ago, the ABA has long
stated that its ethical standards apply to the conduct of lawyers
before all adjudicatory entities. Michael P. Cox, Regulation of
Attorneys Practicing Before Federal Agencies, 34 Case W. Res. L. Rev
173, 202 & n. 132 (1982). The ABA Model Rules of Professional Conduct
were adopted by the ABA House of Delegates in 1983, and have been
amended several times thereafter. They serve as models for the legal
ethics rules of most states. The current ABA Model Code of Professional
Conduct (2010) imposes many obligations on trial lawyers. Among them
are duties to exhibit candor; to follow procedural rules; to deal
fairly with opposing parties and their lawyers, including the
obligation to turn over evidence in discovery and refrain from altering
evidence; and to avoid disruptive behavior. See Model Rules 3.3; 8.4
(c) and (d); 3.4(a) and (c); and 3.5(d). All apply to lawyers who
practice before ``tribunals,'' a term that specifically embraces
administrative agencies as well as courts. See Model Rule 1.0(m).
The Department proposes to divide Sec. 18.23 into four
subdivisions: (a), Disqualification, (b), Discipline, (c),
Notification, and (d), Reinstatement. Under subdivision (a), the
Department proposes to regulate lawyers who gained the right to
practice before the Department through admission to the bar of the
highest court of a State or similar governmental unit, but lost it or
had the right to practice limited due to a criminal conviction or
proven professional misconduct. The Department proposes that
representatives qualified under proposed Sec. 18.22 may be
disqualified upon conviction of any of the serious crimes described in
subparts (a)(1)(A) and (B).
A lawyer may also become disqualified under subparts (a)(1)(C) and
(D), as reciprocal discipline when another jurisdiction finds the
lawyer guilty of professional misconduct, or the lawyer consents to
disbarment, suspension, or resigns while an investigation into
allegations of misconduct is pending. Federal courts routinely enforce
reciprocally any limitations on practice state courts have imposed,
after satisfying themselves that those disciplinary proceedings met the
substantive requirements the U.S. Supreme Court set nearly a century
ago in Selling v. Radford, 243 U.S. 46 (1917). The Department has
relied on this rule, and given reciprocal effect to discipline state
courts imposed on lawyers who have appeared before the Department's
administrative law judges. In The Matter of the Qualifications of
Edward A. Slavin, Jr., ARB Case No. 05-003, OALJ Case No. 2004-MIS-5
(Nov. 30, 2005), also available at 2005 WL 3263825 (DOL Adm.Rev.Bd).
Lawyers who litigate before the Department are expected to adhere
to the rules of conduct promulgated by the jurisdiction(s) where they
are admitted to practice, which typically are founded on the American
Bar Association's Model Rules of Professional Conduct. Contumacious
behavior, the violation of the rules of practice the Department has
adopted, or failure to follow the procedural dictates of a governing
statute, program regulation or of a judge's order also opens the lawyer
to discipline by the Department. See proposed Sec. 18.23 (b)(1). State
supreme courts have disciplined lawyers for misconduct in litigation
before the Department.
Under paragraph (a)(2), the Chief Judge must provide notice and an
opportunity to be heard as to why the representative should not be
disqualified from practice before the Office of Administrative Law
Judges. The Chief Judge's determination must be based on the
``reliable, probative and substantial evidence of record, including the
notice and response.''
Under subdivision (b), the Department proposes the procedure for
disciplinary proceedings initiated because of a representative's
conduct before OALJ. The disciplinary procedure is structured so that
the representative's conduct and defense will be reviewed by a
presiding judge, who applies the APA's review standard of reliable,
probative, and substantial evidence of record. The representative may
appeal the presiding judge's decision to the Chief Judge who reviews
the decision under the substantial evidence standard. The Chief Judge's
decision is not subject to review within the Department of Labor. The
proposed Sec. 18.95, Review of Decision, provides that the statute or
regulation that conferred hearing jurisdiction provides the procedure
for review of a judge's decision. If the statute or regulation does not
provide a procedure, the judge's decision becomes the Secretary's final
administrative decision.
Under subdivision (c), the Department proposes to provide notice
that when an attorney representative is suspended or disqualified by
OALJ, the Chief Judge will alert the attorney's licensing
jurisdiction(s) and the National Lawyer Regulatory Data Bank by
providing a copy of the decision and order. The National Lawyer
Regulatory Data Bank is the national clearing house of
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disciplinary information, maintained by the American Bar Association
Standing Committee on Professional Discipline. All states and the
District of Columbia, as well as many federal courts and some agencies,
provide disciplinary information to the Data Bank. See https://www.americanbar.org/groups/professional_responsibility/services/databank.html.
Under subdivision (d), the Department proposes the procedure a
representative suspended or disqualified under this section must follow
to request reinstatement to practice before OALJ.
Sec. 18.24 Briefs from amicus curiae.
The Department proposes to delete the current Sec. 18.12 and
replace it with proposed Sec. 18.24.
The title of Sec. 18.24 was drafted to emphasize that an amicus
curiae may participate in a proceeding only by filing a brief. The
final statement that an amicus curiae brief must be filed by the close
of the hearing was added to provide a timeframe for filing. If an
amicus curiae wishes to participate in the formal hearing, then the
person or organization must petition the judge to participate as an
intervenor.
Service, Format and Timing of Filings and Other Papers
Sec. 18.30 Service and filing.
The Department proposes to revise the current Sec. 18.3 and
renumber it as proposed Sec. 18.30. The proposed Sec. 18.30 is
modeled after Fed. R. Civ. P. 5. In the current Part 18, Subpart A
rules service and filing requirements are listed under several
sections. The Department proposes to delete those references and have
this section address all the general service and filing procedures.
Similar to Fed. R. Civ. P. 5, the Department proposes to
restructure the current Sec. 18.3 into two subparts: (a), Service on
parties and (b), Filing with Office of Administrative Law Judges.
Portions of the current subdivision (a) and subdivision (e) that
address the actual form of filings are not included in proposed Sec.
18.30 and are instead addressed in proposed Sec. 18.34, Format of
papers filed. For example, current subdivision (a) states: ``All
documents should clearly designate the docket number, if any, and short
title of the matter.'' This language is included in proposed Sec.
18.34.
The Department proposes to incorporate the content from the current
subdivision (d) into proposed subdivision (a) because the service
process is the same for all papers, including complaints.
Under subdivision (a), the Department proposes to provide general
guidance on how parties are served. The Department proposes to add a
certificate of service requirement under subparagraph (a)(3). The
current Part 18, Subpart A does not define a certificate of service, so
including the definition in the service and filing section clarifies
the requirements of certifying that a paper was served on another
party. In the past, pro se parties before OALJ have failed to provide
certificates of service, requiring judges to follow up with the other
parties to the case to verify that a paper was served.
In order to distinguish between a clerk employed at a party's place
of business and the OALJ clerk who receives documents for the Office,
the Department proposes to amend item (a)(2)(B)(iv) and paragraph
(b)(2) by adding the term ``docket clerk.'' Docket clerk is defined in
proposed Sec. 18.2, Definitions, to clarify that the docket clerk is
the Chief Docket Clerk at the Office of Administrative Law Judges in
Washington, DC or, once a case is assigned to a judge in a district
office, the docket staff in that office.
Under proposed subdivision (b), the Department specifies the
procedure for filing papers with OALJ. Under subparagraph (b)(1),
parties are required to file within a reasonable time papers served on
other parties or participants. However, like the current rule, parties
are not required to file discovery documents, unless the judge orders
or the party uses them in the proceeding. The required filing provision
also extends to any required disclosures ordered by the judge under
Sec. 18.50, General provisions governing discovery and disclosure.
The Department proposes to provide the procedure for filing by
facsimile in proposed subparagraph (b)(3)(A)--currently subdivision
(f). In recognition of OALJ's nationwide jurisdiction and circumstances
requiring last-minute filings, the Department proposes to clarify that
parties may file by facsimile only as directed or permitted by the
judge.
The Department proposes to relocate the content from the current
subdivisions (f)(6) and (g) to proposed subdivision (b) because theses
subdivisions address those parts of the filing process.
The Department proposes to delete the current (f)(3) because
paragraph (a)(3) will apply in all cases. The proposed section adds a
specific mechanism by which the parties can establish that the fax was
sent and received and puts the burden on the party to maintain the
original document.
The Department proposes to delete the current (f)(7) to limit the
use of fax submissions to times when ordered by the Judge.
Sec. 18.31 Privacy protection for filings and exhibits.
Proceedings before OALJ are open to the public. The current Part
18, Subpart A does not include a privacy requirement that parties
redact personal data identifiers from filings. OALJ has a policy
statement encouraging such redaction, but the notice is advisory, not
mandatory. See www.oalj.dol.gov/ACCESS_TO_COURT_RECORDS.HTM/.
The 2007 revision of the FRCP included the addition of Fed. R. Civ.
P. 5.2 in response to the E-Government Act of 2002, 44 U.S.C. 3501. The
Advisory Committee Note addressing Fed. R. Civ. P. 5.2 states that the
privacy and security concern addressed by this rule is the electronic
availability of filed documents. The scope of Fed. R. Civ. P. 5.2 is
limited to filings with the court, and extends to trial exhibits when
they are filed with the court.
The Department proposes a privacy protection rule based on Fed. R.
Civ. P. 5.2 which will serve two agency-specific purposes. Like Fed. R.
Civ. P. 5.2, proposed Sec. 18.31 will reach any electronic filings
with OALJ. In addition, Sec. 18.31 will clarify the job of the Freedom
of Information Act officer who reviews files in the case of a FOIA
request. As a result of the broader purpose of OALJ's privacy
protection rule, the Sec. 18.31 extends to filings and exhibits. The
majority of personal information to be redacted by the FOIA officer is
contained in the exhibits, not the filings.
The proposed subdivision (a) lists the personal data identifiers
that parties must redact from filings submitted to OALJ, unless the
judge orders otherwise. The Department also lists filings that are
exempted from the redaction requirement under proposed subdivision (b).
Under subdivision (b), OALJ has exempted the record of administrative
proceedings and exhibits filed within the Department of Labor and
submitted to OALJ.
Under subdivision (c), the Department proposes to provide parties
with the option to file a reference list of redacted information. The
term ``redacted'' is intended to govern a filing that is prepared with
abbreviated or blocked-out identifiers in the first instance, as well
as a filing in which a personal identifier is edited after its
preparation.
Under subdivision (d), the Department proposes to allow a person to
waive the protections of the rule as to that person's own personal
[[Page 72157]]
information by filing it unsealed and in unredacted form. One may wish
to waive the protection if it is determined that the costs of redaction
outweigh the benefits to privacy. If a person files an unredacted
identifier by mistake, that person may seek relief from the judge.
The proposed subdivision (d) provides that a judge may, for good
cause, require more extensive protection of material than otherwise
required by this section. The Department does not intend for this
subdivision to affect the limitations on sealing that are otherwise
applicable to the judge. See Sec. 18.85, Privileged, sensitive and
classified material.
Sec. 18.32 Computing and extending time.
The Department proposes to delete the current Sec. 18.4 and
replace it with proposed Sec. 18.32. The proposed Sec. 18.32 is
modeled after Fed. R. Civ. P. 6. References to service and filing in
the current Sec. 18.4 are now addressed in proposed Sec. 18.30,
Service and filing.
The Department proposes to increase the scope of the computation
provisions in current Sec. 18.4(a) to apply to time periods set out in
``these rules, [the] judge's order, or in any statute, regulation, or
executive order that does not specify a method for computing time.''
The expanded scope creates consistency in cases that fall under
statutes and regulations that do not have time computation provisions.
The revisions do not supplant a computation scheme from another agency
or rule.
Under proposed subdivision (a), the Department proposes to add the
definitions of ``last day,'' ``next day,'' and ``legal holiday.'' The
current subdivision (a) includes a sentence explaining the computation
of time for periods less than 7 days. The Department proposes to delete
this sentence from the proposed rule to be consistent with the
Department's general revision to provide at least 14 days to respond or
file.
Subdivision (b) provides the criteria judges will use when
responding to a request for an extension of time. The Department
proposes this subdivision to provide litigants with fair notice as to
the applicable standard of review.
The Department proposes to delete the current Sec. 18.4(c)(1) and
(3), which permit the addition of 5 days for filing by mail and when a
party is served by mail. Some litigants have found this time-
calculation provision confusing. To replace these provisions, the
Department proposes to add subdivision (c) to function like Fed. R.
Civ. P. 6(d). Three days are added after particular types of service
listed in proposed Sec. 18.30(a)(2)(B)(iii) or (iv). The decrease in
the number of days for responding is offset by the extension of time to
respond from 10 days to 14 days. Days are no longer added to the date
of filing when filing by mail. The Department proposes this change to
make the practice before OALJ more uniform and consistent with the
procedure in the district courts.
Sec. 18.33 Motions and other papers.
The Department proposes to revise current Sec. 18.6 and renumber
it as proposed Sec. 18.33. Proposed Sec. 18.33 is modeled after Fed.
R. Civ. P. 7(b) and Fed. R. Civ. P. 43(c).
Under Sec. 18.33, the Department proposes to clarify the filing
requirements for motions and other papers and add the language from
Fed. R. Civ. P. 7(b) to proposed Sec. 18.33 (a) and (b). Under
proposed subdivision (a) ``[a] request for an order must be made by
motion.'' This applies to any requests made to a judge. A motion must:
(1) Be in writing, unless made during a hearing; (2) state with
particularity the grounds for seeking the order; (3) state the relief
sought; and (4) unless the relief sought has been agreed to by all
parties, be accompanied by affidavits, declarations, or other evidence,
and (5) if required by subsection (C)(4), include a memorandum of the
points and authorities supporting the movant's position.
The proposed subdivision (b) provides that ``the rules governing
captions and other matters of form apply to motions and other
requests.''
Under subdivision (c), the Department proposes to add that written
motions before a hearing must be served with supporting papers at least
21 days prior to hearing. A written motion served within 21 days before
the hearing must state why the motion was not made earlier. The current
version of this section does not set a timeframe for serving and filing
motions prior to the hearing. The Department proposes to add this
timeframe to provide judges sufficient time to rule on pre-hearing
motions. This may narrow the issues for the hearing and save witness
travel time and expenses. The exceptions to this regulation include:
(A) When the motion may be heard ex parte; (B) when these rules or an
appropriate statute, regulation, or executive order set a different
time; or (C) when an order sets a different time.
The proposed subdivision (d) requires that a response to a motion
be filed within 14 days after the motion is served. The Department
proposes to increase the amount of time a party has to respond from the
10 days in the current version of the rule to 14 days. The change to 14
days comports with the general revision to set time periods based on
multiples of 7.
Under paragraph (c)(3), the Department proposes to add the
requirement that counsel for the moving party confer or attempt to
confer with opposing counsel in a good faith effort to resolve the
subject matter of the motion, except when a party is unrepresented or
for particular types of motions listed under subparagraphs (c)(3)(A)
through (c)(3)(C). This provision is consistent with the FRCP and the
Department anticipates that this will reduce the number of motions by
encouraging the parties to resolve issues amongst themselves. Paragraph
(c)(4) clarifies that unless the motion is unopposed, the supporting
papers for the motion must include affidavits, declarations or other
proof to establish the factual basis for the relief. For a dispositive
motion and a motion relating to discovery, a memorandum of points and
authorities must also be submitted. A judge may direct the parties file
additional documents in support of any motion.
The Department proposes to delete the language in current Sec.
18.6(d) from this section and address motions to compel in Sec. Sec.
18.35, Signing motions and other papers; representations to the judge;
sanctions, 18.56, Subpoena, and 18.57, Failure to make disclosures or
to cooperate in discovery; Sanctions.
Cases may be reassigned to different judges based on the
administrative needs of the Office of Administrative Law Judges.
Therefore, the Department proposes to add subdivision (f) to address
renewed or repeated motions made to a different judge than the judge
who previously ruled on the motion.
Sec. 18.34 Format of papers filed.
The Department proposes to add a new Sec. 18.34, Format of papers
filed, to provide the format a party should use when filing papers with
OALJ. This proposed section expands the current document filing
requirements located under current Sec. 18.3(a) to provide litigants
with more specific formatting requirements. The current Sec. 18.3(a)
provides that ``all documents should clearly designate the docket
number, if any, and short title of the matter'' and ``each document
filed shall be clear and legible.'' The proposed Sec. 18.34 states
that every paper filed must be printed in black ink on 8.5 x 11-inch
opaque white paper. The Department proposes the black ink requirement
because litigants sometimes file handwritten papers with colored ink
that can be difficult to read.
[[Page 72158]]
The current caption requirements are located under current Sec.
18.3(e). Under proposed Sec. 18.34, the Department clarifies that
filed papers must begin with a caption that includes: (a) the parties'
names, (b) a title that describes the paper's purpose, and (c) the
docket number assigned by the Office of Administrative Law Judges. If
the case number is an individual's Social Security number then only the
last four digits may be used. See 18.31(a)(1). If OALJ has not assigned
a docket number, the paper must bear the case number assigned by the
Department of Labor agency where the matter originated. The Department
proposes to relocate the address and telephone number requirement in
the current Sec. 18.3(e) to proposed Sec. 18.35(a).
Sec. 18.35 Signing motions and other papers; representations to the
judge; sanctions.
The Department proposes to add a new Sec. 18.35 modeled after Fed.
R. Civ. P. 11. This section establishes the standards attorneys and
parties must meet when filing motions or other documents with OALJ. It
also regulates the circumstances in which sanctions may be imposed if
the standards of Sec. 18.35 are not met.
Under subdivision (a), every written motion and other paper filed
with OALJ must be dated and signed by a representative of record or by
a party personally if the party is unrepresented. The paper must state
the signer's address, telephone number, facsimile number and email
address, if any. If a document subject to Sec. 18.35 is not signed,
the judge has the power to strike the document unless the proponent
signs it promptly upon notification of the missing signature.
Under subdivision (b), the Department sets the standards that
motions and other papers regulated by Sec. 18.35 must meet. It also
specifically provides that the standards are applicable to later
advocacy of such documents, as well as to the initial submission of the
documents.
The Department proposes to regulate who may be sanctioned for
violations of Sec. 18.35(b), as well as how the sanctions process may
be initiated under subdivision (a). This subdivision also governs the
extent and limitations of the judge's sanctioning power.
Sections 18.50 through 18.65, governing the discovery process,
control the circumstances when sanctions may be imposed for
inappropriate behavior in discovery. For that reason, Sec. 18.35(d)
clarifies that Sec. 18.35(a), (b) and (c) have no applicability to
discovery issues.
Sec. 18.36 Amendments after referral to the Office of Administrative
Law Judges.
The Department proposes to revise the current Sec. 18.5 and
renumber it as proposed Sec. 18.36.
Proceedings before the Office of Administrative Law Judges are
rarely initiated by a complaint and answer. Accordingly, the Department
proposes to delete subdivisions (a)-(d) in current Sec. 18.5. However,
a judge may still require the parties to file a complaint and answer in
certain cases for the purpose of clarifying the issues in the
proceeding.
Amendments and supplemental pleadings are an infrequent occurrence
because proceedings are rarely initiated before OALJ with a complaint
and answer. If amended or supplemental complaints and answers are
required, then the judge may apply Fed. R. Civ. P. 15. Accordingly,
current Sec. 18.5(e) is deleted and the proposed Sec. 18.36 provides
the judge discretion to allow parties to amend and supplement their
filings.
Prehearing Procedure
Sec. 18.40 Notice of hearing.
The Department proposes to revise the current Sec. 18.27 and
renumber it as proposed Sec. 18.40.
The current subdivision (a) makes reference to notice of prehearing
conferences. Notice of prehearing conferences is controlled by proposed
Sec. 18.44, Prehearing conferences, so the Department deleted this
reference in proposed Sec. 18.40. In proposed Sec. 18.40 (a), the
number of days for timely notice is changed from 15 days to 14 days.
The change comports with the general revision to set time periods based
on multiples of 7.
The current subdivision (b) addresses the judge's ability to change
the date, time, or place for a hearing and the number of days notice
required for a change. The Department determined that this provision is
appropriately grouped with continuances, instead of with the notice of
hearing requirements. The Department proposes to relocate a revised
version of this subpart to proposed Sec. 18.41(a), Continuances and
changes in place of hearing.
The current subdivision (c)--now proposed subdivision (b)--is
edited to not only address how the judge will determine the location
for the hearing, but also the date and time of the hearing. This
proposed subdivision also includes a consideration of the ``necessity
of the parties and witnesses in selecting the date, time and place of
the hearing.'' This requirement is expressed in sec. 554 of the APA and
more accurately reflects the considerations a judge must make when
determining the date, time, and place for the hearing.
Sec. 18.41 Continuances and changes in place of hearing.
The Department proposes to revise the current Sec. 18.28 and
renumber it as proposed Sec. 18.41.
The Department proposes to clarify in this section when a judge may
continue a hearing. This procedure in part is located under current
Sec. 18.27(b); however, the Department determined that the procedure
of a judge continuing a case is more appropriately grouped in this
continuance rule. Under Sec. 18.41(a), the Department proposes to
require that the judge provide reasonable notice to the parties of a
change in date, time or place of the hearing. The proposed change
permits the judge to inform the parties of the changes within a
reasonable time based on the circumstances of the continuance. This
flexibility permits the judge to adjust the hearing schedule as needed
without having to comport with a 14-day notice requirement. However,
the reasonable notice still protects a party's due process rights to
have notice of the hearing.
The Department proposes to revise the current subdivision (b) to
address a party's request to continue or change the place of a hearing.
The current regulation requires a party to file a motion for a
continuance at least 14 days before the date set for hearing. The
Department proposes to eliminate the 14-day filing requirement.
Instead, the proposed regulation requires that a party ``promptly''
file a motion after becoming aware of the circumstances supporting a
continuance. If a party is immediately aware of the conflict upon
receipt of the notice of hearing, the party should file a motion to
continue at once.
Under subdivision (b), the Department proposes to permit a party to
orally move to continue a hearing, but only in exceptional
circumstances. The proposed Sec. 18.33, Motions and other papers,
requires that motions be made in writing; this section, however,
provides a limited exception. For the reasons discussed above, the time
limit for an oral motion if the request is made 10 days before the
hearing is not included. Under proposed paragraph (b)(1), if a party
makes an oral motion for a continuance it must immediately notice the
other parties of the request.
The final sentence of the current subdivision (b) addresses oral
motions for a continuance at a calendar call or hearing. The Department
proposes to
[[Page 72159]]
address oral motions at a hearing in proposed Sec. 18.33(e).
Therefore, the Department proposes to omit this reference from proposed
subdivision (b).
The Department proposes to add a regulation under Sec. 18.41
(b)(2). Under this paragraph, a party may move to change the location
of the hearing. This proposed provision permits the parties to inform
the judge when a more suitable hearing location is available.
Sec. 18.42 Expedited proceedings.
The Department proposes to delete the current Sec. 18.42 and
replace it with proposed Sec. 18.42.
The Department proposes to delete the references to expedited
proceedings that are required by statute or regulation in current
subdivisions (a)-(d) and (f). Expedited hearings are controlled by the
statute or regulation requiring the accelerated proceedings and do not
require either party to file a motion requesting an expediting
proceeding. The timing of the hearing and decision in cases expedited
by statute or regulation is determined by the governing statute or law.
For example, under 20 CFR 655.171(a), Temporary Employment of Foreign
Workers in the United States, when an employer requests administrative
review an ALJ must issue a decision within 5 business days of receipt
of the administrative file. See also 20 CFR 655.33(f). The Department
proposes not to include the current subdivision (f) in its entirety
because it is unnecessary and may be in conflict with the governing
law.
The proposed Sec. 18.33, Motions and other papers, provides the
requirements for filing a written motion, including a motion for an
expedited proceeding. The Department proposes to delete the provisions
in existing paragraphs (b)(1), (b)(2), and (b)(4) because a motion
filed in accordance with proposed Sec. 18.33 must be in writing and
describe with particularity the circumstances for seeking relief. The
time for responding to a motion under proposed Sec. 18.33(d) is 14
days, an addition of 4 days to the 10 days required in existing Sec.
18.42(d). This change to 14 days comports with the general revision to
set time periods based on multiples of 7.
The Department proposes not to include the current subdivision (c)
because service is addressed by proposed Sec. 18.30, Service and
filing.
The Department proposes to omit the provision in current
subdivision (e) that provides for advanced pleading schedules,
prehearing conferences, and hearings. The Department proposes to delete
this regulation because setting the date for conferences is within the
judge's general powers set forth in proposed Sec. Sec. 18.44,
Prehearing conferences, and 18.12, Proceedings before administrative
law judge. The 5-day limitation on advancing the hearing is extended to
7 days. The change to 7 days comports with the general revision to set
time periods based on multiples of 7.
Sec. 18.43 Consolidation; separate hearings.
The Department proposes to delete the current Sec. 18.11 and
replace it with the proposed Sec. 18.43. The proposed Sec. 18.43 is
modeled after Fed. R. Civ. P. 42, Consolidation; separate trials.
The Department proposes to revise this section to more accurately
reflect the practice before OALJ. The current Sec. 18.11 describes the
process of consolidating hearings, whereas the proposed Sec. 18.43
addresses the judge's power to order consolidated and separate
hearings. The proposed subdivision (a) clarifies that an administrative
law judge may join for hearing any or all matters at issue in the
proceedings or may issue any other order to avoid unnecessary cost or
delay. The proposed subdivision (b) clarifies that for convenience, to
avoid prejudice, or to expedite and economize, the judge may order a
separate hearing on one or more issues.
Sec. 18.44 Prehearing conference.
The Department proposes to delete the current Sec. 18.8 and
replace it with proposed Sec. 18.44. The proposed Sec. 18.44 is
modeled in part after Fed. R. Civ. P. 16.
The current Sec. 18.8 states that the purpose of a prehearing
conference is to ``expedite'' the proceedings. The Department proposes
to expand the purpose for a prehearing conference in proposed
subdivision (a) to include: establishing early and continuing control
so that the case will not be protracted because of lack of management;
discouraging wasteful prehearing activities; improving the quality of
the hearing through more thorough preparation; and facilitating
settlement. This revision more accurately reflects the purpose of
prehearing conferences before OALJ.
The Department proposes subdivision (b) to provide guidance on the
scheduling and notice of the prehearing conference. This procedure is
currently located in Sec. 18.8(a).
The Department proposes subdivision (c) to require parties to
participate in the conference as directed by the judge. This
requirement is currently located in Sec. 18.8(a). In this subpart, the
Department proposes to clarify that if a party is represented by an
attorney or non-attorney representative, the representative must have
authority to make stipulations and admissions and, to settle.
The Department proposes subdivision (d) to expand the current
subparagraph (a)(2) to include additional matters for consideration
that the judge can take action on during prehearing conferences. This
revision is modeled after Fed. R. Civ. P. 16(c)(2) and accurately
reflects the breadth of issues addressed in prehearing conferences
before OALJ.
The Department proposes to combine the current subdivisions (b) and
(c) into subdivision (e). Under this subdivision, the Department
proposes to change the default by stating that judges may direct that
the prehearing conference be recorded and transcribed. The current
Sec. 18.8 requires stenographic recording and transcription, unless
otherwise directed by the judge. This change reflects the routine
practice of unrecorded prehearing conferences. Typically there is no
testimony taken during prehearing conferences so unrecorded conferences
are more cost-efficient. In certain cases, such as those involving
unrepresented parties, judges may continue to order recorded prehearing
conferences.
Disclosure and Discovery
Sec. 18.50 General provisions governing disclosure and discovery.
The Department proposes to adopt a new section to govern discovery
and disclosure, incorporating portions of Fed. R. Civ. P. 26 not
already addressed by specific Part 18, Subpart A regulations. The
current Part18A provides limited guidance regarding discovery and
disclosure. The Department, therefore, is establishing better guidance
in proposed Sec. 18.50. The proposed subdivisions (a), (c), and (d)
apply to all cases, except as specified, while subdivision (b) is
invoked by a judge's order.
Under subdivision (a), a party may seek discovery at any time after
a judge issues an initial notice or order. The rule creates a
possibility that a party may seek discovery prior to the judge issuing
an order requiring the parties to confer under Sec. 18.50(b). Instead
of providing for that situation in this section, the Department
anticipates that the judge's initial notice or order would address
discovery sought before the conference, or that a party may file an
appropriate motion requesting relief or instruction.
Unless, on motion, the judge orders otherwise for the parties' and
witnesses' convenience and in the interests of
[[Page 72160]]
justice, the methods of discovery may be used in any sequence and
discovery by one party does not require any other party to delay its
discovery. There is also no requirement that a party conduct discovery
in a manner like that used by other parties; each party is free to
conduct any authorized discovery in any sequence regardless of the
discovery conducted by other parties.
Under subdivision (b), a judge may order parties to confer and
develop a proposed discovery plan, to be submitted in writing,
addressing the discovery schedule and any modifications to the limits
or scope of discovery. The discovery plan should indicate the parties'
positions or proposals concerning: Automatic discovery; discovery scope
and schedule; electronic information; privilege issues; discovery
limits; and other discovery orders. Section 18.50(b) places a joint
obligation on the representatives (and on unrepresented parties) to
schedule the discovery conference and to attempt in good faith to agree
on a proposed discovery plan and a report outlining the plan.
The results of the discovery conference may be reported to the
judge using Form 52 of the Appendix of Forms that is incorporated into
the FRCP through Fed. R. Civ. P. 84. The judge uses that information to
craft a scheduling order that controls the development of the case.
Under subdivision (c), parties are required to disclose certain
information automatically, without the need for discovery requests, at
two points during the litigation. First, at the commencement of a
proceeding before OALJ, each party must automatically provide to the
other parties the identity of individuals (including experts) likely to
have discoverable information, a description of documents by category
and location, and a computation of each category of damages. Under
proposed subparagraph (c)(1)(B), five categories of proceedings are
excluded from this initial disclosure, because in these proceedings
discovery is generally not applicable, or is limited due to the nature
of the proceeding. Second, later in the case litigants must serve
written reports of experts they retained to testify; an expert not
retained or specially employed to provide expert testimony--a treating
physician often falls into this category--need not write a report, but
the party must serve an equivalent disclosure about that expert's
opinions and their bases.
Under proposed subparagraph (c)(1)(C), representatives of the
Department's Office of Workers' Compensation Programs are exempted from
the requirement to provide initial disclosure, except under specified
circumstances. Under the governing regulation for Black Lung cases, the
District Director is required to provide a complete copy of the
administrative record to all parties. 20 CFR 725.421(b). In Longshore
cases, the District Director provides a copy of the pre-hearing
statements to the Office of Administrative Law Judges, but under the
regulation is prohibited from transmitting the administrative record.
20 CFR 702.319. The proposed subparagraph also recognizes that under
certain situations the Department's representative actively litigates
(e.g., when representing the Black Lung Disability Trust Fund in a case
in which no responsible operator has been identified, see 20 CFR
725.497(d); or when an employer in a Longshore case has made a claim
under 33 U.S.C. 908(f) for reimbursement by the ``special fund.'') Then
the Department's representative must make the initial disclosures.
Expert opinions ultimately are disclosed in one of two ways. Each
witness retained to provide expert testimony must produce a report.
Each expert report must be in writing, signed by the expert, and must
contain the specific information listed under subparagraph (c)(2)(B).
Under subparagraph (c)(2)(A), judges have the discretion to set the
time for this disclosure by prehearing order. For witnesses who are not
required to provide a written report, under subparagraph (c)(2)(C) a
party must state the subject matter on which the witness is expected to
present expert opinion evidence and provide a summary of the facts and
opinions to which the witness is expected to testify. For example,
under 20 CFR 725.414(c) in Black Lung cases an expert may testify in
lieu of a report and is not required to submit a written report. Such
expert witnesses in Black Lung cases are commonly treating physicians
who do not prepare written expert reports in the course of business.
This provision drawn from Fed. R. Civ. P. 26(a)(2)(C) provides the
mechanism to get the equivalent information. Under subparagraph
(c)(2)(D), parties must supplement expert disclosures when required
under proposed Sec. 18.53, Supplementing disclosures and responses.
Under paragraph (c)(3), in addition to required disclosures, a
party must provide to the other parties and promptly file the
prehearing disclosures described in proposed Sec. 18.80, Prehearing
statements.
Under paragraph (c)(4) unless the judge orders otherwise, all
disclosures under this section must be in writing, signed, and served.
Under subdivision (d), every disclosure under Sec. 18.50(c) and
every discovery request, response, or objection must be signed by at
least one of the party's representatives in the representative's own
name, or by the party personally if unrepresented. The document must
also contain the signer's address and telephone number. The signature
constitutes a certification that the document is complete and correct
to the best of the signer's knowledge, information, and belief, and it
is being served for proper purposes within the rules. Under paragraph
(d)(2), parties have no duty to act on an unsigned disclosure, request,
response, or objection until it is signed and the judge must strike it
unless a signature is promptly supplied after the omission is called to
the representative's or party's attention. If a certification violates
this regulation without substantial justification, judges have the
authority to impose an appropriate sanction, either on motion or on his
or her own, under paragraph (d)(3).
Sec. 18.51 Discovery scope and limits.
The Department proposes to delete the current Sec. 18.14 and
replace it with proposed Sec. 18.51. The proposed Sec. 18.51 is
modeled after Fed. R. Civ. P. 26(b), Discovery scope and limits.
The Department proposes to revise the scope of discovery in current
Sec. 18.14(a) based on a 2000 amendment to Fed. R. Civ. P. 26(b)(1)
which narrowed the scope of discovery. The current subdivision (a)
permits parties to seek ``discovery regarding any matter, not
privileged, which is relevant to the subject matter involved in the
proceeding * * *'' In the proposed Sec. 18.51, the parties are
instructed to confine requests to ``any nonprivileged matter that is
relevant to any party's claim or defense * * *'' The Department
proposes to incorporate this amendment to control discovery costs
without interfering with the fair resolution of the case. The parties
are permitted to seek discovery related to the claims or defenses and,
if needed, the judge may permit a party to seek discovery of any matter
related to the case's subject matter.
The Department proposes to relocate the limitations in current
Sec. 18.14(b) regarding objections to discovery to the third sentence
of proposed Sec. 18.51(a). The Department proposes to clarify that a
party may seek discovery of relevant information, even if the
information would not be admissible at the hearing, as long as the
discovery ``appears
[[Page 72161]]
reasonably calculated to lead to the discovery of admissible
evidence.''
In Sec. 18.51(b), the Department proposes additional limitations
on the frequency and extent of discovery not contained in the current
Sec. 18.14. The limitations imposed by the current Sec. 18.14 are
limited to relevant information and information that is protected by a
privilege. The Department proposes limitations on discovery that are
designed to control the costs and burdens of discovery, as appropriate.
The Department proposes to provide limitations on the frequency of
using discovery tools in Sec. Sec. 18.64, Oral depositions, 18.65,
Written depositions, 18.60, Interrogatories, and 18.63, Requests for
admission. The Department proposes paragraph (b)(1) to provide a judge
the discretion to alter the limits imposed by these regulations.
The Department proposes paragraph (b)(2) to limit the discovery of
electronically stored information (ESI). The existing Part 18, Subpart
A rules, promulgated in 1983, do not mention ESI; the proposed changes
governing ESI reflect the contemporary nature of document management
and discovery methods. In order to control the costs and burdens of
producing documents, proposed paragraph (b)(2) establishes a
requirement that a party need not provide discovery of ESI if the
information is not reasonably accessible because of undue burden or
cost. If the party requesting the information files a motion to compel
or the party holding the information seeks a protective order, the
judge must consider the items in proposed paragraph (b)(4).
Under paragraph (b)(3), the Department states that by requesting
electronically stored information, a party consents to the application
of Federal Rule of Evidence 502 with regard to inadvertently disclosed
privileged or protected information. Because there is currently no
equivalent to Fed. R. Evid. 502 in OALJ's rules of evidence, 29 CFR
part 18, subpart B, the Department proposes this regulation to inform
parties that Fed. R. Evid. 502 is applicable to inadvertently disclosed
privileged or protected ESI.
The factors a judge must consider when determining whether to limit
the frequency or extent of discovery under proposed paragraph (b)(4)
involve balancing the need for the information and the costs and
burdens of producing the information. The limitations in paragraph
(b)(4) apply to all motions to limit the frequency and extent of
discovery under subdivision (b).
The Department proposes subdivisions (c) and (d) to elaborate the
limitations on discovery of hearing preparation materials and experts,
respectively. The proposed subdivision (c) contains the same
limitations as the current Sec. 18.14(c). A party may not discover
documents and tangible things prepared in anticipation of litigation or
the hearing unless the information is discoverable as relevant under
subdivision (a) and the party requesting the information can show that
there is a substantial need for the information and the party cannot
obtain substantially equivalent information without undue hardship.
Although enumerated differently in proposed subdivision (c), the
requirements remain the same. Like the current subdivision (c),
proposed paragraph (c)(2) instructs the judge to protect against
disclosure of an attorney's or other representative's mental
impressions, conclusion, opinions, or legal theories when ordering the
production of hearing preparation material.
Proposed paragraph (c)(3) permits a party or witness access to the
person's own previous statement by request. A party or witness may have
provided a statement prior to retaining legal counsel or understanding
the consequences of the statement regarding the subject matter of the
litigation. The party or witness may obtain a copy of the statement by
request without making an additional showing.
Proposed subdivision (d) is modeled after Fed. R. Civ. P. 26(b)(4)
and addresses requests for hearing preparation information prepared by
experts who may testify at the hearing. Effective cross-examination of
an expert requires advance preparation and effective rebuttal requires
knowledge of the line of testimony of the other side. This regulation
helps the parties narrow the issues and eliminates surprises through
prehearing disclosure of expert opinions.
As is the current practice before OALJ, proposed paragraph (d)(1)
provides that a party may depose an expert whose opinions may be
presented at the hearing. The proposed subpart is modeled after Fed. R.
Civ. P. 26(b)(4)(A), which requires the expert's report to be provided
prior to the deposition. However, the exchange of a physician's report
prior to the deposition has not been a common practice before OALJ,
mostly based on time constraints of the testifying experts. Paragraph
(d)(1), therefore, permits the parties to stipulate to taking a
deposition before reviewing the expert's report and then produce the
report when it is available.
Proposed paragraph (d)(2) applies if a judge orders the parties to
exchange required disclosures under proposed Sec. 18.50(c)(2)(B). If
the judge orders the disclosure of expert opinions under Sec.
18.50(c)(2)(B), then Sec. 18.51(d)(1) provides that the protections in
paragraphs (c)(1) and(c)(2) will apply.
Proposed subdivision (e) creates a procedure a party must follow to
claim a privilege or to protect hearing preparation materials.
Paragraph (e)(1) explains that a party must expressly claim a privilege
or state that the information is subject to hearing preparation
protection and describe the material well enough that the opponent can
adequately assess the protection claim.
Proposed paragraph (e)(2) provides the steps a party must take if
it wishes to claim a privilege or other protection for discovery
already produced. This regulation is modeled after Fed. R. Civ. P.
26(b)(5)(B). The proposed subpart provides for in camera review by the
judge so that such materials may be handled consistent with the
parties' expectations regarding privileged or other protected
documents, prior to creation of a final administrative record.
Sec. 18.52 Protective Orders.
The Department proposes to delete the current Sec. 18.15 and
replace it with proposed Sec. 18.52. The proposed Sec. 18.52 is
modeled after Fed. R. Civ. P. 26(c), Protective orders.
Similar to the current Sec. 18.15, the Department proposes Sec.
18.52(a) to provide that a party, or any person from whom discovery is
sought, may file a motion for a protective order to protect the party
from annoyance, embarrassment, oppression, or undue burden or expense.
The motion can only be brought by the individual whose interests are
affected. Normally, the motion must be filed before the discovery is to
occur, unless there is no opportunity to do so. The proposed regulation
requires that the motion include a certification that the movant
conferred or attempted to confer with the other affected parties to
resolve the dispute before filing the motion. This requirement
encourages the parties to work together to resolve discovery disputes,
without involving the judge.
The Department continues to require that the judge find good cause
for issuing a protective order regarding the discovery sought. The
judge has broad discretion in determining what constitutes good cause.
Proposed paragraphs (a)(1) through (8) provide examples of orders the
judge may enter. The proposed paragraphs (a)(1) through (5) provide the
same remedies as the current paragraphs (a)(1) through (5); however,
each paragraph is revised for
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clarity. Similarly, the current paragraph (a)(6) is relocated to
proposed paragraph (a)(7). The Department proposes to add paragraphs
(a)(6) and (8) to provide the same remedies a judge may impose under
Fed. R. Civ. P. 26(c)(1). Respectively, the judge may order that a
deposition be sealed and opened as the judge orders or the judge may
order the parties to simultaneously file documents or information in
sealed envelopes, to be opened as the judge orders.
The Department proposes to clarify under subdivision (b) that when
a judge denies a motion for a protective order in whole or in part, the
judge may order that the party or person provide or permit discovery.
This provision clarifies the control the judge exercises in resolving
discovery disputes, as there is currently no regulatory guidance on
this issue.
Sec. 18.53 Supplementing disclosures and responses.
The Department proposes to delete the current Sec. 18.16 and
replace it with proposed Sec. 18.53. The proposed Sec. 18.53 is
modeled after Fed. R. Civ. P. 26(e), Supplementing disclosures and
responses. This revision improves the clarity of the section while
retaining the same procedural requirements.
Sec. 18.54 Stipulations about discovery and procedure.
The Department proposes to delete the current Sec. 18.17 and
replace it with proposed Sec. 18.54. The proposed Sec. 18.54 is
modeled after Fed. R. Civ. P. 29, Stipulations about discovery and
procedure.
The revision improves the clarity of the section while retaining
the same procedural requirements. The Department proposes to clarify in
subdivision (b) that ``a stipulation extending the time for any form of
discovery must have the judge's approval if it would interfere with the
time set for completing discovery, for hearing a motion, or for a
hearing.''
Sec. 18.55 Using depositions at hearings.
The Department proposes to delete the current Sec. 18.23 and
replace it with the proposed Sec. 18.55. The proposed Sec. 18.55 is
modeled after Fed. R. Civ. P. 32.
The Department states a new procedure in proposed Sec. 18.55(a)
modeled after Fed. R. Civ. P. 32(a)(5), Limitations on use. The
Department proposes a specific provision, at proposed Sec.
18.55(a)(4), regarding depositions of experts, treating physicians, or
examining physicians. Deposition testimony from physicians is quite
commonly used in proceedings before the Department's administrative law
judges. The provision at current Sec. 18.23(a)(2) covers expert
witnesses, but does not address a treating physician (who is not
necessarily an expert retained to testify). The proposed rule codifies
current practice. Under proposed paragraph (a)(6)--the current Sec.
18.23(a)(6) is relocated to proposed Sec. 18.55(a)(8)--a deposition
may be used against any party who had reasonable notice of the
deposition. A deposition cannot be used against a party who received
less than 14 days' notice and who has filed a motion for a protective
order that was pending at the time of the deposition. Likewise, a
deposition cannot be used against a party who demonstrates an inability
to obtain counsel for representation at the deposition despite the
exercise of diligence. The provision in Fed. R. Civ. P. 32(a)(7), which
reflects the impact of FRCP on substitution of parties, has not been
included because the proposed rule does not address the issue of
substitution of a party. In general, except for situations where a
named party dies and a successor is substituted, there is no
substitution of parties in matters before OALJ. Successors to deceased
claimants in Black Lung and Longshore cases are not uncommon; these may
be covered under specific provisions. See, e.g., 20 CFR 725.360, 33
U.S.C. 919(f).
The Department proposes to add subdivision (c) to clarify that a
party must provide a transcript of any deposition testimony the party
offers. The judge may receive testimony in non-transcript form as well.
This addition codifies a current common procedure within OALJ.
The Department proposes to add subdivision (d), Waiver of
objections, with four new regulations. These regulations are modeled
after Fed. R. Civ. P. 32 and should be familiar federal practice to
attorneys. First, under paragraph (d)(1), To the notice, an objection
to an error or irregularity in a deposition notice is waived unless
promptly served in writing on the party giving notice. Second,
paragraph (d)(2), To the officer's qualification, provides that an
objection based on disqualification of the officer before whom a
deposition is to be taken is waived if not made before the deposition
begins or promptly after the basis for disqualification becomes known
or, with reasonable diligence, could have been known. The Department
proposes this regulation to be consistent with the federal rule;
however, officer disqualification rarely comes up in current practice.
Third, under subparagraph (d)(3)(C), Objection to a written
question, the Department proposes to clarify that an objection to the
form of a written question is waived if not served in writing on the
party which submitted the question within the time for serving a
responsive question or, if the question is a recross-question, within 7
days after being served with it. The current regulation, located in
current paragraph (b)(3), does not designate a set length of time a
party has to object to a written question.
Lastly, the Department proposes to add paragraph (d)(4), To
completing and returning the deposition, to clarify that an objection
to how the officer transcribed the testimony--or prepared, signed,
certified, sealed, endorsed, sent, or otherwise dealt with the
deposition--is waived unless a motion to suppress is made promptly
after the error or irregularity becomes known or, with reasonable
diligence, could have been known. This is not a procedural change from
the current Sec. 18.23(b)(2).
The Department proposes to delete the current subdivision (c)
because it does not align with the federal rule and is substantive
rather than procedural.
Sec. 18.56 Subpoena.
The Department proposes to delete the current Sec. 18.24 and
replace it with proposed Sec. 18.56. The proposed Sec. 18.56 is
modeled after Fed. R. Civ. P 45, Subpoena. Judges may issue subpoenas
only as authorized by a statute or law and the Department does not
propose any procedural changes to this rule. Instead, the Department
proposes this section to help litigants better understand the subpoena
process before OALJ.
The Department proposes to add form and content requirements for
subpoenas under paragraph (a)(2). Under this new provision, every
subpoena must state the title of the matter and, where applicable, show
the case number assigned by OALJ or the Office of Worker's Compensation
Programs (OWCP). In the event that the case number is an individual's
Social Security number only the last four numbers may be used. See
Sec. 18.31(a)(1). The subpoena must bear either the signature of the
issuing judge or the signature of an attorney authorized to issue the
subpoena under proposed paragraph (a)(3). The subpoena must command
each person to whom it is directed to do the following at a specified
time and place: attend and testify; produce designated documents,
electronically stored information, or tangible things in that person's
possession, custody, or control; or
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permit inspection of premises. The subpoena must set out the text of
proposed subdivisions (c) and (d) of this section.
The Department proposes to add the following provisions under
paragraph (a)(2). The proposed subparagraph (a)(2)(B) provides that a
subpoena commanding attendance at a deposition must state the method
for recording the testimony. The proposed subparagraph (a)(2)(C)
provides that a command to produce documents or to inspect premises may
be issued separately or joined with a command to appear to testify.
Under subparagraph (a)(2)(D), the Department proposes to clarify that a
subpoena can be used to obtain inspections, testing or samplings of the
property, documents, or electronic data of a non-party.
Under paragraph (a)(3), the Department proposes to permit subpoenas
to be issued by an attorney representative only when authorized by the
presiding judge. This provision applies only to representatives who are
attorneys. In the authorizing document, the presiding judge may limit
the parameters under which the authorized attorney may issue subpoenas.
Under subdivision (b), the Department proposes to clarify the
process of serving subpoenas. Under paragraph (b)(1), if the subpoena
commands the production of documents, electronically stored
information, or tangible things or the inspection of premises before
the formal hearing, then before it is served, a notice must be served
on each party. The purpose of such notice is to afford other parties an
opportunity to object to the production or inspection, or to serve a
demand for additional documents or things. In current practice, this
notice requirement from Fed. R. Civ. P. 45(b)(1) is stated on subpoenas
to produce documents, information or objects, or to permit inspection
of premises. Additionally, the proposed Sec. 18.56(b)(1) retains the
provision in the current Sec. 18.24(a) which allows parties to serve
subpoenas by certified mail.
Under paragraph (b)(1), if the subpoena requires a person's
attendance, the fees for 1 day's attendance and the mileage allowed by
law must be tendered with the subpoena. This is a procedural change as
the current Sec. 18.24(a) requires that fees to be paid ``in advance
of the date of the proceeding.''
Under paragraph (b)(2), the Department clarifies that subject to
proposed Sec. 18.56(c)(3)(A)(ii), a subpoena may be served at any
place within a State, Commonwealth, or Territory of the United States,
or the District of Columbia. Paragraph (b)(3) provides that 28 U.S.C.
1783 governs issuing and serving a subpoena directed to a United States
national or resident who is in a foreign country. Under paragraph
(b)(4), if necessary, service can be proved by the person making
service by filing with the judge a statement showing the date and
manner of service and the names of the persons served. This statement
must be certified by the server. This regulation does not establish any
cutoff or deadline for serving subpoenas. However, a subpoena for a
deposition or for the production of documents may be governed by the
discovery deadline.
The Department proposes to delete the current Sec. 18.24(b)
because under the proposed paragraph (c)(3) the presiding judge, rather
than the chief judge, has the power to quash or modify a subpoena if it
fails to allow a reasonable time to comply.
The Department proposes to expand the current subdivision (c) to
include other provisions that protect a person subject to a subpoena.
The core concept of the proposed subdivision is that an attorney or
representative responsible for requesting, issuing, or serving a
subpoena has a duty not to issue a subpoena for improper purposes or to
impose undue burden on the recipient of the subpoena. The proposed
subdivision (c) continues to provide the mechanisms for recipients of
subpoenas to challenge subpoenas. The cautionary language in Sec.
18.56(c) must be reprinted on every subpoena.
The Department proposes to clarify under paragraph (c)(1) that a
party or representative responsible for requesting, issuing, or serving
a subpoena must take reasonable steps to avoid imposing undue burden on
a person subject to the subpoena. The judge must enforce this duty and
may impose an appropriate sanction.
Under subparagraph (c)(2)(A), the Department proposes a new
regulation that a person subpoenaed to produce documents or things or
to permit an inspection need not actually appear at the designated
time, as long as the person complies with the subpoena, unless also
commanded to appear for the deposition or hearing. A person subpoenaed
to produce documents or things or to permit an inspection may serve an
objection to all or part of the subpoena within 14 days after service
of the subpoena (or before the time designated in the subpoena, if
sooner).
Once an objection has been served on the party issuing the
subpoena, the subpoena recipient is not obligated to comply with the
subpoena. Failure to serve timely objections may constitute a waiver of
objections to the subpoena other than objections relating to service.
Only non-parties may serve objections; parties must contest a subpoena
by a motion to quash or modify. If the subpoena recipient timely serves
an objection to the subpoena under Sec. 18.56(c)(2)(B), the serving
party may file a motion to compel production or inspection under Sec.
18.56(c)(2)(B)(i). This motion must be served on the subpoena recipient
as well. Under Sec. 18.56(c)(2)(B)(ii), the presiding judge may issue
an order compelling the subpoena recipient to comply with the subpoena
but the order must protect a person who is neither a party nor a
party's officer from significant expense resulting from compliance.
Under the proposed Sec. 18.56, a subpoena recipient may still move
to quash a subpoena under paragraph (c)(3). If the judge finds the
subpoena objectionable he or she may quash it altogether or modify it
to cure the objection. The Department proposes to delete the 10-day
time period for filing and answering a motion and instead use Fed. R.
Civ. P. 45(c)(3) as a model. Thus, under the proposed Sec. 18.56 a
motion to quash must be ``timely'' filed, and should certainly be filed
before the subpoena's return date. Failure to file a motion to quash
may constitute a waiver of objections to the subpoena. In subparagraph
(c)(3)(A) the Department proposes to list situations in which a
subpoena will be quashed or modified. These situations include: (i)
Failing to allow a reasonable time to reply; (ii) requiring a non-party
to travel too far; (iii) requiring disclosure of privileged or
protected information; and (iv) subjecting a person to undue burden.
Under subparagraph (c)(3)(B), the Department proposes to list
circumstances in which a subpoena will be quashed or modified unless
the serving party shows a ``substantial need'' for the testimony,
documents, or inspection. In such cases the judge will condition
compliance on the serving party compensating the recipient. This
subparagraph provides limited protection for trade secrets or other
confidential research, development, or commercial information. It
provides limited protection for unretained experts, so that parties
cannot obtain their testimony without paying their fees. It also
provides limited protection to nonparties who would incur substantial
expenses to travel more than 100 miles to attend a hearing.
The Department proposes to add a new regulation under subdivision
(d)--the current subdivision (d) is relocated to subdivision (e)--that
provides that documents may be produced as they are normally kept or
may be separated and
[[Page 72164]]
organized. When privileges are asserted, the privilege must be
expressly described. The cautionary language of Sec. 18.56(d) must be
reprinted on every subpoena.
The Department proposes that the scope of production under a
subpoena be the same as the scope of discovery generally under proposed
Sec. 18.51, Discovery scope and limits. The requirements also track
closely those imposed in Fed. R. Civ. P. 45. Under proposed
subparagraph (d)(1)(A), the Department proposes that the responding
party has the option of allowing the serving party to inspect and copy
the documents where they are normally kept or the party may collect the
responsive documents and organize and label them to correspond to the
categories in the demand. See Fed. R. Civ. P. 45(d)(1). The responding
party may make copies for the requesting party, but is not obligated to
do so. See Fed. R. Civ. P. 45(a)(1)(D).
Under subparagraph (d)(1)(B), the Department proposes to allow, but
not require, the requesting party to specify the form in which it is
requesting electronic data (i.e., hard copy or electronic; if
electronic, the precise manner of production). If the requesting party
does not specify the form, then the responding person must produce it
in the form in which it is ordinarily maintained in or in a form that
is reasonably usable. In any event, under proposed subparagraph
(d)(1)(C) a party need not produce electronic data in more than one
form. See Fed. R. Civ. P. 45(d)(1)(B) & (C).
Under subparagraph (d)(1)(D), the Department proposes that if the
responding party believes that the production of electronic data from
certain sources will cause undue burden or cost, the person can, in
lieu of producing the documents, identify those sources. If a motion to
compel or quash is filed, the responding party will have the burden of
showing that production would cause undue burden or cost. The burden
then shifts to the requesting party to show good cause why the data
should be produced nonetheless. In such cases, the judge may specify
conditions for the production. See Fed. R. Civ. P. 45(d)(1)(D).
Under paragraph (d)(2), the Department proposes that when a
subpoena recipient seeks to withhold information that is privileged,
the recipient must expressly claim the privilege and describe the
nature of the documents, communications, or tangible things not
produced in sufficient detail that the court and parties can assess the
privilege. Under subparagraph (d)(2)(B), the Department proposes to
establish a procedure to recall privileged information that has already
been produced in response to a subpoena. See Fed. R. Civ. P.
45(d)(2)(A) & (B).
The Department proposes to relocate the content from the current
subdivision (d) to subdivision (e) with no procedural changes.
Sec. 18.57 Failure to make disclosures or to cooperate in discovery;
sanctions.
The Department proposes to delete the current Sec. 18.21 and
replace it with proposed Sec. 18.57. The proposed Sec. 18.57 is
modeled after Fed. R. Civ. P. 37 and incorporates the current Sec.
18.6(d) and the current Sec. 18.15(a).
The proposed Sec. 18.57 provides the mechanisms for enforcing the
provisions of the other discovery rules by imposing sanctions on
parties who violate the discovery regulations. In general, sanctions
are imposed in a two-step process in which a party must first obtain an
order compelling discovery under proposed Sec. 18.57(a), and then move
for sanctions under proposed Sec. 18.57(b). If, however, the
responding party totally fails to respond to an entire discovery
request, the sanctions may be available immediately. The Department
proposes to grant judges greater discretion when imposing sanctions.
Under subdivision (a), the Department proposes to combine and
expand the regulations under current Sec. Sec. 18.6(d) and 18.21(a),
and 18.15(a). This subdivision covers motions to compel discovery and
motions to compel disclosure. A party may file a motion to compel under
Sec. 18.57(a)(2) after the opponent fails to make the automatic
disclosures required by Sec. 18.50(c), fails to respond to discovery
served pursuant to the discovery rules, or makes an improper or
incomplete disclosure or discovery response. When taking a deposition,
the party asking a question may complete or adjourn the examination
before moving for an order. Under proposed subdivision (a)(1), the
motion to compel must be accompanied by a certification that the movant
has in good faith conferred or attempted to confer with the other party
or person in an effort to resolve the dispute without the action of the
judge. This is a procedural change proposed by the Department to
encourage litigants to resolve matters amongst themselves and to help
reduce litigation expenses. In current practice, many judges encourage
parties to confer before filing certain motions.
The Department proposes to expand current Sec. 18.21(c) to apply
to evasive or incomplete disclosures in proposed Sec. 18.57(a)(3). As
under the current Sec. 18.21(d), if the motion to compel is denied the
judge may issue any protective order authorized under proposed Sec.
18.52.
The Department proposes to add Sec. 18.57(b), which sets forth the
sanctions that become available if a party or deponent fails to obey a
judge's order regarding discovery. Under this provision, a judge has
the discretion to impose one or more of the listed sanctions or any
other procedural sanction deemed appropriate, including: deeming facts
established; prohibiting evidence; striking pleadings; and issuing a
stay, dispositive ruling, or default judgment. The judge is not limited
to the sanctions listed under Sec. 18.57(b)(1) and may make any order
that is ``just.''
Under proposed Sec. 18.57(b)(2), if a party fails to comply with
an order under Sec. 18.62 to produce another for a mental or physical
examination, the party is subject to the same sanctions under Sec.
18.57(b)(1) that would apply if the party failed to appear, unless the
party can show that the party was unable to produce the individual.
The Department proposes to add Sec. 18.57(c), Failure to disclose,
to supplement an earlier response, or to admit, which is a procedural
change modeled after Fed. R. Civ. P. 37. Under this section, if a
party: (1) Fails to make the automatic disclosures under Sec. 18.50(c)
in a timely manner; (2) makes false or misleading disclosures; (3)
fails to supplement a prior discovery response as required by Sec.
18.53; or (4) fails to supplement a prior discovery request, the party
will not be permitted to use at trial or in a motion the documents,
information, or witnesses not properly disclosed, unless the party had
``substantial justification'' or the failure was harmless. Under Sec.
18.57(c), in addition to or in lieu of precluding the evidence, upon
motion and after an opportunity to be heard, the judge may impose other
appropriate sanctions, including any of the orders listed in Sec.
18.57(b)(1).
The sanctions under this provision apply to an improper statement
of inability to admit or deny, as well as to improper denial. The
sanctions in this subdivision do not apply to failure to respond to a
request for admissions because such a failure is deemed an admission.
The Department proposes to add Sec. 18.57(d), Party's failure to
attend its own deposition, serve answers to interrogatories, or respond
to a request for inspection. This subdivision provides that upon motion
sanctions are immediately available against a party who completely
fails to participate in the discovery process. For example,
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sanctions are available when the party fails to appear for the party's
deposition after being served with proper notice, fails to answer or
object to properly served interrogatories, or fails to serve a written
response to a properly-served request to inspect documents or things.
Thus, a judge's order is not a prerequisite to sanctions under this
subdivision. While this subdivision does not specify when the motion
for sanctions must be filed, it should be filed without ``unreasonable
delay'' or before the entry of the decision and order.
The proposed subparagraph (d)(1)(B) states that a motion for
sanctions under Sec. 18.57(d), for failure to respond to
interrogatories or requests for inspection, must include a
certification that the movant has in good faith conferred or attempted
to confer with the other party or person in an effort to obtain a
response without court action. Note that this requirement does not
apply to the failure to appear for a deposition.
The proposed paragraph (d)(2) states that a failure described in
Sec. 18.57(d)(1)(A) is not excused on the ground that the discovery
sought was objectionable, unless the party failing to act has a pending
motion for a protective order under Sec. 18.52(a). Under proposed
paragraph (d)(3), sanctions may include any of the orders listed in
Sec. 18.57(b)(1).
The Department proposes to add subdivision (e) to prohibit the
imposition of sanctions for failure to produce certain types of
electronically stored information, in the absence of exceptional
circumstances. The Department recognizes that certain types of
electronically stored information are lost during the regular operation
of a computer system and therefore parties should not be sanctioned for
failing to produce such data. An example of the type of data that is
contemplated by this provision is the metadata (or data about data)
that computers automatically store, such as the last time a document
was opened. Each time the document is opened the information that was
stored in that field is deleted and replaced by new data. A party would
not likely be sanctioned for the loss of the data when a document was
last opened.
The protections in proposed Sec. 18.57(e) are expressly limited to
the good-faith operation of the computer system. Thus, a party cannot
exploit the protections of this subdivision to deliberately delete
relevant information. Under certain circumstances, a party wishing to
require another party to preserve electronic data can write a letter to
the party placing it on notice that the electronic data may be relevant
and should be preserved, or can seek a preservation order from the
judge. If either action is taken, a party must suspend those features
of its computer system that result in the routine loss of information.
The Department proposes subdivision (f) to provide the procedure a
judge must follow in impose sanctions under this section. A judge may
impose sanctions under this section upon (1) a separately filed motion;
or (2) notice from the judge followed by a reasonable opportunity to be
heard.
The Department proposes to include the content from the current
Sec. 18.21(d) in the proposed Sec. 18.33(a).
Types of Discovery
Sec. 18.60 Interrogatories to parties.
The Department proposes to revise the current Sec. 18.18 and
renumber it as proposed Sec. 18.60. The proposed Sec. 18.60 is
modeled after Fed. R. Civ. P. 33 and should be read in conjunction with
proposed Sec. 18.51, which establishes the scope of all discovery
rules.
The Department proposes to change the current subdivision (a) to
state that unless otherwise stipulated or ordered by the judge, a party
may serve on any other party no more than 25 written interrogatories,
including all discrete subparts. Leave to serve additional
interrogatories may be granted to the extent consistent with proposed
Sec. 18.51. The Department proposes this change to model Fed. R. Civ.
P. 33 as the current Sec. 18.18 does not set a limit on the number of
written interrogatories a party may serve on another party.
The procedure for answering interrogatories is relocated from the
current subdivision (a) to proposed subdivision (b). The Department
proposes to delete the service and filing language from this section
because the Department is proposing Sec. 18.30, Service and Filing, to
cover the service and filing regulations before OALJ.
The Department proposes to relocate the current subdivision (c) to
proposed Sec. 18.60(a)(2), Scope. Under this proposed subpart, the
scope of interrogatories is the broad discovery available under Sec.
18.51; thus, an interrogatory may relate to any matter that may be
inquired into under proposed Sec. 18.51. Interrogatories may be served
after the parties have conducted the discovery conference under Sec.
18.51, or earlier if the judge so orders. In the proceedings listed in
Sec. 18.50(c)(1)(B) as exempted from initial disclosures, there is no
preliminary waiting period to serve interrogatories. The Part 18,
Subpart A rules do not set an outer limit on how late in the case
interrogatories may be served, but the judge may set such a limit.
The Department proposes subdivision (b), Answers and objections, to
provide the procedural requirements parties must adhere to in answering
and objecting to interrogatories. As under the current regulation, the
responding party must answer interrogatories separately and in writing
within 30 days after service.
Failure to serve a response in a timely manner may constitute a
waiver of all objections. Under subdivision (b) the Department
clarifies that the time period to answer may be shortened or extended
by written agreement under proposed Sec. 18.54, Stipulations about
discovery procedure. This subpart also clarifies that the grounds for
objecting to an interrogatory must be stated with specificity. Any
ground not stated in a timely objection is waived unless the judge, for
good cause, excuses the failure. This is a procedural change modeled
after Fed. R. Civ. P. 33.
The Department proposes to add a new subdivision (c) which provides
that an answer to an interrogatory may be used to the extent allowed by
the applicable rules of evidence. This reflects the varying evidentiary
requirements applicable to claims brought before OALJ. Interrogatory
answers are not admissions, but generally may be used as though made in
court by the party. Interrogatories may not be used to obtain
documents. Rather, a document request must be made under proposed Sec.
18.61, Producing documents, electronically stored information, and
tangible things, or entering onto land, for inspection and other
purposes. However, interrogatories may inquire about the existence of
documents and the facts contained therein. Documents may, under certain
circumstances, be produced in lieu of answering an interrogatory, as
discussed in proposed subdivision (d).
The Department proposes to add a new subdivision (d), Option to
produce business records. A party may produce business records in lieu
of answering an interrogatory when the burden of extracting the
requested information would be substantially equal for either party.
Only business records may be used in lieu of interrogatory answers;
thus, a party cannot produce pleadings or deposition transcripts
instead of answering an interrogatory. The responding party must
specify the records that must be reviewed in sufficient detail to
enable the interrogating party to locate and identify
[[Page 72166]]
them as readily as the responding party could. It is not sufficient to
state that the business records may contain the information. The
responding party must also give the interrogating party a reasonable
opportunity to examine and audit the records and to make copies,
compilations, abstracts, or summaries.
Sec. 18.61 Producing documents, electronically stored information, and
tangible things, or entering onto land, for inspection and other
purposes.
The Department proposes to revise the current Sec. 18.19 and
renumber it as proposed Sec. 18.61. The proposed Sec. 18.61 is
modeled after Fed. R. Civ. P. 34, Producing documents, electronically
stored information, and tangible things, or entering onto land, for
inspection and other purposes.
The Department is proposing a separate section, Sec. 18.62, for
physical and mental examinations; therefore, the language regarding
physical and mental examinations is not included in this proposed
section. The purpose of proposed Sec. 18.61 is to set forth the
procedures for obtaining access to documents and things within the
control of other parties, and for gaining entry upon other parties'
land for inspection. This proposed section should be read in
conjunction with proposed Sec. 18.51, which establishes the scope of
all discovery rules.
The proposed subdivision (a), like the current subdivision (a),
generally addresses the scope of document requests. This subpart states
that a party may serve on any party a request within the scope of Sec.
18.51. Generally, any relevant, non-privileged document is discoverable
unless it was prepared in anticipation of litigation, pertains to
expert witnesses, or would be unreasonably burdensome to produce.
``Documents'' is broadly defined to include all forms of recorded
information. For clarity, the proposed subdivision (a) lists writings,
drawings, graphs, charts, photographs, sound recordings, images, and
other data or data compilations as discoverable documents. Under the
proposed regulation, a party is generally not required to create
documents to meet a document request, but only to produce documents
already in existence.
The Department proposes to incorporate current subdivisions (c) and
(d) into proposed Sec. 18.61(b). These subparts are revised to improve
clarity but retain the same procedural requirements.
Under subdivision (b), the Department proposes to regulate the form
in which electronic data must be produced (i.e. hard copy or
electronic, and if electronic, the precise manner of production). This
regulation is not included in the current rule. It allows, but does not
require, the requesting party to specify the form in which it is
requesting electronic data. The responding party can then produce it in
that form or object and specify the form in which it will produce the
electronic data. If the requesting party does not specify the form,
then the responding party must produce it in the form in which it is
ordinarily maintained or in a form that is reasonably usable. Unless
the responding party is producing the data in the form specified by the
requesting party, the responding party must specify the form it intends
to use for production in its written response to the document request.
If the responding party objects to the form stated by the requesting
party, or if the requesting party is not satisfied with the form
specified by the responding party, then the parties must meet and
confer under Sec. 18.57(a)(1). Under any of these scenarios, a party
need not produce electronic data in more than one form.
The Department proposes to add a new regulation under subdivision
(c), Nonparties, as the current Part18A is silent on this issue.
Although document requests or requests for inspection cannot be served
on a non-party, documents or inspections can be obtained from a non-
party by a subpoena under proposed Sec. 18.56, Subpoenas.
The Department proposes to delete the service and filing language
in the current subdivision (f) because the Department is proposing
Sec. 18.30, Service and filing, to cover the service and filing
regulations before OALJ.
Sec. 18.62 Physical and mental examinations.
The Department proposes a new Sec. 18.62 modeled after Fed. R.
Civ. P. 35 to regulate physical and mental examinations. Physical and
mental examinations are currently covered by Sec. 18.19; however, due
to the high frequency of requests for physical and mental examinations
the Department determined that there is a need for a separate section
that sets forth the procedure for such requests.
The Department proposes to divide Sec. 18.62 into three subparts:
Examinations by motion, examinations by notice, and examiner's reports.
This proposal reflects the distinction between examination by notice
and examination by motion found in the federal rule.
The proposed subdivision (a) clarifies that a party may serve upon
another party whose mental or physical condition is in controversy a
notice to attend and submit to an examination by a suitable licensed or
certified examiner. This provision notifies parties they may serve a
request to attend and submit to an examination on another party only if
their mental or physical condition is in controversy. The examiner must
be licensed or certified to perform the examination.
The Department proposes to amend the content requirements of a
notice to attend a physical or mental examination, currently located
under Sec. 18.19(c)(4). The proposed paragraph (a)(2) provides that a
notice must specify: (A) The legal basis for the examination; (B) the
time, place, manner, conditions, and scope of the examination, as well
as the person or persons who will perform it; and (C) how the
reasonable transportation expenses were calculated.
The Department proposes to add the requirement that ``unless
otherwise agreed by the parties, the notice must be served no fewer
than 14 days before the examination date.'' The Department determined
that a 14-day notice period provides the person to be examined enough
time to make arrangements to attend the physical or mental examination
or file an objection. Under paragraph (a)(4), the person to be examined
must serve any objection to the notice no later than 7 days after the
notice is served. The objection must be stated with particularity.
Under the current Sec. 18.19, the party to be examined has 30 days to
object after service of the request. The Department proposes to shorten
the timeframe a party has to object in order to quickly resolve the
objection and expedite the proceedings.
Under subdivision (b), the Department proposes to provide the
procedure for objecting to an examination. Upon objection, the
requesting party may file a motion to compel a physical or mental
examination. The motion must include the elements required by Sec.
18.62(a)(2).
The Department proposes to provide the procedure for examiner's
reports under subdivision (c) in order to delete the reference to Fed.
R. Civ. P. 35(b) in the current Sec. 18.19(c)(4). The party who
initiated the examination must deliver a complete copy of the
examination report to the party examined, together with like reports of
all earlier examinations of the same condition. The examiner's report
must be in writing and must set out in detail the examiner's findings,
including diagnoses, conclusions, and the results of any tests.
[[Page 72167]]
Sec. 18.63 Requests for admission.
The Department proposes to revise the current Sec. 18.20 and
renumber it as proposed Sec. 18.63. The proposed Sec. 18.63 is
modeled after Fed. R. Civ. P. 36.
The Department proposes to combine the current subdivisions (b),
(c), and (d) into proposed subdivision (a). Under subdivision (a), the
Department proposes to establish the procedure whereby one party serves
requests for admission on another party, who must investigate and
either admit, deny with specificity, or object to each requested
admission.
The scope of requests for admission is the broad discovery
available under proposed Sec. 18.51. The proposed subdivision (a)
clarifies that a party may serve on any party a written request to
admit facts relating to facts, the application of law to facts, or
opinions about either.
Under paragraph (a)(2), Form; copy of a document, the Department
clarifies that each fact or matter for which admission is requested
should be set forth in a separate paragraph. All facts that are part of
the request should be set forth in the request--it is improper to
incorporate facts by reference to other text.
Proposed paragraph (a)(3), Time to respond; effect of not
responding, retains the same procedural requirements of current
subdivision (b) and clarifies that a shorter or longer time for
responding may be stipulated to under proposed Sec. 18.54 or be
ordered by the judge.
Proposed paragraph (a)(4), Answer, retains the same procedural
requirements of current subdivision (c) and clarifies that if a matter
is not admitted the answer must specifically deny it or state in detail
why the answering party cannot truthfully admit or deny it. A denial
must fairly respond to the substance of the matter; and when good faith
requires that a party qualify an answer or deny only a part of a
matter, the answer must specify the part admitted and qualify or deny
the rest.
Under proposed paragraph (a)(5), Objections, the grounds for
objecting to a request must be stated. A party must not object solely
on the ground that the request presents a genuine issue for hearing.
The proposed paragraph (a)(6) retains the same procedural requirements
of current subdivision (d).
The Department proposes to combine and relocate the current
subdivisions (e) and (f) to proposed subdivision (b), Effect of an
admission; withdrawing or amending it. There are no procedural changes
to these subparts; however, the proposed subdivision (b) clarifies that
a judge may permit withdrawal or amendment if it would promote the
presentation of the merits of the action and if the judge is not
persuaded that it would prejudice the requesting party in maintaining
or defending the action on the merits.
Sec. 18.64 Depositions by oral examination.
The Department proposes to revise the current Sec. 18.22 and
renumber it as proposed Sec. 18.64. The proposed Sec. 18.64 is
modeled after Fed. R. Civ. P. 30, Depositions by oral examination.
Under Sec. 18.64 the Department expands the procedures for taking
depositions by oral examination and this section must be considered in
conjunction with the other discovery rules, in particular proposed
Sec. 18.51 governing the scope of discovery. The Department's
regulations for depositions by written questions are located under
proposed Sec. 18.65.
The Department proposes to revise subdivision (a) to address when a
deposition may be taken. The language regarding how and by whom a
deposition may be taken in current subdivision (a) is relocated to
proposed subdivision (b). The Department proposes to limit the number
of depositions that parties may take to 10 depositions per side, absent
leave of the judge or stipulation with the other parties. Depositions
may be taken at any time after an initial notice or order is entered
acknowledging that the proceeding has been docketed at OALJ. If the
judge orders the parties to confer under proposed Sec. 18.50(b),
depositions must be taken within the time and sequence agreed upon by
the parties. The Department proposes to limit the number of depositions
to 10 to emphasize that representatives have an obligation to develop a
mutually cost-effective plan for discovery in the case. Leave to take
additional depositions should be granted when consistent with the
principles of proposed Sec. 18.51(b)(2), and in some cases the ten-
per-side limit should be reduced in accordance with those same
principles.
Under paragraph (a)(1), the Department clarifies that a deponent's
attendance may be compelled by subpoena under Sec. 18.56, Subpoena.
Leave of the judge is required to depose someone if the parties
have not stipulated to the deposition and (i) The deposition would
result in more than 10 depositions being taken under this section or
Sec. 18.65 by one of the parties; (ii) the deponent has already been
deposed in the case; or (iii) the party seeks to take the deposition
before the time specified in Sec. 18.50(a), unless the party certifies
in the notice, with supporting facts, that the deponent is expected to
leave the United States and be unavailable for examination in this
country after that time. Leave of the judge must be obtained in order
to take the deposition of a person confined to prison.
The Department proposes to combine current subdivisions (b) and (c)
into proposed subdivision (b), Notice of the deposition; other formal
requirements. The Department proposes to change the timeframes under
Sec. 18.64 to be consistent throughout Part18A. Under proposed
paragraph (b)(1), except as stipulated or otherwise ordered by the
judge, a party who wants to depose a person by oral questions must give
reasonable written notice to every other party of no fewer than 14
days. The current Sec. 18.22(c) provides that written notice must not
be less than 5 days when the deposition is to be taken in the
continental United States and not less than 20 days when the deposition
is to be taken elsewhere. Under paragraph (b)(1), the Department
proposes to clarify that if the name of the deponent is unknown, the
notice must provide a general description sufficient to identify the
person or the particular class or group to which the person belongs.
The Department proposes to delete the language in current
subdivision (b) requiring that the party giving notice state the name
of the person before whom the deposition is to be taken. The name of
the person before whom the deposition is to be taken is not relevant as
long as the person meets the requirements stated in the regulation.
The Department proposes to delete the filing language in the
current subdivision (c) because the Department is proposing Sec.
18.30, Service and filing, to cover the service and filing regulations
before OALJ.
The Department proposes to add several regulations to proposed
subdivision (b) that are not found in the current Sec. 18.22. These
provisions are modeled after Fed. R. Civ. P. 30(b)(2)-(b)(5) and come
into current practice through the federal rule. Under proposed
paragraph (b)(2), if a subpoena duces tecum is to be served on the
deponent, the materials designated for production, as set out in the
subpoena, must be listed in the notice or in an attachment. If the
notice to a party-deponent is accompanied by a request for production
under Sec. 18.61, the notice must comply with the requirements of
Sec. 18.61(b).
The Department proposes to regulate the method of recording
depositions under paragraph (b)(3). The notice of
[[Page 72168]]
deposition must specify the method of recording the deposition
testimony. Unless the judge orders otherwise, testimony may be recorded
by audio, audiovisual, or stenographic means. The noticing party bears
the recording costs. Any party may arrange to transcribe a deposition.
Under proposed subparagraph (b)(3)(B) with prior notice to the deponent
and other parties, any party may designate another method for recording
the testimony in addition to that specified in the original notice. The
party bears the expense of the additional recording or transcript
unless the judge orders otherwise.
Under proposed paragraph (b)(4), the Department clarifies that
parties may stipulate--or the judge may on motion order--that a
deposition be taken by telephone or other remote means. For the purpose
of this section, the deposition takes place where the deponent answers
the questions.
The Department proposes to regulate the officer's duties when
taking a deposition. Under proposed subparagraph (b)(5)(A), unless the
parties stipulate otherwise, a deposition must be conducted before a
person having power to administer oaths. The officer must begin the
deposition with an on-the-record statement that includes: (i) The
officer's name and business address: (ii) the date, time, and place of
the deposition; (iii) the deponent's name; (iv) the officer's
administration of the oath or affirmation to the deponent; (v) the
identity of all persons present; and (vi) the date and method of
service of the notice of deposition. Specifically, (b)(5)(A)(vi) is in
response to OALJ noticing that statements regarding notice are lacking
in depositions.
The proposed subparagraph (b)(5)(B), provides that if the
deposition is not recorded stenographically, the officer must repeat
the items in proposed Sec. 18.64(b)(5)(A)(i)-(iii) at the beginning of
each unit of the recording medium. The deponent's and attorneys'
appearance or demeanor must not be distorted through recording
techniques.
The proposed subparagraph (b)(5)(C), provides that at the end of a
deposition, the officer must state on the record that the deposition is
complete and must set out any stipulations made by the attorneys about
custody of the transcript or recording and of the exhibits, or about
any other pertinent matters.
The proposed paragraph (b)(6) provides that in its notice or
subpoena, a party may name as the deponent a public or private
corporation, a partnership, an association, a governmental agency, or
other entity and must describe with reasonable particularity the
matters for examination. The named organization must then designate one
or more officers, directors, or managing agents, or designate other
persons who consent to testify on its behalf; and it may set out the
matters on which each person designated will testify. A subpoena must
advise a nonparty organization of its duty to make this designation.
The persons designated must testify about information known or
reasonably available to the organization. This paragraph (6) does not
preclude a deposition by any other procedure allowed by these rules.
The Department proposes to incorporate a revised version of current
subdivision (d) into proposed subdivision (c), Examination and cross-
examination; record of the examination; objections; written questions.
Proposed subdivision (c) clarifies that after putting the deponent
under oath or affirmation, the officer must record the testimony by the
method designated under Sec. 18.64(b)(3)(A). The testimony must be
recorded by the officer personally or by a person acting in the
presence and under the direction of the officer.
Under paragraph (c)(2), Objections, the Department proposes to add
that an objection at the time of the examination-- whether to evidence,
to a party's conduct, to the officer's qualifications, to the manner of
taking the deposition, or to any other aspect of the deposition--must
be noted on the record, but the examination still proceeds; the
testimony is taken subject to any objection. An objection must be
stated concisely in a nonargumentative and nonsuggestive manner. A
person may instruct a deponent not to answer only when necessary to
preserve a privilege, to enforce a limitation ordered by the judge, or
to present a motion under Sec. 18.64(d)(3).
Under paragraph (c)(3), Participating through written questions,
the Department clarifies that instead of participating in the oral
examination, a party may serve written questions in a sealed envelope
on the party noticing the deposition, who must deliver them to the
officer. The officer must ask the deponent those questions and record
the answers verbatim.
The Department proposes to delete the language in current Sec.
18.22(d) regarding use of depositions at hearing because the Department
is proposing section Sec. 18.55, Using depositions at hearing.
The Department proposes to add subdivision (d), Duration; sanction;
motion to terminate or limit, which incorporates current subdivision
(e). The duration of depositions is not currently addressed by Part 18,
Subpart A. Proposed subdivision (d), modeled after Fed. R. Civ. P.
30(d), provides for a 7-hour time limit on depositions, which may be
extended by the judge's order. This subdivision also provides
protections from unreasonable or vexatious examination during a
deposition.
Under paragraph (d)(2) the judge may impose an appropriate
sanction, in accordance with proposed Sec. 18.57, on a person who
impedes, delays, or frustrates the fair examination of the deponent.
Under proposed subparagraph (d)(3)(A), the Department clarifies that at
any time during a deposition, the deponent or a party may move to
terminate or limit it on the ground that it is being conducted in bad
faith or in a manner that unreasonably annoys, embarrasses, or
oppresses the deponent or party. If the objecting deponent or party so
demands, the deposition must be suspended for the time necessary to
obtain an order.
The Department proposes to relocate the language in the current
Sec. 18.22(e) regarding objections to the deposition conduct or
proceeding to proposed Sec. 18.55(b) and (d).
The Department proposes to add a new regulation under subdivision
(e), Review by the witness; changes, modeled after Fed. R. Civ. P.
30(e). Under paragraph (e)(1), on request by the deponent or a party
before the deposition is completed, the deponent must be allowed 30
days after being notified by the officer that the transcript or
recording is available in which: (A) To review the transcript or
recording; and (B) if there are changes in form or substance, to sign a
statement listing the changes and the reasons for making them. Under
paragraph (e)(2) the officer must note in the certificate prescribed by
proposed Sec. 18.64(f)(1) whether a review was requested and, if so,
must attach any changes the deponent makes during the 30-day period.
The Department proposes to add a new regulation under subdivision
(f), Certification and delivery; exhibits; copies of the transcript or
recording; filing. This subdivision provides that the officer must
certify in writing that the witness was duly sworn and that the
deposition transcript was a true record of the testimony given by the
deponent. The certificate must accompany the record of the deposition.
Unless the judge orders otherwise, the officer must seal the deposition
in an envelope or package bearing the title of the action and marked
``Deposition of [witness's name{time} '' and must promptly send it to
the party or the party's representative
[[Page 72169]]
who arranged for the transcript or recording. The party or the party's
representative must store it under conditions that will protect it
against loss, destruction, tampering, or deterioration.
Proposed subparagraph (f)(2)(A) provides that documents and
tangible things produced for inspection during a deposition must, on a
party's request, be marked for identification and attached to the
deposition. Any party may inspect and copy them. However, if the person
who produced them wants to keep the originals, the person may: (i)
Offer copies to be marked, attached to the deposition, and then used as
originals--after giving all parties a fair opportunity to verify the
copies by comparing them with the originals; or (ii) give all parties a
fair opportunity to inspect and copy the originals after they are
marked--in which event the originals may be used as if attached to the
deposition. Any party may move for an order that the originals be
attached to the deposition pending final deposition or the proceeding
under proposed subparagraph (f)(2)(B).
Proposed paragraph (f)(3) provides that unless otherwise stipulated
or ordered by the judge, the officer must retain the stenographic notes
of a deposition taken stenographically or a copy of the recording of a
deposition taken by another method. When paid reasonable charges, the
officer must furnish a copy of the transcript or recording to any party
or the deponent. Proposed paragraph (f)(4) provides that a party who
files the deposition must promptly notify all other parties of the
filing. But depositions are not ordinarily filed. See proposed Sec.
18.30(b)(1)(B).
The Department proposes to add a new regulation under subdivision
(g), Failure to attend a deposition or serve a subpoena. This provision
provides for a judge to order sanctions, in accordance with Sec.
18.57, if a party who, expecting a deposition to be taken, attends in
person or by an attorney, and the noticing party failed to: (1) Attend
and proceed with the deposition; or (2) serve a subpoena on a nonparty
deponent, who consequently did not attend. This sanction is permissive.
Sec. 18.65 Depositions by Written Questions.
The Department proposes to add a new Sec. 18.65 modeled after Fed.
R. Civ. P. 31. The Department proposes a new section to provide the
procedure for taking depositions by written questions because the
current Part 18, Subpart A rules do not specifically mention
depositions by written questions. The current Sec. 18.19 addresses
written interrogatories to a party and the current Sec. 18.22(a)
states that ``[d]epositions may be taken by oral examination or upon
written interrogatories before any person having power to administer
oaths.'' The current Sec. 18.22(a) also provides that ``[d]epositions
may be taken of any witness * * * .'' Since there is a specific rule
addressing written interrogatories to a party, the Department
determined that the current Sec. 18.22 contemplates taking written
depositions of any witness.
The proposed subdivision (a) addresses when a deposition may be
taken. Any party may take depositions by serving written questions,
which are asked by the deposition officer (stenographer) and answered
orally by the witness. A party seeking to take a deposition by written
questions must serve a notice on all other parties stating the name and
address of the deponent, if known, or other general description
sufficient to identify the deponent and providing the name or title and
address of the stenographer or officer before whom the deposition will
be taken.
The notice of written deposition may be served at any time after
the parties have conducted the discovery conference under Sec.
18.50(b), or earlier with leave of the judge. In proceedings listed in
proposed Sec. 18.51(c)(1)(B) as exempted from initial disclosures,
there is no preliminary waiting period for written depositions. The
latest time to conduct a deposition upon written questions will be
governed by the judge's scheduling order. Subpoenas must be used to
compel non-party witnesses.
The written deposition questions for direct examination are served
upon all parties with the notice. Within 14 days of service of the
notice and direct examination questions, any other party may serve
cross-examination questions. The noticing party may then serve redirect
examination questions within 7 days, and the other party may serve re-
cross examination questions within 7 more days. The judge may shorten
or lengthen these time periods upon motion and for cause shown. All
questions must be served on all parties.
All parties, including third-party respondents, are limited to 10
depositions total, by written and/or oral examination. This number may
be increased by stipulations or leave of the judge. Leave of the judge
is required to depose someone a second time. If a deponent is in
prison, leave of the judge is required to take a written deposition.
The scope of the written questions is the same as oral questions, and
is controlled by proposed Sec. 18.50. Objections to the form of a
written question must be served in writing upon the party propounding
the question within the time for serving succeeding questions and
within 5 days of the last questions authorized.
Under proposed subdivision (b), unless a different procedure is
ordered by the judge, the party who noticed the deposition must deliver
to the officer a copy of all the questions served and a copy of the
notice. The officer then promptly proceeds in the manner provided in
proposed Sec. 18.64 (c), (e), and (f) to take the deponent's testimony
in response to the questions; prepare and certify the deposition; and
send it to the party, attaching a copy of the questions and of the
notice. A transcript is then prepared and submitted to the witness as
provided in Sec. 18.64 governing oral depositions.
Under proposed subdivision (c), the party who noticed the
deposition must notify all other parties when it is completed. A party
who files the depositions must promptly notify all other parties of the
filing. But depositions are not ordinarily filed. See proposed Sec.
18.30(b)(1)(B).
Disposition Without Hearing
Sec. 18.70 Motions for dispositive action.
The Department determined that Part 18, Subpart A does not
currently address all of the potential dispositive motions available to
the parties. The Department proposes to add Sec. 18.70, Motions for
dispositive action, to provide the regulations for filing dispositive
motions in a single section. This proposed section codifies current
practice and does not model a particular federal rule. The Department
determined that motions for summary decision should remain a separate
section because of the multiple requirements for filing and deciding a
motion for summary decision and the need for that section to stand out
among the rest.
Under proposed subdivision (a), when consistent with statute,
regulation or executive order, any party may move under proposed Sec.
18.33 for disposition of the pending proceeding. If the judge
determines at any time that subject-matter jurisdiction is lacking, the
judge must dismiss the matter.
Under proposed subdivision (b), a party may move to remand the
matter to the referring agency when not precluded by statute or
regulation. A remand order must include any terms or conditions and
should state the reason for the remand.
Under proposed subdivision (c), a party may move to dismiss part or
all of the matter for reasons recognized under
[[Page 72170]]
controlling law, such as lack of subject-matter jurisdiction, failure
to state a claim upon which relief can be granted, or untimeliness. If
the opposing party fails to respond, the judge may consider the motion
unopposed.
Under the proposed subdivision (d), when the parties agree that an
evidentiary hearing is not needed, they may move for a decision based
on stipulations of fact or a stipulated record.
Sec. 18.71 Approval of settlement and consent findings.
The Department proposes to revise the current Sec. 18.9 and
renumber it as proposed Sec. 18.71.
The current Sec. 18.9, Settlement judge procedure, addresses three
topics: (1) Motions for consent findings and order; (2) approval of
settlement agreements; (3) and the settlement judge procedure. The
Department proposes that new Sec. 18.71 provide the regulations for
approval of settlement agreements and motions for consent findings and
order. The Department proposes to address the settlement judge
procedure in proposed Sec. 18.13, Settlement judge procedure.
In subdivision (a) the Department proposes to clarify when a party
must submit a settlement agreement for the judge's review and approval.
The Department does not propose any procedural changes from the current
Sec. 18.9.
In subdivision (b) the Department proposes to clarify when a party
may file a motion for consent findings and what the order must contain.
The Department does not propose any procedural changes from the current
Sec. 18.9.
Sec. 18.72 Summary decision.
The current Part 18, Subpart A contains two sections, Sec. Sec.
18.40 and 18.41, that address summary decision. The Department
determined these sections are repetitive and inadequately organized
and, therefore, proposes Sec. 18.72, Summary decision, to address
summary decision in a single section. The proposed Sec. 18.72 is
modeled after Fed. R. Civ. P. 56 (December 2010 amendment).
In addition to the significant stylistic changes, the Department
proposes several procedural changes in Sec. 18.72. Under subdivision
(b), the Department proposes to change the time requirements for filing
and responding to motions for summary judgment. The current Sec.
18.40(a) provides that a party may, at least 20 days before the date
fixed for any hearing, file a motion for summary judgment. It states
that any other party may within 10 days after service of the motion,
serve opposing affidavits or countermove for summary judgment. The
Department proposes to increase the timeframe for filing motions for
summary decision to 30 days before the date fixed for the formal
hearing.
Parties should refer to proposed Sec. 18.33 for the procedure on
responding to motions. Under proposed Sec. 18.33(d), the Department
proposes to increase the number of days a party has to respond to a
motion from 10 days to within 14 days from the date of service. Given
the increased timeframe a party has to file an opposition or other
response to a motion, the time for filing a summary decision motion
must be extended to allow the judge an acceptable period of time to
rule on the motion. If a motion is filed 30 days prior to the hearing
date and the opposing party files an opposition or other response 14
days after receiving the motion, the judge will generally have adequate
time to rule on the motion before the hearing date.
The current Sec. 18.40(a) permits a party to ``move with or
without supporting affidavits for a summary decision * * *.'' Under
paragraph (c)(1), the Department proposes to require a party to cite
specific parts of the record to support or oppose the motion. This
proposed change comports with the standard the judge uses to review the
motion, ``that there is no genuine dispute as to any material fact and
the movant is entitled to decision as a matter of law.''
The last sentence of the current Sec. 18.40(a) states that the
administrative law judge may set the matter for argument and/or call
for submission of briefs. The Department proposes to relocate this
language to proposed Sec. 18.33(d).
The current Sec. 18.40(b) states the procedure for filing and
serving a motion for summary judgment. This provision is not included
in the proposed Sec. 18.72 because the service and filing of papers is
covered by proposed Sec. 18.30, Service and filing.
Under subdivision (c), the Department proposes a revised version of
the current Sec. 18.40(c). This subdivision applies to both the moving
and nonmoving party. Under paragraph (c)(4) the Department proposes to
clarify that ``an affidavit or declaration used to support or oppose a
motion must be made on personal knowledge, set out facts that would be
admissible in evidence, and show that the affiant or declarant is
competent to testify on the matters stated.''
Under subdivision (d), the Department proposes a revised version of
current Sec. 18.40(d). The Department proposes to provide the judge
with more options when a moving party denies access to information
during discovery. In addition to denying the motion for summary
decision, the judge may permit more time for discovery, or issue any
other appropriate order.
The Department proposes to address three new topics under
subdivisions (f), (g), and (h). Under subdivision (f), the Department
proposes to clarify that after giving notice and a reasonable time to
respond, the judge may: (1) Grant summary decision for a nonmovant; (2)
grant the motion on grounds not raised by a party; or (3) consider
summary decision on the judge's own after identifying for the parties
material facts that may not be genuinely disputed. Under the current
regulations, a judge who considers summary decision on his or her own
must reference Fed. R. Civ. P. 56 in order to order summary judgment
without a motion from the parties. The addition of this power within
this proposed section allows the judge to rely on the Department's
regulations.
The Department does not propose to change the power a judge has to
issue an order granting partial summary judgment. Under this proposed
subdivision, the Department proposes a procedure that the judge and
parties must follow in the hearing after the judge grants partial
summary judgment. The judge may enter an order stating any material
fact--including an item of damages or other relief--that is not
genuinely in dispute and treat the fact as established in the case.
Under proposed subdivision (h), the Department proposes to address
the actions a judge may take if an affidavit or declaration is
submitted in bad faith. These remedies are part of the judge's power to
regulate the hearing under the Administrative Procedure Act.
The Department proposes to delete the language in the current Sec.
18.41(a)(2) stating what a summary judgment decision must contain. The
Department proposes Sec. 18.92, Decision and order, to regulate the
contents of summary judgment decisions.
The Department proposes to relocate the language from the current
Sec. 18.41(b) to the proposed 18.33(g) Motion hearing.
Hearing
Sec. 18.80 Prehearing statement.
The Department proposes to revise the current Sec. 18.7 and
renumber it as proposed Sec. 18.80.
Under subdivision (a), the Department proposes to add the
requirement that a participating party file a prehearing statement at
least 21 days prior to the
[[Page 72171]]
date set for hearing, unless the judge orders otherwise. The current
Sec. 18.7 does not have a timeframe for filing prehearing statements.
However, judges typically include a timeframe in prehearing orders. It
is not the Department's intention to require the applicable
Department's agency to file a pre-hearing statement when it is not
actively participating in the proceeding. For example, in a Black Lung
claim in which an employer has been identified as the responsible
operator, the Office of Workers' Compensation Programs, though a party-
in-interest, does not normally take an active role. In such
circumstance it is not necessary for the Department's representative to
file a pre-hearing statement.
The Department proposes to add a new provision under subdivision
(b) that requires the parties confer in good faith to stipulate to
facts to the fullest extent possible and to prepare exhibit lists prior
to filing prehearing statements. The Department proposes this change to
help narrow the issues to be addressed at hearing and eliminate
unnecessary travel for potential witnesses.
Under subdivision (c), the Department proposes to provide a revised
version of the content requirements for a prehearing statement from the
current Sec. 18.7(b). The Department proposes to add that the
prehearing statement must include a statement of the relief sought, a
list of the party's exhibits and the joint exhibits. Otherwise, the
content requirements remain procedurally the same as those in the
current Sec. 18.7.
The Department proposes to add a new regulation under subdivision
(d) that permits the judge to require a joint prehearing statement
instead of individual prehearing statements by the parties.
The Department proposes to add a new regulation under subdivision
(e) that requires a party to file objections to an opposing party's
proposed exhibits or use of deposition testimony within 14 days of
being served. A party's failure to object waives the objection unless
the judge finds good cause for the failure to object.
Sec. 18.81 Formal hearing.
The Department proposes to revise the current Sec. 18.43 and
renumber it as proposed Sec. 18.81. The proposed Sec. 18.81 is
modeled after Fed. R. Civ. P. 43.
The Department proposes to revise the current subdivision (a) to
more accurately address the situations when a hearing would be closed
to the public. The current subdivision (a) states that hearings may be
closed to the public when it is in the ``best interests of the parties,
a witness, the public or other affected persons.'' The Department
proposes to delete this language and instead state that hearings may be
closed to the public ``when authorized by law and only to the minimum
extent necessary.'' The proposed change states the standard a judge
will apply when determining whether to close all or part of a hearing.
The applicable law does not suggest that hearings are closed based on
the ``best interests'' of the parties. Further, the presumption of open
hearings is supported by the requirement that a judge close a hearing
only to the minimum extent possible. The proposed subdivision (a)
clarifies that the judge's order closing the hearing must explain why
the reasons for closure outweigh the presumption of public access to
the hearing. The Department proposes to clarify that the judge may also
close the hearing to anticipated witnesses. Parties would not be
excluded, however. See Fed. R. Evid. 615 cmt.
The Department proposes to delete current subdivisions (b) and (c).
The judge's jurisdiction to decide all issues of fact and related
issues of law is addressed by proposed Sec. 18.12, Proceedings before
administrative law judge. Amendments to conform to the evidence is
addressed by proposed Sec. 18.36, Amendments after referral to the
Office of Administrative Law Judges, and the note referring the parties
to Fed. R. Civ. P. 15.
The Department proposes to model a new subdivision (b) after Fed.
R. Civ. P. 43(a). The proposed subdivision (b) requires that a witness
testify in an open hearing. However, a judge may permit testimony in an
open hearing by contemporaneous transmission from a different location
``for good cause and with appropriate safeguards.'' The Department
determined that if a witness needs to testify remotely, the witness or
party must show good cause, instead of having to show compelling
circumstances, which is the higher legal standard set forth in Fed. R.
Civ. P. 43(a). The Department's decision to set a lesser standard is
not intended to diminish the importance of presenting live testimony in
hearings. The very ceremony of a hearing and the presence of the
factfinder may exert a powerful force for telling the truth. However,
in contrast to the federal courts, OALJ has more relaxed evidentiary
standards. Hearings take place worldwide and are not constrained by the
concept of ``venue.'' Appropriate safeguards will be addressed by the
judge in the prehearing order or conference and may include the
exchange of exhibits and assurances that the witness will not be
coached during the testimony.
Similarly, the Department proposes a new subdivision (c) to permit
a party to participate in an open hearing by contemporaneous
transmission from a different location for good cause and with
appropriate safeguards. This provision accounts for the fact that some
cases involve parties located outside the United States or in other
remote locations that are unable to attend hearings in person.
Subdivisions (b) and (c) are not intended to suggest that
contemporaneous transmission is routine practice. The presiding judge
may require advance notice to determine whether good cause exists.
Sec. 18.82 Exhibits.
The Department proposes to revise the current Sec. Sec. 18.47
through 18.50 as part of the general restyling of the Part 18, Subpart
A rules of procedure. The current Sec. Sec. 18.47 through 18.50 are
combined into a single section covering exhibits, proposed Sec. 18.82.
The Department proposes to relocate the language from the current
Sec. 18.47 to subdivisions (a), Identification, (b), Electronic data,
(c), Exchange of exhibits, and (e), Substitution of copies for original
exhibits, in Sec. 18.82. In subdivision (a), the Department proposes
to add a provision stating that the exhibits should be numbered and
paginated as the judge directs. The Department determined that this
requirement is sufficiently broad to cover the variety of judges'
preferences for organizing exhibits, so that references in the
testimonial record to exhibit pages will be clear.
The Department proposes to relocate the language from the current
Sec. 18.48 to proposed subdivision (g), Records in other proceedings.
The Department proposes to revise the structure of this subdivision for
clarity, but does not propose any procedural changes.
The Department proposes to relocate the language from the current
Sec. 18.49 to proposed subdivision (f), Designation of parts of
documents. The Department proposes to revise the structure of this
subdivision and delete the redundant language. The Department proposes
to revise the first sentence to emphasize the procedure for excluding
irrelevant material. The second sentence is deleted as a matter left to
each judge's discretion and because other rules will apply to
submitting evidence and marking exhibits.
The Department proposes to relocate the language from current Sec.
18.50 to proposed subdivision (d), Authenticity. The Department
proposes to revise the structure of this subdivision to improve
[[Page 72172]]
clarity, but does not propose any procedural changes.
Under subdivision (b), Electronic data, the Department proposes
that ``by order the judge may prescribe the format for the submission
of data that is in electronic form.''
Sec. 18.83 Stipulations.
The Department proposes to revise the current Sec. 18.51, renumber
it as proposed Sec. 18.83, and include it under subdivision (a). The
Department does not propose any procedural changes to this subpart.
The Department proposes to add new regulations under subdivisions
(b) and (c). These provisions are based on current practice as
stipulations typically result from a judge's order. The proposed
subdivision (b) applies to extensions of time not covered by proposed
Sec. Sec. 18.33, Motions and other papers, and 18.41, Continuances and
changes in place of hearing. The new provision states that ``[e]very
stipulation that requests or requires a judge's action must be written
and signed by all affected parties or their representatives. Any
stipulation to extend time must state the reason for the date change.''
Under proposed subdivision (c), the Department proposes that ``[a]
proposed form of order may be submitted with the stipulation; it may
consist of an endorsement on the stipulation of the words, `Pursuant to
stipulation, it is so ordered' with spaces designated for the date and
the signature of the judge.''
Sec. 18.84 Official notice.
The Department proposes to revise the current Sec. 18.45 and
renumber it as proposed Sec. 18.84.
Under this section, the Department proposes to clarify the
procedures a judge must follow when taking official notice. The
Department proposes that official notice may be taken on motion of a
party or on the judge's own. The current Sec. 18.45 states that
official notice may be taken on ``any material fact, not appearing in
evidence in the record, which is among the traditional matters of
judicial notice.'' This proposed change clarifies that official notice
may be taken of any ``adjudicative fact or matter subject to judicial
notice.''
The proposed Sec. 18.63, Request for admission and the current
Sec. 18.201, Official notice of adjudicative facts, do not require
advance notice before the judge takes official notice, but rather an
opportunity to be heard. The Department, therefore, decided not to
propose an advance notice requirement in this section. In some
situations the judge may take official notice of a noncontroversial
fact that was omitted in the evidence without noticing the parties
before issuing a decision and order. The parties have an opportunity to
be heard after the order is issued.
Sec. 18.85 Privileged, sensitive, or classified materials.
The Department proposes to revise the current Sec. Sec. 18.46 and
18.56 and combine them into a single section, proposed Sec. 18.85,
covering privileged, sensitive, or classified material.
The Department proposes to relocate the content from the current
Sec. 18.46 to subdivision (a). The current Sec. 18.46 addresses
several topics: (1) Limiting discovery and the introduction of evidence
based on claims of privilege; (2) limiting the introduction of evidence
based on claims of classified or sensitive information; (3) providing a
summary or extracted version of a document to limit disclosures of
classified or sensitive material; (4) permitting access to classified
or sensitive matters despite their nature; and (5) requiring a
representative to seek a security clearance in order to view the
information.
The proposed subdivision (a) is more limited in scope than the
current Sec. 18.46. The procedures to limit the scope of discovery
based on claims of privilege or sensitive information are addressed by
proposed Sec. Sec. 18.51, Discovery scope and limits, and 18.52,
Protective orders. Accordingly, the references to limiting discovery in
current subdivision (a) and paragraph (b)(1) are deleted.
The references to obtaining a security clearance in current
paragraph (b)(2) are also deleted. The need for a participant in a
hearing to obtain a security clearance is a rare event before OALJ. The
Part 18, Subpart A rules are designed to apply to the typical types of
cases heard by OALJ; the rules do not address all of the exceptions or
possibilities that may occur in specific cases. Further, the process
for seeking a security clearance would be determined by the federal
agency holding the classified or sensitive information. OALJ does not
independently facilitate a security clearance process. For these
reasons, the references to obtaining a security clearance are deleted
from proposed Sec. 18.85.
The Department proposes to relocate the content from the current
Sec. 18.56 to subdivision (b). The proposed rule retains the option
provided in current subdivision (a) that a party or the judge may move
to seal a portion of the record. This section continues to require that
the sealed portion of the record be clearly marked and maintained
separately from other parts of the record in the case.
The proposed subdivision (b) imposes new requirements on parties.
When filing a motion to seal the record, a party must propose a
redaction no broader than necessary for inclusion in the public record.
If the movant finds that a redaction would be so extensive as to make
the material meaningless, the movant must file a summary of the
material to be included in the public record. The requirement of filing
a redacted copy or summary along with the motion to seal the record
ensures that the public continues to have access to as much information
as possible regarding the proceedings.
Under paragraph (b)(2), if the judge issues an order sealing all or
part of the record, the judge must explain why the need to seal part of
the record outweighs the presumption of public access. A redacted
version or summary of the material must be included in the record
unless the redactions make the public version of the material
meaningless, or if the redacted version or summary defeats the reason
the original is sealed. Notwithstanding the judge's order, all parts of
the record remain subject to statutes and regulations pertaining to
public access to agency records.
Sec. 18.86 Hearing room conduct.
The Department proposes to revise the current Sec. 18.37 and
renumber it as proposed Sec. 18.86.
The first sentence of the current Sec. 18.37 states that
proceedings are to be conducted in an orderly manner. The Department
proposes to amend this sentence to directly address how participants
must conduct themselves during a hearing, instead of generally stating
how the hearing should be managed. The proposed change provides direct
instructions to the participants.
The Department proposes to retain the prohibition on food and
beverage consumption and the rearranging of furniture in the hearing
location. The Department proposes to delete the reference to smoking.
Prohibitions on smoking in public places, specifically hearing
locations, are more ubiquitous than in 1983 when the current Part 18,
Subpart A was adopted. A specific prohibition in Part 18, Subpart A,
therefore, is not required.
The Department proposes to add a prohibition on disrupting
proceedings with electronic devices. This addition is a result of
changing technology since the current Part 18, Subpart A was adopted.
Electronic devices and their use can be distracting and disruptive
during a hearing. Accordingly, limiting
[[Page 72173]]
the use and noise produced by electronic devices facilitates the
orderly conduct of a hearing. Parties, witnesses and spectators are
also prohibited from using video or audio recording devices to record
hearings.
Sec. 18.87 Standards of conduct.
The Department proposes to revise the current Sec. 18.36 and
renumber it as proposed Sec. 18.87.
The Department proposes to divide the current subdivision (b) into
two subdivisions: (b), Exclusion for misconduct, and (c), Review of
representative's exclusion. Under 18.87 (b), the Department proposes to
define the types of conduct that may result in a party or the party's
representative being excluded from a proceeding.
Under subdivision (c), the Department proposes to provide the
procedure a party's representative must initiate in order to be
reinstated as a representative in a particular matter. The current
Sec. 18.36 does not indicate a time period in which the representative
must seek reinstatement. The Department proposes a 7-day time period
for a representative to request reinstatement. Seven days is proposed
so as not to create too long a delay in proceeding with the claim.
Sec. 18.88 Transcript of proceedings.
The Department proposes to revise the current Sec. 18.52 and
renumber it as proposed Sec. 18.88.
The Department proposes to limit the application of this section to
hearing transcripts and corrections to the transcript. The Department,
therefore, proposes to delete the second and third sentences of the
current subdivision (a). The second sentence refers to the basis of the
judge's decision, which is controlled by sec. 557(b) of the APA.
Because this current provision is covered by a statute, it is
unnecessary to include the provision in the proposed Sec. 18.88. The
Department propose to delete the references to exhibits in the third
sentence because the identification, marking, and inclusion of exhibits
in the record are addressed by proposed Sec. 18.82, Exhibits.
The Department proposes to amend the first sentence of the current
subdivision (a) to require that all hearings be recorded and
transcribed. The Department proposes to delete the methods of recording
and transcription in recognition of the variety of technologies used to
record and transcribe proceedings. The deletion, however, does not
alter the meaning or application of the rule. The rule continues to
require a transcript of a hearing.
Under subdivision (b), the Department proposes to extend the time
permitted to file a motion to correct a transcript to 14 days. The
current subdivision (b) requires that a party file the motion within 10
days of receipt of the transcript. This change to 14 days comports with
the general revision to set time periods based on multiples of 7.
The Department proposes to add a new provision under subdivision
(b) to permit a judge to correct a transcript on his or her own,
without a prior motion from a party, prior to issuing a decision. If a
judge corrects the transcript, the judge must provide notice to the
parties.
Post Hearing
Sec. 18.90 Closing the record; additional evidence.
The Department proposes to revise the current Sec. Sec. 18.54 and
18.55 and combine them into proposed Sec. 18.90.
The Department proposes to combine the current Sec. 18.54(a) and
(b) into proposed subdivision (a). The Department proposes only
stylistic changes to the language of these current subdivisions.
The Department proposes to incorporate the provisions contained in
existing Sec. Sec. 18.54(c) and 18.55 into proposed subdivision (b).
The paragraph (b)(1) provides the standard the judge will apply when
ruling on a motion to admit additional evidence. The proposed section
retains the requirement that the additional evidence be ``new and
material evidence.'' The proposed section requires that the party
demonstrate that it could not have discovered the new evidence with
reasonable diligence before the record closed.
Under paragraph (b)(1), the Department proposes to require the
party offering the additional evidence to file a motion promptly after
discovering the evidence. This sentence makes several changes to the
existing requirement in Sec. 18.55. First, the proposed section
emphasizes that a party must file a motion asking to reopen the record
for filing additional evidence. Requiring the party to file a motion
incorporates the requirements of proposed Sec. 18.33, Motions and
other papers, including the time to respond to motions.
The Department proposes to delete the timeframe for filing and
responding to additional evidence in the current Sec. 18.55.
Constraining the party to filing new evidence 20 days after the close
of the hearing was an unnecessarily restrictive time limit. If a party
promptly files a motion seeking to reopen the record based on new and
material evidence that was not available before the hearing, the judge
will consider the motion based on the requirements of the proposed
(b)(1).
The Department proposes to clarify in paragraph (b)(2) that if the
record is reopened, the other parties must have an opportunity to offer
responsive evidence, and a new evidentiary hearing may be set.
The Department proposes to revise the final sentence of the current
Sec. 18.54(c) and relocate it to proposed subdivision (c). The
Department proposes to revise this subdivision to instruct the parties
that the record will remain open for additional appropriate motions;
the content of the record is defined in proposed Sec. 18.88.
Sec. 18.91 Post-hearing brief.
The Department proposes to revise the current Sec. 18.57 and
separate the content into two separate sections: Sec. Sec. 18.91,
Post-hearing briefs, and 18.92, Decisions of the administrative law
judge. The Department proposes to relocate the content from the current
Sec. 18.57(a) to proposed Sec. 18.91.
The Department proposes to eliminate the 20-day filing period set
in the current Sec. 18.57(a). The 20-day timeframe for filing proposed
findings of fact, conclusions of law, and a proposed order is rarely
used by parties before OALJ. Instead, the parties follow the schedule
ordered by the judge at the close of the formal hearing or the judge's
order granting a hearing on the record. Accordingly, the proposed
section permits the parties to file closing briefs within the time
period established by the judge.
The Department determined that parties before OALJ rarely file
proposed findings of facts and proposed order, as litigants file in
state or federal district court. Rather, parties or their
representatives typically file post-hearing briefs. Under the proposed
Sec. 19.91, the Department proposes that judges allow a party or
representative to file a post-hearing brief that emphasizes the three
major items parties should emphasize in closing briefs: findings of
fact, conclusions of law and the specific relief sought. Like the
current regulation, the proposed section requires that the post-hearing
briefs refer to all portions of the record and cite authorities
supporting the party's assertions.
The Department proposes to delete the provision in the current
Sec. 18.57(a) that requires parties to serve post-hearing filings on
all parties. Under proposed Sec. 18.30, Service and filing, all papers
must be served on every party.
[[Page 72174]]
Therefore, it is unnecessary to repeat the requirement in this section.
Sec. 18.92 Decision and order.
The Department proposes to revise the current Sec. 18.57 and
separate the content into separate sections: Sec. Sec. 18.91, Post
hearing briefs and 18.92, Decisions and order. The Department proposes
to delete the language from the current Sec. 18.57(b) and replace it
with proposed Sec. 18.92.
The Department proposes to delete the reference to issuing a
decision and order within 30 days of receipt of proposed consent
findings and order. Instead, the proposed section states that ``at the
conclusion of the proceeding, the judge must issue a written decision
and order.'' OALJ has jurisdiction to decide claims under a variety of
statutes which impose different, but specific timeframes for issuing a
decision and order. When a statute or regulation does not specifically
mention a timeframe for issuing a decision and order, the judge, as is
current practice, will issue a decision and order within a reasonable
time.
The Department proposes to delete the last three sentences of the
current Sec. 18.57. The statements repeat the requirements imposed by
sec. 557(c) of the APA, therefore, the Department determined that it is
unnecessary to repeat the substantive requirements of the judge's
decision in OALJ's rules of procedure. These APA requirements will
continue to apply to decisions and orders issued by OALJ judges.
Sec. 18.93 Motion for reconsideration.
The Department proposes to add a new Sec. 18.93 modeled after Fed.
R. Civ. P. 59(e), Motions to alter or amend a judgment.
Under proposed Sec. 18.93, the Department proposes that ``a motion
for reconsideration of a decision and order must be filed no later than
10 days after service of the decision on the moving party.'' The
purpose of this section is to make clear that judges possess the power
to alter or amend a judgment after its entry.
The Department proposes to set a 10-day limitation on filing a
motion for reconsideration; however, it recognizes that governing
statutes, regulations, and executive orders, such as the Black Lung
regulations, may provide a different time for filing motions for
reconsideration. In those circumstances, the rule of special
application will apply.
Sec. 18.94 Indicative ruling on a motion for relief that is barred by
a pending petition for review.
The Department proposes to add a new Sec. 18.94 modeled after Fed.
R. Civ. P. 62.1 (December 1, 2009). The current Part 18, Subpart A does
not specifically mention indicative rulings on a motion for relief that
is barred by a pending appeal or petition for review. The proposed
Sec. 18.94 applies to motions made before a judge after an appeal has
been docketed with an appellate board, and the judge no longer has
jurisdiction over the merits of the case. At OALJ parties occasionally
file post-appeal motions, so the Department determined that it is
helpful to have a section that informs the judge and the appellate
board how the motion should be addressed. Inclusion of this section is
consistent with the Department's approach to include provisions from
the FRCP unless the rule is inapplicable to OALJ proceedings.
The proposed Sec. 18.94 does not attempt to define the
circumstances in which an appeal limits or defeats the judge's
authority to act in the face of a pending appeal. This section applies
only when the rules that govern the relationship between the judge and
appellate review boards deprive the judge of the authority to grant
relief without appellate permission. If a judge concludes that he or
she has authority to grant relief without appellate permission, he or
she may act without falling back on the indicative ruling procedure.
Often it will be appropriate for the judge to determine whether the
judge in fact would grant the motion if the appellate review board
remands for that purpose. But a motion may present complex issues that
require extensive litigation and that may either be mooted or be
presented in a different context by decision of the issues raised on
appeal. In such circumstances the judge may prefer to state that the
motion raises a substantial issue, and to state the reasons why the
judge prefers to decide it only if the appellate review board agrees
that it would be useful to decide the motion before decision of the
pending appeal. The judge is not bound to grant the motion after
stating that the motion raises a substantial issue; further proceedings
on remand may show that the motion ought not to be granted.
Sec. 18.95 Review of Decision
The Department proposes to revise the current Sec. 18.58 and
renumber it as proposed Sec. 18.95. As in the current rule, the
proposed rule states that the statute or regulation that conferred
hearing jurisdiction provides the procedure for review of a judge's
decision. If the statute or regulation does not provide a procedure,
the judge's decision becomes the Secretary's final administrative
decision. The Department does not propose any procedural changes to
this rule.
Section Deletions
The Department proposes to delete the current Sec. 18.13. The
first sentence of the rule lists the methods of discovery available to
a party. Prior to the 2007 amendments, the FRCP included a similar
provision under Fed. R. Civ. P. 26; however, the 2007 amendments to the
FRCP deleted this provision. The 2007 Advisory Committee Notes to Fed.
R. Civ. P. 26 state that ``former Rule 26(a)(5) served as an index of
the discovery methods provided by later rules. It was deleted as
redundant.'' Similarly, the Department proposes to delete the first
sentence of the current Sec. 18.13 just as Fed. R. Civ. P. 26(a)(5)
was deleted. The second sentence to the current Sec. 18.13 explains
that, unless the judge orders otherwise, there are no limits on the
frequency or sequence for use of the discovery methods. The frequency,
timing, and sequence of discovery are addressed by proposed Sec.
18.50, General provisions governing disclosure and discovery.
Accordingly, the Department proposes to delete the second sentence of
the current Sec. 18.13.
The Department proposes to delete the current Sec. 18.32. The text
of current Sec. 18.32 is based on Sec. 554(d) of the APA. This
regulation repeats the statute without adding additional procedures or
guidance, therefore, the Department proposes to delete it.
The Department proposes to delete the current Sec. 18.33. The
parties' right to a hearing within a reasonable time is encompassed in
proposed Sec. 18.10, Scope and purpose. The proposed Sec. 18.10(a)
states that the rules of procedure ``should be construed and
administered to secure the just, speedy, and inexpensive determination
of every proceeding.'' The Department determined that repeating the
statement of a speedy determination in current Sec. 18.33 is
redundant.
The Department proposes to delete the current Sec. 18.53. The
proposed Sec. 18.12, Proceedings before administrative law judge,
which combines the current Sec. Sec. 18.25 and 18.29, addresses the
ability of the judge to conduct the hearing. The contents of the
current Sec. 18.53 are repetitious given the revisions to the proposed
Sec. 18.12.
The Department proposes to delete the current Sec. 18.59. If OALJ
receives a request for a certified copy of the record,
[[Page 72175]]
the request would originate with a reviewing body or court. The terms
of sending the record would be controlled by the request or court
order. Thus, it is not practicable to have a uniform rule governing the
procedure for sending a certified copy of the record. Further,
determining the appropriate record custodian and the procedures for
certifying the record are internal matters within OALJ and the
Department. Based on these facts, the Department has determined that
the current Sec. 18.59 should be deleted.
List of Subjects in 29 CFR Part 18
Administrative practice and procedure, Labor.
Signed at Washington, DC.
Hilda L. Solis,
U.S. Secretary of Labor.
For the reasons set out in the Preamble, the Office of the
Secretary, Labor proposes to amend 29 CFR part 18 as set forth below.
PART 18--RULES OF PRACTICE AND PROCEDURE FOR ADMINISTRATIVE
HEARINGS BEFORE THE OFFICE OF ADMINISTRATIVE LAW JUDGES
1. The authority citations for Part 18 continue to read as follows:
Authority: 5 U.S.C. 301; 5 U.S.C. 551-553; 5 U.S.C. 571 note;
E.O. 12778; 57 FR 7292.
2. Revise Subpart A to read as follows:
Subpart A--General
Sec.
General Provisions
18.10 Scope and purpose.
18.11 Definitions.
18.12 Proceedings before administrative law judge.
18.13 Settlement judge procedure.
18.14 Ex parte communication.
18.15 Substitution of administrative law judge.
18.16 Disqualification.
18.17 Legal assistance.
Parties and Representatives
18.20 Parties to a proceeding.
18.21 Party appearance and participation.
18.22 Representatives.
18.23 Disqualification and discipline of representatives.
18.24 Briefs from amicus curiae.
Service, Format and Timing of Filings and Other Papers
18.30 Service and filing.
18.31 Privacy protection for filings and exhibits.
18.32 Computing and extending time.
18.33 Motions and other papers.
18.34 Format of papers filed.
18.35 Signing motions and other papers; representations to the
judge; sanctions.
18.36 Amendments after referral to the Office of Administrative Law
Judges.
Prehearing Procedure
18.40 Notice of hearing.
18.41 Continuances and changes in place of hearing.
18.42 Expedited proceedings.
18.43 Consolidation; separate hearings.
18.44 Prehearing conference.
Disclosure and Discovery
18.50 General provisions governing disclosure and discovery.
18.51 Discovery scope and limits.
18.52 Protective orders.
18.53 Supplementing disclosures and responses.
18.54 Stipulations about discovery procedure.
18.55 Using depositions at hearings.
18.56 Subpoena.
18.57 Failure to make disclosures or to cooperate in discovery;
sanctions.
Types of Discovery
18.60 Interrogatories to parties.
18.61 Producing documents, electronically stored information, and
tangible things, or entering onto land, for inspection and other
purposes.
18.62 Physical and mental examinations.
18.63 Requests for admission.
18.64 Depositions by oral examination.
18.65 Depositions by written questions.
Disposition Without Hearing
18.70 Motions for dispositive action.
18.71 Approval of settlement or consent findings.
18.72 Summary decision.
Hearing
18.80 Prehearing statement.
18.81 Formal hearing.
18.82 Exhibits.
18.83 Stipulations.
18.84 Official notice.
18.85 Privileged, sensitive, or classified material.
18.86 Hearing room conduct.
18.87 Standards of conduct.
18.88 Transcript of proceedings.
Post Hearing
18.90 Closing the record; subsequent motions.
18.91 Post-hearing brief.
18.92 Decision and order.
18.93 Motion for reconsideration.
18.94 Indicative ruling on a motion for relief that is barred by a
pending petition for review.
18.95 Review of Decision.
General Provisions
Sec. 18.10 Scope and purpose.
(a) In general. These rules govern the procedure in proceedings
before the United States Department of Labor, Office of Administrative
Law Judges. They should be construed and administered to secure the
just, speedy, and inexpensive determination of every proceeding. To the
extent that these rules may be inconsistent with a governing statute,
regulation, or executive order, the latter controls. If a specific
Department of Labor regulation governs a proceeding, the provisions of
that regulation apply, and these rules apply to situations not
addressed in the governing regulation. The Federal Rules of Civil
Procedure (FRCP) apply in any situation not provided for or controlled
by these rules, or a governing statute, regulation, or executive order.
(b) Type of proceeding. Unless the governing statute, regulation,
or executive order prescribes a different procedure, proceedings follow
the Administrative Procedure Act, 5 U.S.C. 551 through 559.
(c) Waiver, modification, and suspension. Upon notice to all
parties, the presiding judge may waive, modify, or suspend any rule
under this subpart when doing so will not prejudice a party and will
serve the ends of justice.
Sec. 18.11 Definitions.
For purposes of these rules, these definitions supplement the
definitions in the Administrative Procedure Act, 5 U.S.C. 551.
(a) Calendar call means a meeting in which the judge calls cases
awaiting hearings, determines case status, and assigns a hearing date
and time.
(b) Chief Judge means the Chief Administrative Law Judge of the
United States Department of Labor Office of Administrative Law Judges
and judges to whom the Chief Judge delegates authority.
(c) Docket clerk means the Chief Docket Clerk at the Office of
Administrative Law Judges in Washington, DC. But once a case is
assigned to a judge in a district office, docket clerk means the docket
staff in that office.
(d) Hearing means that part of a proceeding consisting of a session
to decide issues of fact or law that is recorded and transcribed and
provides the opportunity to present evidence or argument.
(e) Judge means an administrative law judge appointed under the
provisions of 5 U.S.C. 3105.
(f) Order means the judge's disposition of one or more procedural
or substantive issues, or of the entire matter.
(g) Proceeding means an action before the Office of Administrative
Law Judges that creates a record leading to an adjudication or order.
(h) Representative means any person permitted to represent another
in a proceeding before the Office of Administrative Law Judges.
Sec. 18.12 Proceedings before administrative law judge.
(a) Designation. The Chief Judge designates the presiding judge for
all proceedings.
[[Page 72176]]
(b) Authority. In all proceedings under this Part, the judge has
all powers necessary to conduct fair and impartial proceedings,
including those described in the Administrative Procedure Act, 5 U.S.C.
556. Among them is the power to:
(1) regulate the course of proceedings in accordance with
applicable statute, regulation or executive order;
(2) administer oaths and affirmations and examine witnesses;
(3) compel the production of documents and appearance of witnesses
within a party's control;
(4) issue subpoenas authorized by law;
(5) rule on offers of proof and receive relevant evidence;
(6) dispose of procedural requests and similar matters;
(7) terminate proceedings through dismissal or remand when not
inconsistent with statute, regulation, or executive order;
(8) issue decisions and orders;
(9) exercise powers vested in the Secretary of Labor that relate to
proceedings before the Office of Administrative Law Judges; and
(10) take actions authorized by the FRCP.
Sec. 18.13 Settlement judge procedure.
(a) How initiated. The Office of Administrative Law Judges provides
settlement judges to aid the parties in resolving the matter that is
the subject of the controversy. Upon a joint request by the parties or
upon referral by the judge when no party objects, the Chief Judge may
appoint a settlement judge. A settlement judge will not be appointed
when settlement proceedings would be inconsistent with a statute,
regulation, or executive order.
(b) Appointment. The Chief Judge has discretion to appoint a
settlement judge, who must be an active or retired judge. The
settlement judge will not be appointed to hear and decide the case or
approve the settlement without the parties' consent and the approval of
the Chief Judge.
(c) Duration of settlement proceeding. Unless the Chief Judge
directs otherwise, settlement negotiations under this section must be
completed within 60 days from the date of the settlement judge's
appointment. The settlement judge may request that the Chief Judge
extend the appointment. The negotiations will be terminated if a party
withdraws from participation, or if the settlement judge determines
that further negotiations would be unproductive or inappropriate.
(d) Powers of the settlement judge. The settlement judge may
convene settlement conferences; require the parties or their
representatives to attend with full authority to settle any disputes;
and impose other reasonable requirements to expedite an amicable
resolution of the case.
(e) Stay of proceedings before presiding judge. The appointment of
a settlement judge does not stay any aspect of the proceeding before
the presiding judge. Any motion to stay must be directed to the
presiding judge.
(f) Settlement conferences. Settlement conferences may be conducted
by telephone, videoconference or in person at the discretion of the
settlement judge after considering the nature of the case, location of
the participants, availability of technology, and efficiency of
administration.
(g) Confidentiality. All discussions with the settlement judge are
confidential; none may be recorded or transcribed. The settlement judge
must not disclose any confidential communications made during
settlement proceedings, except as required by statute, executive order,
or court order. The settlement judge may not be subpoenaed or called as
a witness in any hearing of the case or any subsequent administrative
proceedings before the Department to testify to statements made or
conduct during the settlement discussions.
(h) Report. The parties must promptly inform the presiding judge of
the outcome of the settlement negotiations. If a settlement is reached,
the parties must submit the required documents to the presiding judge
within 14 days of the conclusion of settlement discussions unless the
presiding judge orders otherwise.
(i) Non-reviewable decisions. Whether a settlement judge should be
appointed, the selection of a particular settlement judge, or the
termination of proceedings under this section, are matters not subject
to review by Department officials.
Sec. 18.14 Ex parte communication.
The parties, their representatives, or other interested persons
must not engage in ex parte communications on the merits of a case with
the judge.
Sec. 18.15 Substitution of administrative law judge.
(a) Substitution during hearing. If the judge is unable to complete
a hearing, a successor judge designated pursuant to Sec. 18.12 may
proceed upon certifying familiarity with the record and determining
that the case may be completed without prejudice to the parties. The
successor judge must, at a party's request, recall any witness whose
testimony is material and disputed and who is available to testify
again without undue burden. The successor judge may also recall any
other witness.
(b) Substitution following hearing. If the judge is unable to
proceed after the hearing is concluded, the successor judge appointed
pursuant to Sec. 18.12 may issue a decision and order based upon the
existing record after notifying the parties and giving them an
opportunity to respond. Within 14 days of receipt of the judge's
notice, a party may file an objection to the judge issuing a decision
based on the existing record. If no objection is filed, the objection
is considered waived. Upon good cause shown, the judge may order
supplemental proceedings.
Sec. 18.16 Disqualification.
(a) Disqualification on judge's initiative. A judge must withdraw
from a proceeding whenever he or she considers himself or herself
disqualified.
(b) Request for disqualification. A party may file a motion to
disqualify the judge. The motion must allege grounds for
disqualification, and include any appropriate supporting affidavits,
declarations or other documents. The presiding judge must rule on the
motion in a written order that states the grounds for the ruling.
Sec. 18.17 Legal assistance.
The Office of Administrative Law Judges does not appoint
representatives, refer parties to representatives, or provide legal
assistance.
Parties and Representatives
Sec. 18.20 Parties to a proceeding.
A party seeking original relief or action is designated a
complainant, claimant or plaintiff, as appropriate. A party against
whom relief or other action is sought is designated a respondent or
defendant, as appropriate. When participating in a proceeding, the
applicable Department of Labor's agency is a party or party-in-
interest.
Sec. 18.21 Party appearance and participation.
(a) In general. A party may appear and participate in the
proceeding in person or through a representative.
(b) Waiver of participation. By filing notice with the judge, a
party may waive the right to participate in the hearing or the entire
proceeding. When all parties waive the right to participate in the
hearing, the judge may issue a decision and order based on the
pleadings, evidence, and briefs.
[[Page 72177]]
(c) Failure to appear. When a party has not waived the right to
participate in a hearing, conference or proceeding but fails to appear
at a scheduled hearing or conference, the judge may, after notice and
an opportunity to be heard, dismiss the proceeding or enter a decision
and order without further proceedings if the party fails to establish
good cause for its failure to appear.
Sec. 18.22 Representatives.
(a) Notice of appearance. When first making an appearance, each
representative must file a notice of appearance that indicates on whose
behalf the appearance is made and the proceeding name and docket
number. The notice of appearance shall also include the statements and
documentation required for admission to appear for the applicable
category of representation found in subdivision (b) of this section.
(b) Categories of representation; admission standards.
(1) Attorney representative. Under these rules, ``attorney'' or
``attorney representative'' means an individual who has been admitted
to the bar of the highest court of a State, Commonwealth, or Territory
of the United States, or the District of Columbia.
(A) Attorney in good standing. An attorney who is in good standing
in his or her licensing jurisdiction may represent a party or
subpoenaed witness before the Office of Administrative Law Judges. The
attorney's representation of good standing is sufficient proof of good
standing, unless otherwise directed by the judge.
(B) Attorney not in good standing. An attorney who is not in good
standing in his or her licensing jurisdiction may not represent a party
or subpoenaed witness before the Office of Administrative Law Judges,
unless he or she obtains the judge's approval. Such an attorney must
file a written statement that establishes why the failure to maintain
good standing is not disqualifying. The judge may deny approval for the
appearance of such an attorney after providing notice and an
opportunity to be heard.
(C) Disclosure of discipline. An attorney representative must
promptly disclose to the judge any action suspending, enjoining,
restraining, disbarring, or otherwise currently restricting him or her
in the practice of law.
(2) Non-attorney representative. An individual who is not an
attorney as defined by paragraph (b)(1) may represent a party or
subpoenaed witness upon the judge's approval. The individual must file
a written request to serve as a non-attorney representative that sets
forth the name of the party or subpoenaed witness represented and
certifies that the party or subpoenaed witness desires the
representation. The judge may require that the representative establish
that he or she is subject to the laws of the United States and
possesses communication skills, knowledge, character, thoroughness and
preparation reasonably necessary to render appropriate assistance. The
judge may inquire as to the qualification or ability of a non-attorney
representative to render assistance at any time. The judge may deny the
request to serve as non-attorney representative after providing the
party or subpoenaed witness with notice and an opportunity to be heard.
(c) Duties. A representative must be diligent, prompt, and
forthright when dealing with parties, representatives and the judge,
and act in a manner that furthers the efficient, fair and orderly
conduct of the proceeding. An attorney representative must adhere to
the applicable rules of conduct for the jurisdiction(s) in which the
attorney is admitted to practice.
(d) Prohibited actions. A representative must not:
(1) threaten, coerce, intimidate, deceive or knowingly mislead a
party, representative, witness, potential witness, judge, or anyone
participating in the proceeding regarding any matter related to the
proceeding;
(2) knowingly make or present false or misleading statements,
assertions or representations about a material fact or law related to
the proceeding;
(3) unreasonably delay, or cause to be delayed, without good cause,
any proceeding; or
(4) engage in any other action or behavior prejudicial to the fair
and orderly conduct of the proceeding.
(e) Withdrawal of appearance. A representative who desires to
withdraw after filing a notice of appearance or a party desiring to
withdraw the appearance of a representative must file a motion with the
judge. The motion must state that notice of the withdrawal has been
given to the party, client or representative. The judge may deny a
representative's motion to withdraw when necessary to avoid undue delay
or prejudice to the rights of a party.
Sec. 18.23 Disqualification and discipline of representatives.
(a) Disqualification.
(1) Grounds for disqualification. Representatives qualified under
Sec. 18.22 may be disqualified upon:
(A) conviction of a felony;
(B) conviction of a misdemeanor, a necessary element of which
includes:
(i) interference with the administration of justice;
(ii) false swearing;
(iii) misrepresentation;
(iv) fraud;
(v) willful failure to file an income tax return;
(vi) deceit;
(vii) bribery;
(viii) extortion;
(ix) misappropriation;
(x) theft; or
(xi) attempt, conspiracy, or solicitation to commit a serious
crime.
(C) suspension or disbarment by any court or agency of the United
States, the District of Columbia, any state, territory, commonwealth or
possession of the United States;
(D) disbarment on consent or resignation from the bar of a court or
agency while an investigation into an allegation of misconduct is
pending;
(2) Disqualification procedure. The Chief Judge must provide notice
and an opportunity to be heard as to why the representative should not
be disqualified from practice before the Office of Administrative Law
Judges. The notice will include a copy of the document that provides
the grounds for the disqualification. Unless otherwise directed, any
response must be filed within 21 days of service of the notice. The
Chief Judge's determination must be based on the reliable, probative
and substantial evidence of record, including the notice and response.
(b) Discipline.
(1) Grounds for discipline. The Office of Administrative Law Judges
may suspend, disqualify, or otherwise discipline a representative.
Conduct that may result in discipline includes:
(A) an act, omission, or contumacious conduct relating to any
proceeding before OALJ that violates these rules, an applicable
statute, an applicable regulation, or the judge's order or instruction;
or
(B) failure to adhere to the applicable rules of conduct for the
jurisdiction(s) in which the attorney is admitted to practice in any
proceeding before OALJ.
(2) Disciplinary procedure.
(A) Notice. The Chief Judge must notify the representative of the
grounds for proposed discipline, and of the opportunity for a hearing.
A request for hearing must be filed within 21 days of service of the
notice.
(B) Default. If the representative does not respond to the notice,
the Chief Judge may issue a final disciplinary order.
(C) Disciplinary proceedings. If the representative responds to the
notice, the Chief Judge will designate a judge to conduct a hearing, if
requested, and to
[[Page 72178]]
issue a decision and order. The representative has the opportunity to
present evidence, and argument. The decision must be based on the
reliable, probative and substantial evidence of record, including any
submissions from the representative.
(D) Petition for review. A petition to review the decision and
order must be filed with the Chief Judge within 30 days of the date of
the decision and order, and state the grounds for review. The Chief
Judge reviews the decision and order under the substantial evidence
standard. The Chief Judge's decision is not subject to review within
the Department of Labor.
(c) Notification of disciplinary action. When an attorney
representative is suspended or disqualified, the Chief Judge will
notify the jurisdiction(s) in which the attorney is admitted to
practice and the National Lawyer Regulatory Data Bank maintained by the
American Bar Association Standing Committee on Professional Discipline,
by providing a copy of the decision and order.
(d) Application for reinstatement. A representative suspended or
disqualified under this section may be reinstated by the Chief Judge
upon application. At the discretion of the Chief Judge, consideration
of an application for reinstatement may be limited to written
submissions or may be referred for further proceedings pursuant to
paragraph (b)(2) of this section.
Sec. 18.24 Briefs from amicus curiae.
The United States or an officer or agency thereof, or a State,
Territory, Commonwealth, or the District of Columbia may file an amicus
brief without the consent of the parties or leave of the judge. Any
other amicus curiae may file a brief only by leave of the judge, upon
the judge's request, or if the brief states that all parties have
consented to its filing. A request for leave to file an amicus brief
must be made by written motion that states the interest of the movant
in the proceeding. Unless otherwise directed by the judge, an amicus
brief must be filed by the close of the hearing.
Service, Format and Timing of Filings and Other Papers
Sec. 18.30 Service and filing.
(a) Service on parties.
(1) In general. Unless these rules provide otherwise, all papers
filed with OALJ or with the judge must be served on every party.
(2) Service: how made.
(A) Serving a party's representative. If a party is represented,
service under this section must be made on the representative. The
judge also may order service on the party.
(B) Service in general. A paper is served under this section by:
(i) handing it to the person;
(ii) leaving it:
(a) at the person's office with a clerk or other person in charge
or, if no one is in charge, in a conspicuous place in the office; or
(b) if the person has no office or the office is closed, at the
person's dwelling or usual place of abode with someone of suitable age
and discretion who resides there;
(iii) mailing it to the person's last known address--in which event
service is complete upon mailing;
(iv) leaving it with the docket clerk if the person has no known
address;
(v) sending it by electronic means if the person consented in
writing--in which event service is complete upon transmission, but is
not effective if the serving party learns that it did not reach the
person to be served; or
(vi) delivering it by any other means that the person consented to
in writing--in which event service is complete when the person making
service delivers it to the agency designated to make delivery.
(3) Certificate of service. A certificate of service is a signed
written statement that the paper was served on all parties. The
statement must include:
(A) the title of the document;
(B) the name and address of each person or representative being
served;
(C) the name of the party filing the paper and the party's
representative, if any;
(D) the date of service; and
(E) how the paper was served.
(b) Filing with Office of Administrative Law Judges.
(1) Required filings. Any paper that is required to be served must
be filed within a reasonable time after service with a certificate of
service. But disclosures under Sec. 18.50(c) and the following
discovery requests and responses must not be filed until they are used
in the proceeding or the judge orders filing:
(A) notices of deposition,
(B) depositions,
(C) interrogatories,
(D) requests for documents or tangible things or to permit entry
onto land; and
(E) requests for admission.
(2) Filing: when made--in general. A paper is filed when received
by the docket clerk or the judge during a hearing.
(3) Filing how made. A paper may be filed by mail, courier service,
hand delivery, facsimile or electronic delivery.
(A) Filing by facsimile.
(i) When permitted. A party may file by facsimile only as directed
or permitted by the judge. If a party cannot obtain prior permission
because the judge is unavailable, a party may file by facsimile up to
12 pages, including a statement of the circumstances precluding filing
by delivery or mail. Based on the statement, the judge may later accept
the document as properly filed at the time transmitted.
(ii) Cover sheet. Filings by facsimile must include a cover sheet
that identifies the sender, the total number of pages transmitted, and
the matter's docket number and the document's title.
(iii) Retention of the original document. The original signed
document will not be substituted into the record unless required by law
or the judge.
(B) Any party filing a facsimile of a document must maintain the
original document and transmission record until the case is final. A
transmission record is a paper printed by the transmitting facsimile
machine that states the telephone number of the receiving machine, the
number of pages sent, the transmission time and an indication that no
error in transmission occurred.
(C) Upon a party's request or judge's order, the filing party must
provide for review the original transmitted document from which the
facsimile was produced.
(4) Electronic filing, signing, or verification. A judge may allow
papers to be filed, signed, or verified by electronic means.
Sec. 18.31 Privacy protection for filings and exhibits.
(a) Redacted filings and exhibits. Unless the judge orders
otherwise, in an electronic or paper filing or exhibit that contains an
individual's Social-Security number, taxpayer-identification number, or
birth date, the name of an individual known to be a minor, or a
financial-account number, the party or nonparty making the filing must
redact all such information, except:
(1) the last four digits of the Social-Security number and
taxpayer-identification number;
(2) the year of the individual's birth;
(3) the minor's initials; and
(4) the last four digits of the financial-account number.
(b) Exemptions from the redaction requirement. The redaction
requirement does not apply to the following:
(1) the record of an administrative or agency proceeding;
(2) the official record of a state-court proceeding;
(3) the record of a court or tribunal, if that record was not
subject to the
[[Page 72179]]
redaction requirement when originally filed; and
(4) a filing or exhibit covered by paragraph (c) of this section.
(c) Option for filing a reference list. A filing that contains
redacted information may be filed together with a reference list that
identifies each item of redacted information and specifies an
appropriate identifier that uniquely corresponds to each item listed.
The reference list must be filed under seal and may be amended as of
right. Any reference in the case to a listed identifier will be
construed to refer to the corresponding item of information.
(d) Waiver of protection of identifiers. A person waives the
protection of paragraph (a) of this section as to the person's own
information by filing or offering it without redaction and not under
seal.
(e) Protection of material. For good cause, the judge may order
protection of material pursuant to Sec. Sec. 18.85, Privileged,
sensitive, or classified material and 18.52, Protective orders.
Sec. 18.32 Computing and extending time.
(a) Computing time. The following rules apply in computing any time
period specified in these rules, a judge's order, or in any statute,
regulation, or executive order that does not specify a method of
computing time.
(1) When the period is stated in days or a longer unit of time:
(A) exclude the day of the event that triggers the period;
(B) count every day, including intermediate Saturdays, Sundays, and
legal holidays; and
(C) include the last day of the period, but if the last day is a
Saturday, Sunday, or legal holiday, the period continues to run until
the end of the next day that is not a Saturday, Sunday, or legal
holiday.
(2) ``Last day'' defined. Unless a different time is set by a
statute, regulation, executive order, or judge's order, the ``last
day'' ends at 4:30 p.m. local time where the event is to occur.
(3) ``Next day'' defined. The ``next day'' is determined by
continuing to count forward when the period is measured after an event
and backward when measured before an event.
(4) ``Legal holiday'' defined. ``Legal holiday'' means the day set
aside by statute for observing New Year's Day, Martin Luther King Jr.'s
Birthday, Washington's Birthday, Memorial Day, Independence Day, Labor
Day, Columbus Day, Veterans' Day, Thanksgiving Day, or Christmas Day;
and any day declared a holiday by the President or Congress.
(b) Extending time. When an act may or must be done within a
specified time, the judge may, for good cause, extend the time:
(1) with or without motion or notice if the judge acts, or if a
request is made, before the original time or its extension expires; or
(2) on motion made after the time has expired if the party failed
to act because of excusable neglect.
(c) Additional time after certain kinds of service. When a party
may or must act within a specified time after service and service is
made under Sec. 18.30(a)(2)(B)(iii) or (iv), 3 days are added after
the period would otherwise expire under paragraph (a) of this section.
Sec. 18.33 Motions and other papers.
(a) In general. A request for an order must be made by motion. The
motion must:
(1) be in writing, unless made during a hearing;
(2) state with particularity the grounds for seeking the order;
(3) state the relief sought;
(4) unless the relief sought has been agreed to by all parties, be
accompanied by affidavits, declarations, or other evidence; and
(5) if required by subsection (c)(4), include a memorandum of
points and authority supporting the movant's position.
(b) Form. The rules governing captions and other matters of form
apply to motions and other requests.
(c) Written motion before hearing.
(1) A written motion before a hearing must be served with
supporting papers, at least 21 days before the time specified for the
hearing, with the following exceptions:
(A) when the motion may be heard ex parte;
(B) when these rules or an appropriate statute, regulation, or
executive order set a different time; or,
(C) when an order sets a different time.
(2) A written motion served within 21 days before the hearing must
state why the motion was not made earlier.
(3) A written motion before hearing must state that counsel
conferred, or attempted to confer, with opposing counsel in a good
faith effort to resolve the motion's subject matter, and whether the
motion is opposed or unopposed. A statement of consultation is not
required with pro se litigants or with the following motions:
(A) to dismiss;
(B) for summary decision; and
(C) any motion filed as ``joint,'' ``agreed,'' or ``unopposed.''
(4) Unless the motion is unopposed, the supporting papers must
include affidavits, declarations or other proof to establish the
factual basis for the relief. For a dispositive motion and a motion
relating to discovery, a memorandum of points and authority must also
be submitted. A Judge may direct the parties file additional documents
in support of any motion.
(d) Opposition or other response to a motion filed prior to
hearing. A party to the proceeding may file an opposition or other
response to the motion within 14 days after the motion is served. The
opposition or response may be accompanied by affidavits, declarations,
or other evidence, and a memorandum of the points and authorities
supporting the party's position. Failure to file an opposition or
response within 14 days after the motion is served may result in the
requested relief being granted. Unless the judge directs otherwise, no
further reply is permitted and no oral argument will be heard prior to
hearing.
(e) A motions made at hearing. A motion made at a hearing may be
stated orally unless the judge determines that a written motion or
response would best serve the ends of justice.
(f) Renewed or repeated motions. A motion seeking the same or
substantially similar relief previously denied, in whole or in part,
must include the following information:
(1) the earlier motion(s);
(2) when the respective motion was made,
(3) the judge to whom the motion was made,
(4) the earlier ruling(s), and
(5) the basis for the current motion.
(g) Motion hearing. The judge may order a hearing to take evidence
or oral argument on a motion.
Sec. 18.34 Format of papers filed.
Every paper filed must be printed in black ink on 8.5 x 11-inch
opaque white paper and begin with a caption that includes:
(a) the parties' names,
(b) a title that describes the paper's purpose, and
(c) the docket number assigned by the Office of Administrative Law
Judges. If the Office has not assigned a docket number, the paper must
bear the case number assigned by the Department of Labor agency where
the matter originated. If the case number is an individual's Social
Security number then only the last four digits may be used. See
18.31(a)(1).
Sec. 18.35 Signing motions and other papers; representations to the
judge; sanctions.
(a) Date and signature. Every written motion and other paper filed
with OALJ must be dated and signed by at least one
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representative of record in the representative's name--or by a party
personally if the party is unrepresented. The paper must state the
signer's address, telephone number, facsimile number and email address,
if any. The judge must strike an unsigned paper unless the omission is
promptly corrected after being called to the representative's or
party's attention.
(b) Representations to the judge. By presenting to the judge a
written motion or other paper--whether by signing, filing, submitting,
or later advocating it--the representative or unrepresented party
certifies that to the best of the person's knowledge, information, and
belief, formed after an inquiry reasonable under the circumstances:
(1) it is not being presented for any improper purpose, such as to
harass, cause unnecessary delay, or needlessly increase the cost of the
proceedings;
(2) the claims, defenses, and other legal contentions are warranted
by existing law or by a nonfrivolous argument for extending, modifying,
or reversing existing law or for establishing new law;
(3) the factual contentions have evidentiary support or, if
specifically so identified, will likely have evidentiary support after
a reasonable opportunity for further investigation or discovery; and
(4) the denials of factual contentions are warranted on the
evidence or, if specifically so identified, are reasonably based on
belief or a lack of information.
(c) Sanctions.
(1) In general. If, after notice and a reasonable opportunity to
respond, the judge determines that paragraph (b) of this section has
been violated, the judge may impose an appropriate sanction on any
representative, law firm, or party that violated the rule or is
responsible for the violation. Absent exceptional circumstances, a law
firm must be held jointly responsible for a violation committed by its
partner, associate, or employee.
(2) Motion for sanctions. A motion for sanctions must be made
separately from any other motion and must describe the specific conduct
that allegedly violates paragraph (b) of this section. The motion must
be served under Sec. 18.30(a), but it must not be filed or be
presented to the judge if the challenged paper, claim, defense,
contention, or denial is withdrawn or appropriately corrected within 21
days after service or within another time the judge sets.
(3) On the judge's initiative. On his or her own, the judge may
order a representative, law firm, or party to show cause why conduct
specifically described in the order has not violated paragraph (b) of
this section.
(4) Nature of a sanction. A sanction imposed under this section
must be limited to what suffices to deter repetition of the conduct or
comparable conduct by others similarly situated.
(5) Requirements for an order. An order imposing a sanction must
describe the sanctioned conduct and explain the basis for the sanction.
(d) Inapplicability to discovery. This section does not apply to
disclosures and discovery requests, responses, objections, and motions
under Sec. Sec. 18.50 through 18.65.
Sec. 18.36 Amendments after referral to the Office of Administrative
Law Judges.
The judge may allow parties to amend and supplement their filings.
Prehearing Procedure
Sec. 18.40 Notice of hearing.
(a) In general. Except when the hearing is scheduled by calendar
call, the judge must notify the parties of the hearing's date, time,
and place at least 14 days before the hearing. The notice is sent by
regular, first-class mail, unless the judge determines that
circumstances require service by certified mail or other means. The
parties may agree to waive the 14-day notice for the hearing.
(b) Date, time, and place. The judge must consider the convenience
and necessity of the parties and the witnesses in selecting the date,
time, and place of the hearing.
Sec. 18.41 Continuances and changes in place of hearing.
(a) By the judge. Upon reasonable notice to the parties, the judge
may change the time, date, and place of the hearing.
(b) By a party's motion. A request by a party to continue a hearing
or to change the place of the hearing must be made by motion.
(1) Continuances. A motion for continuance must be filed promptly
after the party becomes aware of the circumstances supporting the
continuance. In exceptional circumstances, a party may orally request a
continuance and must immediately notify the other parties of the
continuance request.
(2) Change in place of hearing. A motion to change the place of a
hearing must be filed promptly.
Sec. 18.42 Expedited proceedings.
A party may move to expedite the proceeding. The motion must
demonstrate the specific harm that would result if the proceeding is
not expedited. If the motion is granted, the formal hearing ordinarily
will not be scheduled with less than 7 days notice to the parties,
unless all parties consent to an earlier hearing.
Sec. 18.43 Consolidation; separate hearings.
(a) Consolidation. If separate proceedings before the Office of the
Administrative Law Judges involve a common question of law or fact, a
judge may:
(1) join for hearing any or all matters at issue in the
proceedings;
(2) consolidate the proceedings; or
(3) issue any other orders to avoid unnecessary cost or delay.
(b) Separate hearings. For convenience, to avoid prejudice, or to
expedite and economize, the judge may order a separate hearing of one
or more issues.
Sec. 18.44 Prehearing conference.
(a) In general. The judge, with or without a motion, may order one
or more prehearing conferences for such purposes as:
(1) expediting disposition of the proceeding;
(2) establishing early and continuing control so that the case will
not be protracted because of lack of management;
(3) discouraging wasteful prehearing activities;
(4) improving the quality of the hearing through more thorough
preparation; and
(5) facilitating settlement.
(b) Scheduling. Prehearing conferences may be conducted in person,
by telephone, or other means after reasonable notice of time, place and
manner of conference has been given.
(c) Participation. All parties must participate in prehearing
conferences as directed by the judge. A represented party must
authorize at least one of its attorneys or representatives to make
stipulations and admissions about all matters that can reasonably be
anticipated for discussion at the prehearing conference, including
possible settlement.
(d) Matters for consideration. At the conference, the judge may
consider and take appropriate actions on the following matters:
(1) formulating and simplifying the issues, and eliminating
frivolous claims or defenses;
(2) amending the papers that had framed the issues before the
matter was referred for hearing;
(3) obtaining admissions and stipulations about facts and documents
to avoid unnecessary proof, and ruling in advance on the admissibility
of evidence;
[[Page 72181]]
(4) avoiding unnecessary proof and cumulative evidence, and
limiting the number of expert or other witnesses;
(5) determining the appropriateness and timing of dispositive
motions under Sec. Sec. 18.70 and 18.72;
(6) controlling and scheduling discovery, including orders
affecting disclosures and discovery under Sec. Sec. 18.50 through
18.65;
(7) identifying witnesses and documents, scheduling the filing and
exchange of any exhibits and prehearing submissions, and setting dates
for further conferences and for the hearing;
(8) referring matters to a special master;
(9) settling the case and using special procedures to assist in
resolving the dispute such as the settlement judge procedure under
Sec. 18.13, private mediation, and other means authorized by statute
or regulation;
(10) determining the form and content of prehearing orders;
(11) disposing of pending motions;
(12) adopting special procedures for managing potentially difficult
or protracted proceedings that may involve complex issues, multiple
parties, difficult legal questions, or unusual proof problems;
(13) consolidating or ordering separate hearings under Sec. 18.43;
(14) ordering the presentation of evidence early in the proceeding
on a manageable issue that might, on the evidence, be the basis for
disposing of the proceeding;
(15) establishing a reasonable limit on the time allowed to present
evidence; and
(16) facilitating in other ways the just, speedy, and inexpensive
disposition of the proceeding.
(e) Reporting. The judge may direct that the prehearing conference
be recorded and transcribed. If the conference is not recorded, the
judge should summarize the conference proceedings on the record at the
hearing or by separate prehearing notice or order.
Disclosure and Discovery
Sec. 18.50 General provisions governing disclosure and discovery.
(a) Timing and sequence of discovery.
(1) Timing. A party may seek discovery at any time after a judge
issues an initial notice or order. But if the judge orders the parties
to confer under paragraph (b) of this section:
(A) the time to respond to any pending discovery requests is
extended until the time agreed in the discovery plan, or that the judge
sets in resolving disputes about the discovery plan, and
(B) no party may seek additional discovery from any source before
the parties have conferred as required by paragraph (b) of this
section, except by stipulation.
(2) Sequence. Unless, on motion, the judge orders otherwise for the
parties' and witnesses' convenience and in the interests of justice:
(A) methods of discovery may be used in any sequence; and
(B) discovery by one party does not require any other party to
delay its discovery.
(b) Conference of the parties; planning for discovery.
(1) In general. The judge may order the parties to confer on the
matters described in paragraphs (b)(2) and (3) of this section.
(2) Conference content; parties' responsibilities. In conferring,
the parties must consider the nature and basis of their claims and
defenses and the possibilities for promptly settling or resolving the
case; make or arrange for the disclosures required by paragraph (c) of
this section; discuss any issues about preserving discoverable
information; and develop a proposed discovery plan. The representatives
of record and all unrepresented parties that have appeared in the case
are jointly responsible for arranging the conference, for attempting in
good faith to agree on the proposed discovery plan, and for submitting
to the judge within 14 days after the conference a written report
outlining the plan. The judge may order the parties or representatives
to attend the conference in person.
(3) Discovery plan. A discovery plan must state the parties' views
and proposals on:
(A) what changes should be made in the timing, form, or requirement
for disclosures under paragraph (c) of this section, including a
statement of when initial disclosures were made or will be made;
(B) the subjects on which discovery may be needed, when discovery
should be completed, and whether discovery should be conducted in
phases or be limited to or focused on particular issues;
(C) any issues about disclosure or discovery of electronically
stored information, including the form or forms in which it should be
produced;
(D) any issues about claims of privilege or of protection as
hearing-preparation materials, including--if the parties agree on a
procedure to assert these claims after production--whether to ask the
judge to include their agreement in an order;
(E) what changes should be made in the limitations on discovery
imposed under these rules and what other limitations should be imposed;
and
(F) any other orders that the judge should issue under Sec. 18.52
or under Sec. 18.44.
(c) Required disclosures.
(1) Initial disclosure.
(A) In general. Except as exempted by paragraph (c)(1)(B) of this
section or otherwise ordered by the judge, a party must, without
awaiting a discovery request, provide to the other parties:
(i) the name and, if known, the address and telephone number of
each individual likely to have discoverable information--along with the
subjects of that information--that the disclosing party may use to
support its claims or defenses, unless the use would be solely for
impeachment;
(ii) a copy--or a description by category and location--of all
documents, electronically stored information, and tangible things that
the disclosing party has in its possession, custody, or control and may
use to support its claims or defenses, unless the use would be solely
for impeachment; and
(iii) a computation of each category of damages claimed by the
disclosing party--who must also make available for inspection and
copying as under Sec. 18.61 the documents or other evidentiary
material, unless privileged or protected from disclosure, on which each
computation is based, including materials bearing on the nature and
extent of injuries suffered.
(B) Proceedings exempt from initial disclosure. The following
proceedings are exempt from initial disclosure:
(i) a proceeding under 29 CFR part 20 for review of an agency
determination regarding the existence or amount of a debt, or the
repayment schedule proposed by the agency;
(ii) a proceeding before the Board of Alien Labor Certification
Appeals under the Immigration and Nationality Act; and
(iii) a proceeding under the regulations governing certification of
H-2 non-immigrant temporary agricultural employment at 20 CFR part 655,
subpart B;
(iv) a rulemaking proceeding under the Occupational Safety and
Health Act of 1970; and
(v) a proceeding for civil penalty assessments under Employee
Retirement Income Security Act of 1974, 29 U.S.C. 1132.
(C) Parties Exempt from Initial Disclosure. The following parties
are exempt from initial disclosure:
(i) in a Black Lung benefits proceeding under 30 U.S.C. 901 et
seq., the representative of the Office of
[[Page 72182]]
Workers' Compensation Programs of the Department of Labor, if an
employer has been identified as the Responsible Operator and is a party
to the proceeding (see 20 CFR 725.418(d)); and
(ii) in a proceeding under the Longshore and Harbor Workers'
Compensation Act, 33 U.S.C. 901 et seq., or an associated statute such
as the Defense Base Act, 42 U.S.C. 1651 et seq., the representative of
the Office of Workers' Compensation Programs of the Department of
Labor, unless the Solicitor of Labor or the Solicitor's designee has
elected to participate in the proceeding under 20 CFR 702.333(b), or
unless an employer or carrier has applied for relief under the special
fund, as defined in 33 U.S.C. 908(f).
(D) Time for initial disclosures--in general. A party must make the
initial disclosures required by paragraph (c)(1)(A) of this section
within 21 days after an initial notice or order is entered
acknowledging that the proceeding has been docketed at the OALJ unless
(i) a different time is set by stipulation or a judge's order, or (ii)
a party objects during the conference that initial disclosures are not
appropriate in the proceeding and states the objection in the proposed
discovery plan. In ruling on the objection, the judge must determine
what disclosures, if any, are to be made and must set the time for
disclosure.
(E) Time for initial disclosures--for parties served or joined
later. A party that is first served or otherwise joined later in the
proceeding must make the initial disclosures within 21 days after being
served or joined, unless a different time is set by stipulation or the
judge's order.
(F) Basis for initial disclosure; unacceptable excuses. A party
must make its initial disclosures based on the information then
reasonably available to it. A party is not excused from making its
disclosures because it has not fully investigated the case or because
it challenges the sufficiency of another party's disclosures or because
another party has not made its disclosures.
(2) Disclosure of expert testimony.
(A) In general. A party must disclose to the other parties the
identity of any witness who may testify at hearing, either live or by
deposition. The judge should set the time for the disclosure by
prehearing order.
(B) Witnesses who must provide a written report. Unless otherwise
stipulated or ordered by the judge, this disclosure must be accompanied
by a written report--prepared and signed by the witness--if the witness
is one retained or specially employed to provide expert testimony in
the case or one whose duties as the party's employee regularly involve
giving expert testimony. The report must contain:
(i) a complete statement of all opinions the witness will express
and the basis and reasons for them;
(ii) the facts or data considered by the witness in forming them;
(iii) any exhibits that will be used to summarize or support them;
(iv) the witness's qualifications, including a list of all
publications authored in the previous 10 years;
(v) a list of all other cases in which, during the previous 4
years, the witness testified as an expert at trial, a hearing, or by
deposition; and
(vi) a statement of the compensation to be paid for the study and
testimony in the case.
(C) Witnesses who do not provide a written report. Unless otherwise
stipulated or ordered by the judge that the witness is not required to
provide a written report, this disclosure must state:
(i) the subject matter on which the witness is expected to present
expert opinion evidence; and
(ii) a summary of the facts and opinions to which the witness is
expected to testify.
(D) Supplementing the disclosure. The parties must supplement these
disclosures when required under Sec. 18.53.
(3) Prehearing disclosures. In addition to the disclosures required
by paragraphs (c)(1) and (2) of this section, a party must provide to
the other parties and promptly file the prehearing disclosures
described in Sec. 18.80.
(4) Form of disclosures. Unless the judge orders otherwise, all
disclosures under paragraph (c) under this section must be in writing,
signed, and served.
(d) Signing disclosures and discovery requests, responses, and
objections.
(1) Signature required; effect of signature. Every disclosure under
paragraph (c) of this section and every discovery request, response, or
objection must be signed by at least one of the party's representatives
in the representative's own name, or by the party personally if
unrepresented, and must state the signer's address, telephone number,
facsimile number, and email address, if any. By signing, a
representative or party certifies that to the best of the person's
knowledge, information, and belief formed after a reasonable inquiry:
(A) with respect to a disclosure, it is complete and correct as of
the time it is made; and
(B) with respect to a discovery request, response, or objection, it
is:
(i) consistent with these rules and warranted by existing law or by
a nonfrivolous argument for extending, modifying, or reversing existing
law, or for establishing new law;
(ii) not interposed for any improper purpose, such as to harass,
cause unnecessary delay, or needlessly increase the cost of litigation;
and
(iii) neither unreasonable nor unduly burdensome or expensive,
considering the needs of the case, prior discovery in the case, the
amount in controversy, and the importance of the issues at stake in the
action.
(2) Failure to sign. Other parties have no duty to act on an
unsigned disclosure, request, response, or objection until it is
signed, and the judge must strike it unless a signature is promptly
supplied after the omission is called to the representative's or
party's attention.
(3) Sanction for improper certification. If a certification
violates this section without substantial justification, the judge, on
motion or on his or her own, must impose an appropriate sanction, as
provided in Sec. 18.57, on the signer, the party on whose behalf the
signer was acting, or both.
Sec. 18.51 Discovery scope and limits.
(a) Scope in general. Unless otherwise limited by a judge's order,
the scope of discovery is as follows: Parties may obtain discovery
regarding any nonprivileged matter that is relevant to any party's
claim or defense--including the existence, description, nature,
custody, condition, and location of any documents or other tangible
things and the identity and location of persons who know of any
discoverable matter. For good cause, the judge may order discovery of
any matter relevant to the subject matter involved in the proceeding.
Relevant information need not be admissible at the hearing if the
discovery appears reasonably calculated to lead to the discovery of
admissible evidence. All discovery is subject to the limitations
imposed by paragraph (b)(4) of this section.
(b) Limitations on frequency and extent.
(1) When permitted. By order, the judge may alter the limits in
these rules on the number of depositions and interrogatories or on the
length of depositions under Sec. 18.64. The judge's order may also
limit the number of requests under Sec. 18.63.
(2) Specific limitations on electronically stored information. A
party need not provide discovery of electronically stored information
from sources that the party identifies as not
[[Page 72183]]
reasonably accessible because of undue burden or cost. On motion to
compel discovery or for a protective order, the party from whom
discovery is sought must show that the information is not reasonably
accessible because of undue burden or cost. If that showing is made,
the judge may nonetheless order discovery from such sources if the
requesting party shows good cause, considering the limitations of
paragraph (b)(4) of this section. The judge may specify conditions for
the discovery.
(3) By requesting electronically stored information, a party
consents to the application of Federal Rule of Evidence 502 with regard
to inadvertently disclosed privileged or protected information.
(4) When required. On motion or on his or her own, the judge must
limit the frequency or extent of discovery otherwise allowed by these
rules when:
(A) the discovery sought is unreasonably cumulative or duplicative,
or can be obtained from some other source that is more convenient, less
burdensome, or less expensive;
(B) the party seeking discovery has had ample opportunity to obtain
the information by discovery in the action; or
(C) the burden or expense of the proposed discovery outweighs its
likely benefit, considering the needs of the case, the amount in
controversy, the parties' resources, the importance of the issues at
stake in the action, and the importance of the discovery in resolving
the issues.
(c) Hearing preparation: materials.
(1) Documents and tangible things. Ordinarily, a party may not
discover documents and tangible things that are prepared in
anticipation of litigation or for hearing by or for another party or
its representative (including the other party's attorney, consultant,
surety, indemnitor, insurer, or agent). But, subject to paragraph (d)
of this section, those materials may be discovered if:
(A) they are otherwise discoverable under paragraph (a) of this
section; and
(B) the party shows that it has substantial need for the materials
to prepare its case and cannot, without undue hardship, obtain their
substantial equivalent by other means.
(2) Protection against disclosure. A judge who orders discovery of
those materials must protect against disclosure of the mental
impressions, conclusions, opinions, or legal theories of a party's
representative concerning the litigation.
(3) Previous statement. Any party or other person may, on request
and without the required showing, obtain the person's own previous
statement about the action or its subject matter. If the request is
refused, the person may move for a judge's order. A previous statement
is either:
(A) a written statement that the person has signed or otherwise
adopted or approved; or
(B) a contemporaneous stenographic, mechanical, electrical, or
other recording--or a transcription of it--that recites substantially
verbatim the person's oral statement.
(d) Hearing preparation: experts.
(1) Deposition of an expert who may testify. A party may depose any
person who has been identified as an expert whose opinions may be
presented at trial. If Sec. 18.50(c)(2)(B) requires a report from the
expert the deposition may be conducted only after the report is
provided, unless the parties stipulate otherwise.
(2) Hearing-preparation protection for draft reports or
disclosures. Paragraphs (c)(1) and (2) of this section protect drafts
of any report or disclosure required under Sec. 18.50(c)(2),
regardless of the form in which the draft is recorded.
(3) Hearing-preparation protection for communications between a
party's representative and expert witnesses. Paragraphs (c)(1) and (2)
under this section protect communications between the party's
representative and any witness required to provide a report under Sec.
18.50(c)(2)(B), regardless of the form of the communications, except to
the extent that the communications:
(A) relate to compensation for the expert's study or testimony;
(B) identify facts or data that the party's representative provided
and that the expert considered in forming the opinions to be expressed;
or
(C) identify assumptions that the party's representative provided
and that the expert relied on in forming the opinions to be expressed.
(4) Expert employed only for hearing preparation. Ordinarily, a
party may not, by interrogatories or deposition, discover facts known
or opinions held by an expert who has been retained or specially
employed by another party in anticipation of litigation or to prepare
for hearing and whose testimony is not anticipated to be used at the
hearing. But a party may do so only:
(A) as provided in Sec. 18.62(b); or
(B) on showing exceptional circumstances under which it is
impracticable for the party to obtain facts or opinions on the same
subject by other means.
(e) Claiming privilege or protecting hearing-preparation materials.
(1) Information withheld. When a party withholds information
otherwise discoverable by claiming that the information is privileged
or subject to protection as hearing-preparation material, the party
must:
(A) expressly make the claim; and
(B) describe the nature of the documents, communications, or
tangible things not produced or disclosed--and do so in a manner that,
without revealing information itself privileged or protected, will
enable other parties to assess the claim.
(2) Information produced. If information produced in discovery is
subject to a claim of privilege or of protection as hearing-preparation
material, the party making the claim must notify any party that
received the information of the claim and the basis for it. After being
notified, a party must promptly return, sequester, or destroy the
specified information and any copies it has; must not use or disclose
the information until the claim is resolved; must take reasonable steps
to retrieve the information if the party disclosed it before being
notified; and may promptly present the information to the judge for an
in camera determination of the claim. The producing party must preserve
the information until the claim is resolved.
Sec. 18.52 Protective orders.
(a) In general. A party or any person from whom discovery is sought
may file a written motion for a protective order. The motion must
include a certification that the movant has in good faith conferred or
attempted to confer with other affected parties in an effort to resolve
the dispute without the judge's action. The judge may, for good cause,
issue an order to protect a party or person from annoyance,
embarrassment, oppression, or undue burden or expense, including one or
more of the following:
(1) forbidding the disclosure or discovery;
(2) specifying terms, including time and place, for the disclosure
or discovery;
(3) prescribing a discovery method other than the one selected by
the party seeking discovery;
(4) forbidding inquiry into certain matters, or limiting the scope
of disclosure or discovery to certain matters;
(5) designating the persons who may be present while the discovery
is conducted;
(6) requiring that a deposition be sealed and opened only on the
judge's order;
(7) requiring that a trade secret or other confidential research,
development, or commercial
[[Page 72184]]
information not be revealed or be revealed only in a specified way; and
(8) requiring that the parties simultaneously file specified
documents or information in sealed envelopes, to be opened as the judge
directs.
(b) Ordering discovery. If a motion for a protective order is
wholly or partly denied, the judge may, on just terms, order that any
party or person provide or permit discovery.
Sec. 18.53 Supplementing disclosures and responses.
(a) In general. A party who has made a disclosure under Sec.
18.50(c)--or who has responded to an interrogatory, request for
production, or request for admission--must supplement or correct its
disclosure or response:
(1) in a timely manner if the party learns that in some material
respect the disclosure or response is incomplete or incorrect, and if
the additional or corrective information has not otherwise been made
known to the other parties during the discovery process or in writing;
or
(2) as ordered by the judge.
(b) Expert witness. For an expert whose report must be disclosed
under Sec. 18.50(c)(2)(B), the party's duty to supplement extends both
to information included in the report and to information given during
the expert's deposition. Any additions or changes to this information
must be disclosed by the time the party's prehearing disclosures under
Sec. 18.50(c)(3) are due.
Sec. 18.54 Stipulations about discovery procedure.
Unless the judge orders otherwise, the parties may stipulate that:
(a) a deposition may be taken before any person, at any time or
place, on any notice, and in the manner specified--in which event it
may be used in the same way as any other deposition; and
(b) other procedures governing or limiting discovery be modified--
but a stipulation extending the time for any form of discovery must
have the judge's approval if it would interfere with the time set for
completing discovery, for hearing a motion, or for hearing.
Sec. 18.55 Using depositions at hearings.
(a) Using depositions.
(1) In general. At a hearing, all or part of a deposition may be
used against a party on these conditions:
(A) the party was present or represented at the taking of the
deposition or had reasonable notice of it;
(B) it is used to the extent it would be admissible under the
applicable rules of evidence if the deponent were present and
testifying; and
(C) the use is allowed by paragraphs (a)(2) through (8) of this
section.
(2) Impeachment and other uses. Any party may use a deposition to
contradict or impeach the testimony given by the deponent as a witness,
or for any other purpose allowed by the applicable rules of evidence.
(3) Deposition of party, agent, or designee. An adverse party may
use for any purpose the deposition of a party or anyone who, when
deposed, was the party's officer, director, managing agent, or designee
under Sec. 18.64(b)(6) or Sec. 18.65(a)(4).
(4) Deposition of expert, treating physician, or examining
physician. A party may use for any purpose the deposition of an expert
witness, treating physician or examining physician.
(5) Unavailable witness. A party may use for any purpose the
deposition of a witness, whether or not a party, if the judge finds:
(A) that the witness is dead;
(B) that the witness is more than 100 miles from the place of
hearing or is outside the United States, unless it appears that the
witness's absence was procured by the party offering the deposition;
(C) that the witness cannot attend or testify because of age,
illness, infirmity, or imprisonment;
(D) that the party offering the deposition could not procure the
witness's attendance by subpoena; or
(E) on motion and notice, that exceptional circumstances make it
desirable--in the interests of justice and with due regard to the
importance of live testimony in an open hearing--to permit the
deposition to be used.
(6) Limitations on use.
(A) Deposition taken on short notice. A deposition must not be used
against a party who, having received less than 14 days' notice of the
deposition, promptly moved for a protective order under Sec.
18.52(a)(2) requesting that it not be taken or be taken at a different
time or place--and this motion was still pending when the deposition
was taken.
(B) Unavailable deponent; party could not obtain a representative.
A deposition taken without leave of the judge under the unavailability
provision of Sec. 18.64(a)(2)(A)(iii) must not be used against a party
who shows that, when served with the notice, it could not, despite
diligent efforts, obtain a representative to represent it at the
deposition.
(7) Using part of a deposition. If a party offers in evidence only
part of a deposition, an adverse party may require the offeror to
introduce other parts that in fairness should be considered with the
part introduced, and any party may itself introduce any other parts.
(8) Deposition taken in an earlier action. A deposition lawfully
taken may be used in a later action involving the same subject matter
between the same parties, or their representatives or successors in
interest, to the same extent as if taken in the later action. A
deposition previously taken may also be used as allowed by the
applicable rules of evidence.
(b) Objections to admissibility. Subject to paragraph (d)(3) of
this section, an objection may be made at a hearing to the admission of
any deposition testimony that would be inadmissible if the witness were
present and testifying.
(c) Form of presentation. Unless the judge orders otherwise, a
party must provide a transcript of any deposition testimony the party
offers, but the judge may receive the testimony in nontranscript form
as well.
(d) Waiver of objections.
(1) To the notice. An objection to an error or irregularity in a
deposition notice is waived unless promptly served in writing on the
party giving the notice.
(2) To the officer's qualification. An objection based on
disqualification of the officer before whom a deposition is to be taken
is waived if not made:
(A) before the deposition begins; or
(B) promptly after the basis for disqualification becomes known or,
with reasonable diligence, could have been known.
(3) To the taking of the deposition.
(A) Objection to competence, relevance, or materiality. An
objection to a deponent's competence--or to the competence, relevance,
or materiality of testimony--is not waived by a failure to make the
objection before or during the deposition, unless the ground for it
might have been corrected at that time.
(B) Objection to an error or irregularity. An objection to an error
or irregularity at an oral examination is waived if:
(i) it relates to the manner of taking the deposition, the form of
a question or answer, the oath or affirmation, a party's conduct, or
other matters that might have been corrected at that time; and
(ii) it is not timely made during the deposition.
(C) Objection to a written question. An objection to the form of a
written question under Sec. 18.65 is waived if not served in writing
on the party submitting the question within the time for serving
responsive questions or, if the question is a recross-question, within
7 days after being served with it.
(4) To completing and returning the deposition. An objection to how
the officer transcribed the testimony--or
[[Page 72185]]
prepared, signed, certified, sealed, endorsed, sent, or otherwise dealt
with the deposition--is waived unless a motion to suppress is made
promptly after the error or irregularity becomes known or, with
reasonable diligence, could have been known.
Sec. 18.56 Subpoena.
(a) In general.
(1) Upon written application of a party the judge may issue a
subpoena authorized by statute or law that requires a witness to attend
and to produce relevant papers, books, documents, or tangible things in
the witness' possession or under the witness' control.
(2) Form and contents.
(A) Requirements--in general. Every subpoena must:
(i) state the title of the matter and show the case number assigned
by the Office of Administrative Law Judges or the Office of Worker's
Compensation Programs. In the event that the case number is an
individual's Social Security number only the last four numbers may be
used. See Sec. 18.31(a)(1);
(ii) bear either the signature of the issuing judge or the
signature of an attorney authorized to issue the subpoena under
paragraph (a)(3) of this section;
(iii) command each person to whom it is directed to do the
following at a specified time and place: attend and testify; produce
designated documents, electronically stored information, or tangible
things in that person's possession, custody, or control; or permit the
inspection of premises; and
(iv) set out the text of paragraphs (c) and (d) of this section.
(B) Command to attend a deposition--notice of the recording method.
A subpoena commanding attendance at a deposition must state the method
for recording the testimony.
(C) Combining or separating a command to produce or to permit
inspection; specifying the form for electronically stored information.
A command to produce documents, electronically stored information, or
tangible things or to permit the inspection of premises may be included
in a subpoena commanding attendance at a deposition or hearing, or may
be set out in a separate subpoena. A subpoena may specify the form or
forms in which electronically stored information is to be produced.
(D) Command to produce; included obligations. A command in a
subpoena to produce documents, electronically stored information, or
tangible things requires the responding party to permit inspection,
copying, testing, or sampling of the materials.
(3) The judge may, by order in a specific proceeding, authorize an
attorney representative to issue and sign a subpoena.
(b) Service.
(1) By whom; tendering fees; serving a copy of certain subpoenas.
Any person who is at least 18 years old and not a party may serve a
subpoena. Serving a subpoena requires delivering a copy to the named
person and, if the subpoena requires that person's attendance,
tendering with it the fees for 1 day's attendance and the mileage
allowed by law. Service may also be made by certified mail with return
receipt. Fees and mileage need not be tendered when the subpoena issues
on behalf of the United States or any of its officers or agencies. If
the subpoena commands the production of documents, electronically
stored information, or tangible things or the inspection of premises
before the formal hearing, then before it is served, a notice must be
served on each party.
(2) Service in the United States. Subject to paragraph
(c)(3)(A)(ii) of this section, a subpoena may be served at any place
within a State, Commonwealth, or Territory of the United States, or the
District of Columbia.
(3) Service in a foreign country. 28 U.S.C. 1783 governs issuing
and serving a subpoena directed to a United States national or resident
who is in a foreign country.
(4) Proof of service. Proving service, when necessary, requires
filing with the judge a statement showing the date and manner of
service and the names of the persons served. The statement must be
certified by the server.
(c) Protecting a person subject to a subpoena.
(1) Avoiding undue burden; sanctions. A party or representative
responsible for requesting, issuing, or serving a subpoena must take
reasonable steps to avoid imposing undue burden on a person subject to
the subpoena. The judge must enforce this duty and impose an
appropriate sanction.
(2) Command to produce materials or permit inspection.
(A) Appearance not required. A person commanded to produce
documents, electronically stored information, or tangible things, or to
permit the inspection of premises, need not appear in person at the
place of production or inspection unless also commanded to appear for a
deposition or hearing.
(B) Objections. A person commanded to produce documents or tangible
things or to permit inspection may serve on the party or representative
designated in the subpoena a written objection to inspecting, copying,
testing or sampling any or all of the materials or to inspecting the
premises--or to producing electronically stored information in the form
or forms requested. The objection must be served before the earlier of
the time specified for compliance or 14 days after the subpoena is
served. If an objection is made, the following rules apply:
(i) At any time, on notice to the commanded person, the serving
party may move the judge for an order compelling production or
inspection.
(ii) These acts may be required only as directed in the order, and
the order must protect a person who is neither a party nor a party's
officer from significant expense resulting from compliance.
(3) Quashing or modifying a subpoena.
(A) When required. On timely motion, the judge must quash or modify
a subpoena that:
(i) fails to allow a reasonable time to comply;
(ii) requires a person who is neither a party nor a party's officer
to travel more than 100 miles from where that person resides, is
employed, or regularly transacts business in person--except that,
subject to paragraph (c)(3)(B)(iii) of this section, the person may be
commanded to attend the formal hearing;
(iii) requires disclosure of privileged or other protected matter,
if no exception or waiver applies; or
(iv) subjects a person to undue burden.
(B) When permitted. To protect a person subject to or otherwise
affected by a subpoena, the judge may, on motion, quash or modify the
subpoena if it requires:
(i) disclosing a trade secret or other confidential research,
development, or commercial information;
(ii) disclosing an unretained expert's opinion or information that
does not describe specific occurrences in dispute and results from the
expert's study that was not requested by a party; or
(iii) a person who is neither a party nor a party's officer to
incur substantial expense to travel more than 100 miles to attend the
formal hearing.
(C) Specifying conditions as an alternative. In the circumstances
described in paragraph (c)(3)(B) of this section, the judge may,
instead of quashing or modifying a subpoena, order appearance or
production under specified conditions if the serving party:
(i) shows a substantial need for the testimony or material that
cannot be
[[Page 72186]]
otherwise met without undue hardship; and
(ii) ensures that the subpoenaed person will be reasonably
compensated.
(d) Duties in responding to a subpoena.
(1) Producing documents or electronically stored information. These
procedures apply to producing documents or electronically stored
information:
(A) Documents. A person responding to a subpoena to produce
documents must produce them as they are kept in the ordinary course of
business or must organize and label them to correspond to the
categories in the demand.
(B) Form for producing electronically stored information not
specified. If a subpoena does not specify a form for producing
electronically stored information, the person responding must produce
it in a form or forms in which it is ordinarily maintained or in a
reasonably usable form or forms.
(C) Electronically stored information produced in only one form.
The person responding need not produce the same electronically stored
information in more than one form.
(D) Inaccessible electronically stored information. The person
responding need not provide discovery of electronically stored
information from sources that the person identifies as not reasonably
accessible because of undue burden or cost. On motion to compel
discovery or for a protective order, the person responding must show
that the information is not reasonably accessible because of undue
burden or cost. If that showing is made, the judge may nonetheless
order discovery from such sources if the requesting party shows good
cause, considering the limitations of Sec. 18.51(b)(4)(C). The judge
may specify conditions for the discovery.
(2) Claiming privilege or protection.
(A) Information withheld. A person withholding subpoenaed
information under a claim that it is privileged or subject to
protection as hearing-preparation material must:
(i) expressly make the claim; and
(ii) describe the nature of the withheld documents, communications,
or tangible things in a manner that, without revealing information
itself privileged or protected, will enable the parties to assess the
claim.
(B) Information produced. If information produced in response to a
subpoena is subject to a claim of privilege or of protection as
hearing-preparation material, the person making the claim may notify
any party that received the information of the claim and the basis for
it. After being notified, a party must promptly return, sequester, or
destroy the specified information and any copies it has; must not use
or disclose the information until the claim is resolved; must take
reasonable steps to retrieve the information if the party disclosed it
before being notified; and may promptly present the information to the
judge in camera for a determination of the claim. The person who
produced the information must preserve the information until the claim
is resolved.
(e) Failure to obey. When a person fails to obey a subpoena, the
party adversely affected by the failure may, when authorized by statute
or by law, apply to the appropriate district court to enforce the
subpoena.
Sec. 18.57 Failure to make disclosures or to cooperate in discovery;
sanctions.
(a) Motion for an order compelling disclosure or discovery.
(1) In general. On notice to other parties and all affected
persons, a party may move for an order compelling disclosure or
discovery. The motion must include a certification that the movant has
in good faith conferred or attempted to confer with the person or party
failing to make disclosure or discovery in an effort to obtain it
without the judge's action.
(2) Specific motions.
(A) To compel disclosure. If a party fails to make a disclosure
required by Sec. 18.50(c), any other party may move to compel
disclosure and for appropriate sanctions.
(B) To compel a discovery response. A party seeking discovery may
move for an order compelling an answer, designation, production, or
inspection. This motion may be made if:
(i) a deponent fails to answer a question asked under Sec. Sec.
18.64 and 18.65;
(ii) a corporation or other entity fails to make a designation
under Sec. Sec. 18.64(d) and 18.65(a)(4);
(iii) a party fails to answer an interrogatory submitted under
Sec. 18.60; or
(iv) a party fails to respond that inspection will be permitted--or
fails to permit inspection--as requested under Sec. 18.61.
(C) Related to a deposition. When taking an oral deposition, the
party asking a question may complete or adjourn the examination before
moving for an order.
(3) Evasive or incomplete disclosure, answer, or response. For
purposes of paragraph (a) of this section, an evasive or incomplete
disclosure, answer, or response must be treated as a failure to
disclose, answer, or respond.
(b) Failure to comply with a judge's order.
(1) For not obeying a discovery order. If a party or a party's
officer, director, or managing agent--or a witness designated under
Sec. Sec. 18.64(b)(6) and 18.65(a)(4)--fails to obey an order to
provide or permit discovery, including an order under Sec. 18.50(b) or
paragraph (a) of this section, the judge may issue further just orders.
They may include the following:
(A) directing that the matters embraced in the order or other
designated facts be taken as established for purposes of the
proceeding, as the prevailing party claims;
(B) prohibiting the disobedient party from supporting or opposing
designated claims or defenses, or from introducing designated matters
in evidence;
(C) striking claims or defenses in whole or in part;
(D) staying further proceedings until the order is obeyed;
(E) dismissing the proceeding in whole or in part; or
(F) rendering a default decision and order against the disobedient
party;
(2) For not producing a person for examination. If a party fails to
comply with an order under Sec. 18.62 requiring it to produce another
person for examination, the judge may issue any of the orders listed in
paragraph (b)(1) of this section, unless the disobedient party shows
that it cannot produce the other person.
(c) Failure to disclose, to supplement an earlier response, or to
admit. If a party fails to provide information or identify a witness as
required by Sec. Sec. 18.50(c) and 18.53, or if a party fails to admit
what is requested under Sec. 18.63(a) and the requesting party later
proves a document to be genuine or the matter true, the party is not
allowed to use that information or witness to supply evidence on a
motion or at a hearing, unless the failure was substantially justified
or is harmless. In addition to or instead of this sanction, the judge,
on motion and after giving an opportunity to be heard may impose other
appropriate sanctions, including any of the orders listed in paragraph
(b)(1) of this section.
(d) Party's failure to attend its own deposition, serve answers to
interrogatories, or respond to a request for inspection.
(1) In general.
(A) Motion; grounds for sanctions. The judge may, on motion, order
sanctions if:
(i) a party or a party's officer, director, or managing agent--or a
person designated under Sec. Sec. 18.64(b)(6) and 18.65(a)(4)--fails,
after being served with proper notice, to appear for that person's
deposition; or
[[Page 72187]]
(ii) a party, after being properly served with interrogatories
under Sec. 18.60 or a request for inspection under Sec. 18.61, fails
to serve its answers, objections, or written response.
(B) Certification. A motion for sanctions for failing to answer or
respond must include a certification that the movant has in good faith
conferred or attempted to confer with the party failing to act in an
effort to obtain the answer or response without the judge's action.
(2) Unacceptable excuse for failing to act. A failure described in
paragraph (d)(1)(A) of this section is not excused on the ground that
the discovery sought was objectionable, unless the party failing to act
has a pending motion for a protective order under Sec. 18.52(a).
(3) Types of sanctions. Sanctions may include any of the orders
listed in paragraph (b)(1) of this section.
(e) Failure to provide electronically stored information. Absent
exceptional circumstances, a judge may not impose sanctions under these
rules on a party for failing to provide electronically stored
information lost as a result of the routine, good-faith operation of an
electronic information system.
(f) Procedure. A judge may impose sanctions under this section
upon:
(1) a separately filed motion; or
(2) notice from the judge followed by a reasonable opportunity to
be heard.
Types of Discovery
Sec. 18.60 Interrogatories to parties.
(a) In general.
(1) Number. Unless otherwise stipulated or ordered by the judge, a
party may serve on any other party no more than 25 written
interrogatories, including all discrete subparts. Leave to serve
additional interrogatories may be granted to the extent consistent with
Sec. 18.51.
(2) Scope. An interrogatory may relate to any matter that may be
inquired into under Sec. 18.51. An interrogatory is not objectionable
merely because it asks for an opinion or contention that relates to
fact or the application of law to fact, but the judge may order that
the interrogatory need not be answered until designated discovery is
complete, or until a prehearing conference or some other time.
(b) Answers and objections.
(1) Responding party. The interrogatories must be answered:
(A) by the party to whom they are directed; or
(B) if that party is a public or private corporation, a
partnership, an association, or a governmental agency, by any officer
or agent, who must furnish the information available to the party.
(2) Time to respond. The responding party must serve its answers
and any objections within 30 days after being served with the
interrogatories. A shorter or longer time may be stipulated to under
Sec. 18.54 or be ordered by the judge.
(3) Answering each interrogatory. Each interrogatory must, to the
extent it is not objected to, be answered separately and fully in
writing under oath.
(4) Objections. The grounds for objecting to an interrogatory must
be stated with specificity. Any ground not stated in a timely objection
is waived unless the judge, for good cause, excuses the failure.
(5) Signature. The person who makes the answers must sign them, and
the attorney or non-attorney representative who objects must sign any
objections.
(c) Use. An answer to an interrogatory may be used to the extent
allowed by the applicable rules of evidence.
(d) Option to produce business records. If the answer to an
interrogatory may be determined by examining, auditing, compiling,
abstracting, or summarizing a party's business records (including
electronically stored information), and if the burden of deriving or
ascertaining the answer will be substantially the same for either
party, the responding party may answer by:
(1) specifying the records that must be reviewed, in sufficient
detail to enable the interrogating party to locate and identify them as
readily as the responding party could; and
(2) giving the interrogating party a reasonable opportunity to
examine and audit the records and to make copies, compilations,
abstracts, or summaries.
Sec. 18.61 Producing documents, electronically stored information,
and tangible things, or entering onto land, for inspection and other
purposes.
(a) In general. A party may serve on any other party a request
within the scope of Sec. 18.51:
(1) to produce and permit the requesting party or its
representative to inspect, copy, test, or sample the following items in
the responding party's possession, custody, or control:
(A) any designated documents or electronically stored information--
including writings, drawings, graphs, charts, photographs, sound
recordings, images, and other data or data compilations--stored in any
medium from which information can be obtained either directly or, if
necessary, after translation by the responding party into a reasonably
usable form; or
(B) any designated tangible things; or
(2) to permit entry onto designated land or other property
possessed or controlled by the responding party, so that the requesting
party may inspect, measure, survey, photograph, test, or sample the
property or any designated object or operation on it.
(b) Procedure.
(1) Contents of the request. The request:
(A) must describe with reasonable particularity each item or
category of items to be inspected;
(B) must specify a reasonable time, place, and manner for the
inspection and for performing the related acts; and
(C) may specify the form or forms in which electronically stored
information is to be produced.
(2) Responses and objections.
(A) Time to respond. The party to whom the request is directed must
respond in writing within 30 days after being served. A shorter or
longer time may be stipulated to under Sec. 18.54 or be ordered by the
judge.
(B) Responding to each item. For each item or category, the
response must either state that inspection and related activities will
be permitted as requested or state an objection to the request,
including the reasons.
(C) Objections. An objection to part of a request must specify the
part and permit inspection of the rest.
(D) Responding to a request for production of electronically stored
information. The response may state an objection to a requested form
for producing electronically stored information. If the responding
party objects to a requested form--or if no form was specified in the
request--the party must state the form or forms it intends to use.
(E) Producing the documents or electronically stored information.
Unless otherwise stipulated or ordered by the judge, these procedures
apply to producing documents or electronically stored information:
(i) A party must produce documents as they are kept in the usual
course of business or must organize and label them to correspond to the
categories in the request;
(ii) If a request does not specify a form for producing
electronically stored information, a party must produce it in a form or
forms in which it is ordinarily maintained or in a reasonably usable
form or forms; and
(iii) A party need not produce the same electronically stored
information in more than one form.
(c) Nonparties. As provided in Sec. 18.56, a nonparty may be
compelled to produce documents and tangible things or to permit an
inspection.
[[Page 72188]]
Sec. 18.62 Physical and mental examinations.
(a) Examination by notice.
(1) In general. A party may serve upon another party whose mental
or physical condition is in controversy a notice to attend and submit
to an examination by a suitably licensed or certified examiner.
(2) Contents of the notice. The notice must specify:
(A) the legal basis for the examination;
(B) the time, place, manner, conditions, and scope of the
examination, as well as the person or persons who will perform it; and
(C) how the reasonable transportation expenses were calculated.
(3) Service of notice. Unless otherwise agreed by the parties, the
notice must be served no fewer than 14 days before the examination
date.
(4) Objection. The person to be examined must serve any objection
to the notice no later than 7 days after the notice is served. The
objection must be stated with particularity.
(b) Examination by motion.
Upon objection by the person to be examined the requesting party
may file a motion to compel a physical or mental examination. The
motion must include the elements required by paragraph (a)(2) of this
section.
(c) Examiner's report.
(1) Delivery of the report. The party who initiated the examination
must, deliver a complete copy of the examination report to the party
examined, together with like reports of all earlier examinations of the
same condition.
(2) Contents. The examiner's report must be in writing and must set
out in detail the examiner's findings, including diagnoses,
conclusions, and the results of any tests.
Sec. 18.63 Requests for admission.
(a) Scope and procedure.
(1) Scope. A party may serve on any other party a written request
to admit, for purposes of the pending action only, the truth of any
matters within the scope of Sec. 18.51 relating to:
(A) facts, the application of law to fact, or opinions about
either; and
(B) the genuineness of any described documents.
(2) Form; copy of a document. Each matter must be separately
stated. A request to admit the genuineness of a document must be
accompanied by a copy of the document unless it is, or has been,
otherwise furnished or made available for inspection and copying.
(3) Time to respond; effect of not responding. A matter is admitted
unless, within 30 days after being served, the party to whom the
request is directed serves on the requesting party a written answer or
objection addressed to the matter and signed by the party or its
attorney. A shorter or longer time for responding may be stipulated to
under Sec. 18.54 or be ordered by the judge.
(4) Answer. If a matter is not admitted, the answer must
specifically deny it or state in detail why the answering party cannot
truthfully admit or deny it. A denial must fairly respond to the
substance of the matter; and when good faith requires that a party
qualify an answer or deny only a part of a matter, the answer must
specify the part admitted and qualify or deny the rest. The answering
party may assert lack of knowledge or information as a reason for
failing to admit or deny only if the party states that it has made
reasonable inquiry and that the information it knows or can readily
obtain is insufficient to enable it to admit or deny.
(5) Objections. The grounds for objecting to a request must be
stated. A party must not object solely on the ground that the request
presents a genuine issue for hearing.
(6) Motion regarding the sufficiency of an answer or objection. The
requesting party may move to determine the sufficiency of an answer or
objection. Unless the judge finds an objection justified, the judge
must order that an answer be served. On finding that an answer does not
comply with this section, the judge may order either that the matter is
admitted or that an amended answer be served. The judge may defer final
decision until a prehearing conference or a specified time before the
hearing.
(b) Effect of an admission; withdrawing or amending it. A matter
admitted under this section is conclusively established unless the
judge, on motion, permits the admission to be withdrawn or amended. The
judge may permit withdrawal or amendment if it would promote the
presentation of the merits of the action and if the judge is not
persuaded that it would prejudice the requesting party in maintaining
or defending the action on the merits. An admission under this section
is not an admission for any other purpose and cannot be used against
the party in any other proceeding.
Sec. 18.64 Depositions by oral examination.
(a) When a deposition may be taken.
(1) Without leave. A party may, by oral questions, depose any
person, including a party, without leave of the judge except as
provided in paragraph (a)(2) of this section. The deponent's attendance
may be compelled by subpoena under Sec. 18.56.
(2) With leave. A party must obtain leave of the judge, and the
judge must grant leave to the extent consistent with Sec. 18.51(b):
(A) if the parties have not stipulated to the deposition and:
(i) the deposition would result in more than 10 depositions being
taken under this section or Sec. 18.65 by one of the parties;
(ii) the deponent has already been deposed in the case; or
(iii) the party seeks to take the deposition before the time
specified in Sec. 18.50(a), unless the party certifies in the notice,
with supporting facts, that the deponent is expected to leave the
United States and be unavailable for examination in this country after
that time; or
(B) if the deponent is confined in prison.
(b) Notice of the deposition; other formal requirements.
(1) Notice in general. Except as stipulated or otherwise ordered by
the judge, a party who wants to depose a person by oral questions must
give reasonable written notice to every other party of no fewer than 14
days. The notice must state the time and place of the deposition and,
if known, the deponent's name and address. If the name is unknown, the
notice must provide a general description sufficient to identify the
person or the particular class or group to which the person belongs.
(2) Producing documents. If a subpoena duces tecum is to be served
on the deponent, the materials designated for production, as set out in
the subpoena, must be listed in the notice or in an attachment. If the
notice to a party deponent is accompanied by a request for production
under Sec. 18.61, the notice must comply with the requirements of
Sec. 18.61(b).
(3) Method of recording.
(A) Method stated in the notice. The party who notices the
deposition must state in the notice the method for recording the
testimony. Unless the judge orders otherwise, testimony may be recorded
by audio, audiovisual, or stenographic means. The noticing party bears
the recording costs. Any party may arrange to transcribe a deposition.
(B) Additional method. With prior notice to the deponent and other
parties, any party may designate another method for recording the
testimony in addition to that specified in the original notice. That
party bears the expense of the additional record or transcript unless
the judge orders otherwise.
[[Page 72189]]
(4) By remote means. The parties may stipulate--or the judge may on
motion order--that a deposition be taken by telephone or other remote
means. For the purpose of this section, the deposition takes place
where the deponent answers the questions.
(5) Officer's duties.
(A) Before the deposition. Unless the parties stipulate otherwise,
a deposition must be conducted before a person having power to
administer oaths. The officer must begin the deposition with an on-the-
record statement that includes:
(i) The officer's name and business address;
(ii) the date, time, and place of the deposition;
(iii) the deponent's name;
(iv) the officer's administration of the oath or affirmation to the
deponent;
(v) the identity of all persons present; and
(vi) the date and method of service of the notice of deposition.
(B) Conducting the deposition; avoiding distortion. If the
deposition is recorded nonstenographically, the officer must repeat the
items in paragraphs (b)(5)(A)(i)-(iii) of this section at the beginning
of each unit of the recording medium. The deponent's and attorneys'
appearance or demeanor must not be distorted through recording
techniques.
(C) After the deposition. At the end of a deposition, the officer
must state on the record that the deposition is complete and must set
out any stipulations made by the attorneys about custody of the
transcript or recording and of the exhibits, or about any other
pertinent matters.
(6) Notice or subpoena directed to an organization. In its notice
or subpoena, a party may name as the deponent a public or private
corporation, a partnership, an association, a governmental agency, or
other entity and must describe with reasonable particularity the
matters for examination. The named organization must then designate one
or more officers, directors, or managing agents, or designate other
persons who consent to testify on its behalf; and it may set out the
matters on which each person designated will testify. A subpoena must
advise a nonparty organization of its duty to make this designation.
The persons designated must testify about information known or
reasonably available to the organization. This paragraph (6) does not
preclude a deposition by any other procedure allowed by these rules.
(c) Examination and cross-examination; record of the examination;
objections; written questions.
(1) Examination and cross-examination. The examination and cross-
examination of a deponent proceed as they would at the hearing under
the applicable rules of evidence. After putting the deponent under oath
or affirmation, the officer must record the testimony by the method
designated under paragraph (b)(3)(A) of this section. The testimony
must be recorded by the officer personally or by a person acting in the
presence and under the direction of the officer.
(2) Objections. An objection at the time of the examination--
whether to evidence, to a party's conduct, to the officer's
qualifications, to the manner of taking the deposition, or to any other
aspect of the deposition--must be noted on the record, but the
examination still proceeds; the testimony is taken subject to any
objection. An objection must be stated concisely in a nonargumentative
and nonsuggestive manner. A person may instruct a deponent not to
answer only when necessary to preserve a privilege, to enforce a
limitation ordered by the judge, or to present a motion under paragraph
(d)(3) of this section.
(3) Participating through written questions. Instead of
participating in the oral examination, a party may serve written
questions in a sealed envelope on the party noticing the deposition,
who must deliver them to the officer. The officer must ask the deponent
those questions and record the answers verbatim.
(d) Duration; sanction; motion to terminate or limit.
(1) Duration. Unless otherwise stipulated or ordered by the judge,
a deposition is limited to 1 day of 7 hours. The judge must allow
additional time consistent with Sec. 18.51(b) if needed to fairly
examine the deponent or if the deponent, another person, or any other
circumstance impedes or delays the examination.
(2) Sanction. The judge may impose an appropriate sanction, in
accordance with Sec. 18.57, on a person who impedes, delays, or
frustrates the fair examination of the deponent.
(3) Motion to terminate or limit.
(A) Grounds. At any time during a deposition, the deponent or a
party may move to terminate or limit it on the ground that it is being
conducted in bad faith or in a manner that unreasonably annoys,
embarrasses, or oppresses the deponent or party. If the objecting
deponent or party so demands, the deposition must be suspended for the
time necessary to obtain an order.
(B) Order. The judge may order that the deposition be terminated or
may limit its scope and manner as provided in Sec. 18.52. If
terminated, the deposition may be resumed only by the judge's order.
(e) Review by the witness; changes.
(1) Review; statement of changes. On request by the deponent or a
party before the deposition is completed, the deponent must be allowed
30 days after being notified by the officer that the transcript or
recording is available in which:
(A) To review the transcript or recording; and
(B) if there are changes in form or substance, to sign a statement
listing the changes and the reasons for making them.
(2) Changes indicated in the officer's certificate. The officer
must note in the certificate prescribed by paragraph (f)(1) of this
section whether a review was requested and, if so, must attach any
changes the deponent makes during the 30-day period.
(f) Certification and delivery; exhibits; copies of the transcript
or recording; filing.
(1) Certification and delivery. The officer must certify in writing
that the witness was duly sworn and that the deposition accurately
records the witness's testimony. The certificate must accompany the
record of the deposition. Unless the judge orders otherwise, the
officer must seal the deposition in an envelope or package bearing the
title of the action and marked ``Deposition of [witness's name]'' and
must promptly send it to the party or the party's representative who
arranged for the transcript or recording. The party or the party's
representative must store it under conditions that will protect it
against loss, destruction, tampering, or deterioration.
(2) Documents and tangible things.
(A) Originals and copies. Documents and tangible things produced
for inspection during a deposition must, on a party's request, be
marked for identification and attached to the deposition. Any party may
inspect and copy them. But if the person who produced them wants to
keep the originals, the person may:
(i) Offer copies to be marked, attached to the deposition, and then
used as originals--after giving all parties a fair opportunity to
verify the copies by comparing them with the originals; or
(ii) give all parties a fair opportunity to inspect and copy the
originals after they are marked--in which event the originals may be
used as if attached to the deposition.
[[Page 72190]]
(B) Order regarding the originals. Any party may move for an order
that the originals be attached to the deposition pending final
disposition of the proceeding.
(3) Copies of the transcript or recording. Unless otherwise
stipulated or ordered by the judge, the officer must retain the
stenographic notes of a deposition taken stenographically or a copy of
the recording of a deposition taken by another method. When paid
reasonable charges, the officer must furnish a copy of the transcript
or recording to any party or the deponent.
(4) Notice of filing. A party who files the deposition must
promptly notify all other parties of the filing.
(g) Failure to attend a deposition or serve a subpoena. A judge may
order sanctions, in accordance with Sec. 18.57, if a party who,
expecting a deposition to be taken, attends in person or by an
attorney, and the noticing party failed to:
(1) Attend and proceed with the deposition; or
(2) serve a subpoena on a nonparty deponent, who consequently did
not attend.
Sec. 18.65 Depositions by written questions.
(a) When a deposition may be taken.
(1) Without leave. A party may, by written questions, depose any
person, including a party, without leave of the judge except as
provided in paragraph (a)(2) of this section. The deponent's attendance
may be compelled by subpoena under Sec. 18.56.
(2) With leave. A party must obtain leave of the judge, and the
judge must grant leave to the extent consistent with Sec. 18.51(b):
(A) If the parties have not stipulated to the deposition and:
(i) The deposition would result in more than 10 depositions being
taken under this section or Sec. 18.64 by a party;
(ii) the deponent has already been deposed in the case; or
(iii) the party seeks to take a deposition before the time
specified in Sec. 18.50(a); or
(B) if the deponent is confined in prison.
(3) Service; required notice. A party who wants to depose a person
by written questions must serve them on every other party, with a
notice stating, if known, the deponent's name and address. If the name
is unknown, the notice must provide a general description sufficient to
identify the person or the particular class or group to which the
person belongs. The notice must also state the name or descriptive
title and the address of the officer before whom the deposition will be
taken.
(4) Questions directed to an organization. A public or private
corporation, a partnership, an association, or a governmental agency
may be deposed by written questions in accordance with Sec.
18.64(b)(6).
(5) Questions from other parties. Any questions to the deponent
from other parties must be served on all parties as follows: Cross-
questions, within 14 days after being served with the notice and direct
questions; redirect questions, within 7 days after being served with
cross-questions; and recross-questions, within 7 days after being
served with redirect questions. The judge may, for good cause, extend
or shorten these times.
(b) Delivery to the officer; officer's duties. Unless a different
procedure is ordered by the judge, the party who noticed the deposition
must deliver to the officer a copy of all the questions served and of
the notice. The officer must promptly proceed in the manner provided in
Sec. 18.64(c), (e), and (f) to:
(1) Take the deponent's testimony in response to the questions;
(2) prepare and certify the deposition; and
(3) send it to the party, attaching a copy of the questions and of
the notice.
(c) Notice of completion or filing.
(1) Completion. The party who noticed the deposition must notify
all other parties when it is completed.
(2) Filing. A party who files the deposition must promptly notify
all other parties of the filing.
Disposition Without Hearing
Sec. 18.70 Motions for dispositive action.
(a) In general. When consistent with statute, regulation or
executive order, any party may move under Sec. 18.33 for disposition
of the pending proceeding. If the judge determines at any time that
subject matter jurisdiction is lacking, the judge must dismiss the
matter.
(b) Motion to remand. A party may move to remand the matter to the
referring agency. A remand order must include any terms or conditions
and should state the reason for the remand.
(c) Motion to dismiss. A party may move to dismiss part or all of
the matter for reasons recognized under controlling law, such as lack
of subject matter jurisdiction, failure to state a claim upon which
relief can be granted, or untimeliness. If the opposing party fails to
respond, the judge may consider the motion unopposed.
(d) Motion for decision on the record. When the parties agree that
an evidentiary hearing is not needed, they may move for a decision
based on stipulations of fact or a stipulated record.
Sec. 18.71 Approval of settlement or consent findings.
(a) Motion for approval of settlement agreement. When the
applicable statute or regulation requires it, the parties must submit a
settlement agreement for the judge's review and approval.
(b) Motion for consent findings and order. Parties may file a
motion to accept and adopt consent findings. Any agreement that
contains consent findings and an order that disposes of all or part of
a matter must include:
(1) a statement that the order has the same effect as one made
after a full hearing;
(2) a statement that the order is based on a record that consists
of the paper that began the proceeding (such as a complaint, order of
reference, or notice of administrative determination), as it may have
been amended, and the agreement;
(3) a waiver of any further procedural steps before the judge; and
(4) a waiver of any right to challenge or contest the validity of
the order entered into in accordance with the agreement.
Sec. 18.72 Summary decision.
(a) Motion for summary decision or partial summary decision. A
party may move for summary decision, identifying each claim or
defense--or the part of each claim or defense--on which summary
decision is sought. The judge shall grant summary decision if the
movant shows that there is no genuine dispute as to any material fact
and the movant is entitled to decision as a matter of law. The judge
should state on the record the reasons for granting or denying the
motion.
(b) Time to file a motion. Unless the judge orders otherwise, a
party may file a motion for summary decision at any time until 30 days
before the date fixed for the formal hearing.
(c) Procedures.
(1) Supporting factual positions. A party asserting that a fact
cannot be or is genuinely disputed must support the assertion by:
(A) citing to particular parts of materials in the record,
including depositions, documents, electronically stored information,
affidavits or declarations, stipulations (including those made for
purposes of the motion only), admissions, interrogatory answers, or
other materials; or
(B) showing that the materials cited do not establish the absence
or presence of a genuine dispute, or that an adverse party cannot
produce admissible evidence to support the fact.
(2) Objection that a fact is not supported by admissible evidence.
A
[[Page 72191]]
party may object that the material cited to support or dispute a fact
cannot be presented in a form that would be admissible in evidence.
(3) Materials not cited. The judge need consider only the cited
materials, but the judge may consider other materials in the record.
(4) Affidavits or declarations. An affidavit or declaration used to
support or oppose a motion must be made on personal knowledge, set out
facts that would be admissible in evidence, and show that the affiant
or declarant is competent to testify on the matters stated.
(d) When facts are unavailable to the nonmovant. If a nonmovant
shows by affidavit or declaration that, for specified reasons, it
cannot present facts essential to justify its opposition, the judge
may:
(1) defer considering the motion or deny it;
(2) allow time to obtain affidavits or declarations or to take
discovery; or
(3) issue any other appropriate order.
(e) Failing to properly support or address a fact. If a party fails
to properly support an assertion of fact or fails to properly address
another party's assertion of fact as required by paragraph (c) of this
section, the judge may:
(1) give an opportunity to properly support or address the fact;
(2) consider the fact undisputed for purposes of the motion;
(3) grant summary decision if the motion and supporting materials--
including the facts considered undisputed--show that the movant is
entitled to it; or
(4) issue any other appropriate order.
(f) Decision independent of the motion. After giving notice and a
reasonable time to respond, the judge may:
(1) grant summary decision for a nonmovant;
(2) grant the motion on grounds not raised by a party; or
(3) consider summary decision on the judge's own after identifying
for the parties material facts that may not be genuinely in dispute.
(g) Failing to grant all the requested relief. If the judge does
not grant all the relief requested by the motion, the judge may enter
an order stating any material fact--including an item of damages or
other relief--that is not genuinely in dispute and treating the fact as
established in the case.
(h) Affidavit or declaration submitted in bad faith. If satisfied
that an affidavit or declaration under this section is submitted in bad
faith or solely for delay, the judge--after notice and a reasonable
time to respond--may order sanctions or other relief as authorized by
law.
Hearing
Sec. 18.80 Prehearing statement.
(a) Time for filing. Unless the judge orders otherwise, at least 21
days before the hearing, each participating party must file a
prehearing statement.
(b) Required conference. Before filing a prehearing statement, the
party must confer with all other parties in good faith to:
(1) stipulate to the facts to the fullest extent possible; and
(2) revise exhibit lists, eliminate duplicative exhibits, prepare
joint exhibits, and attempt to resolve any objections to exhibits.
(c) Contents. Unless ordered otherwise, the prehearing statement
must state:
(1) the party's name;
(2) the issues of law to be determined with reference to the
appropriate statute, regulation, or case law;
(3) a precise statement of the relief sought;
(4) the stipulated facts that require no proof;
(5) the facts disputed by the parties;
(6) a list of witnesses the party expects to call;
(7) a list of the joint exhibits;
(8) a list of the party's exhibits;
(9) an estimate of the time required for the party to present its
case-in-chief; and
(10) any additional information that may aid the parties'
preparation for the hearing or the disposition of the proceeding, such
as the need for specialized equipment at the hearing.
(d) Joint prehearing statement. The judge may require the parties
to file a joint prehearing statement rather than individual prehearing
statements.
(e) Signature. The prehearing statement must be in writing and
signed. By signing, an attorney, representative, or party makes the
certifications described in Sec. 18.50(d).
Sec. 18.81 Formal hearing.
(a) Public. Hearings are open to the public. But, when authorized
by law and only to the minimum extent necessary, the judge may order a
hearing or any part of a hearing closed to the public, including
anticipated witnesses. The order closing all or part of the hearing
must state findings and explain why the reasons for closure outweigh
the presumption of public access. The order and any objection must be
part of the record.
(b) Taking testimony. Unless a closure order is issued under
paragraph (a) of this section, the witnesses' testimony must be taken
in an open hearing. For good cause and with appropriate safeguards, the
judge may permit testimony in an open hearing by contemporaneous
transmission from a different location.
(c) Party participation. For good cause and with appropriate
safeguards, the judge may permit a party to participate in an open
hearing by contemporaneous transmission from a different location.
Sec. 18.82 Exhibits.
(a) Identification. All exhibits offered in evidence must be marked
with a designation identifying the party offering the exhibit and must
be numbered and paginated as the judge orders.
(b) Electronic data. By order the judge may prescribe the format
for the submission of data that is in electronic form.
(c) Exchange of exhibits. When written exhibits are offered in
evidence, one copy must be furnished to the judge and to each of the
parties at the hearing, unless copies were previously furnished with
the list of proposed exhibits or the judge directs otherwise. If the
judge does not fix a date for the exchange of exhibits, the parties
must exchange copies of exhibits at the earliest practicable time
before the hearing begins.
(d) Authenticity. The authenticity of a document identified in a
pre-hearing exhibit list is admitted unless a party files a written
objection to authenticity at least 7 days before the hearing. The judge
may permit a party to challenge a document's authenticity if the party
establishes good cause for its failure to file a timely written
objection.
(e) Substitution of copies for original exhibits. The judge may
permit a party to withdraw original documents offered in evidence and
substitute accurate copies of the originals.
(f) Designation of parts of documents. When only a portion of a
document contains relevant matter, the offering party must exclude the
irrelevant parts to the greatest extent practicable.
(g) Records in other proceedings. Portions of the record of other
administrative proceedings, civil actions or criminal prosecutions may
be received in evidence, when the offering party shows the copies are
accurate.
Sec. 18.83 Stipulations.
(a) The parties may stipulate to any facts in writing at any stage
of the proceeding or orally on the record at a deposition or at a
hearing. These stipulations bind the parties unless the judge
disapproves them.
[[Page 72192]]
(b) Every stipulation that requests or requires a judge's action
must be written and signed by all affected parties or their
representatives. Any stipulation to extend time must state the reason
for the date change.
(c) A proposed form of order may be submitted with the stipulation;
it may consist of an endorsement on the stipulation of the words,
``Pursuant to stipulation, it is so ordered,'' with spaces designated
for the date and the signature of the judge.
Sec. 18.84 Official notice.
On motion of a party or on the judge's own, official notice may be
taken of any adjudicative fact or other matter subject to judicial
notice. The parties must be given an adequate opportunity to show the
contrary of the matter noticed.
Sec. 18.85 Privileged, sensitive, or classified material.
(a) Exclusion. On motion of any interested person or the judge's
own, the judge may limit the introduction of material into the record
or issue orders to protect against undue disclosure of privileged
communications, or sensitive or classified matters. The judge may admit
into the record a summary or extract that omits the privileged,
sensitive or classified material.
(b) Sealing the record.
(1) On motion of any interested person or the judge's own, the
judge may order any material that is in the record to be sealed from
public access. The motion must propose the fewest redactions possible
that will protect the interest offered as the basis for the motion. A
redacted copy or summary of any material sealed must be made part of
the public record unless the necessary redactions would be so extensive
that the public version would be meaningless, or making even a redacted
version or summary available would defeat the reason the original is
sealed.
(2) An order that seals material must state findings and explain
why the reasons to seal adjudicatory records outweigh the presumption
of public access. Sealed materials must be placed in a clearly marked,
separate part of the record. Notwithstanding the judge's order, all
parts of the record remain subject to statutes and regulations
pertaining to public access to agency records.
Sec. 18.86 Hearing room conduct.
Participants must conduct themselves in an orderly manner. The
consumption of food or beverage, and rearranging courtroom furniture
are prohibited, unless specifically authorized by the judge. Electronic
devices must be silenced and must not disrupt the proceedings. Parties,
witnesses and spectators are prohibited from using video or audio
recording devices to record hearings.
Sec. 18.87 Standards of conduct.
(a) In general. All persons appearing in proceedings must act with
integrity and in an ethical manner.
(b) Exclusion for misconduct. During the course of a proceeding,
the judge may exclude any person--including a party or a party's
attorney or non-attorney representative--for contumacious conduct such
as refusal to comply with directions, continued use of dilatory
tactics, refusal to adhere to reasonable standards of orderly or
ethical conduct, failure to act in good faith, or violation of the
prohibition against ex parte communications. The judge must state the
basis for the exclusion.
(c) Review of representative's exclusion. Any representative
excluded from a proceeding may appeal to the Chief Judge for
reinstatement within 7 days of the exclusion. The exclusion order is
reviewed for abuse of discretion. The proceeding from which the
representative was excluded will not be delayed or suspended pending
review by the Chief Judge, except for a reasonable delay to enable the
party to obtain another representative.
Sec. 18.88 Transcript of proceedings.
(a) Hearing transcript. All hearings must be recorded and
transcribed. The parties and the public may obtain copies of the
transcript from the official reporter at rates not to exceed the
applicable rates fixed by the contract with the reporter.
(b) Corrections to the transcript. A party may file a motion to
correct the official transcript. Motions for correction must be filed
within 14 days of the receipt of the transcript unless the judge
permits additional time. The judge may grant the motion in whole or
part if the corrections involve substantive errors. At any time before
issuing a decision and upon notice to the parties, the judge may
correct errors in the transcript.
Post Hearing
Sec. 18.90 Closing the record; subsequent motions.
(a) In general. The record of a hearing closes when the hearing
concludes, unless the judge directs otherwise. If any party waives a
hearing, the record closes on the date the judge sets for the filing of
the parties' submissions.
(b) Motion to reopen the record.
(1) A motion to reopen the record must be made promptly after the
additional evidence is discovered. No additional evidence may be
admitted unless the offering party shows that new and material evidence
has become available that could not have been discovered with
reasonable diligence before the record closed. Each new item must be
designated as an exhibit under Sec. 18.82(a) and accompanied by proof
that copies have been served on all parties.
(2) If the record is reopened, the other parties must have an
opportunity to offer responsive evidence, and a new evidentiary hearing
may be set.
(c) Motions after the decision. After the decision and order is
issued, the judge retains jurisdiction to dispose of appropriate
motions, such as a motion to award attorney's fees and expenses, a
motion to correct the transcript, or a motion for reconsideration.
Sec. 18.91 Post-hearing brief.
The judge may grant a party time to file a post-hearing brief with
proposed findings of fact, conclusions of law, and the specific relief
sought. The brief must refer to all portions of the record and
authorities relied upon in support of each assertion.
Sec. 18.92 Decision and order.
At the conclusion of the proceeding, the judge must issue a written
decision and order.
Sec. 18.93 Motion for reconsideration.
A motion for reconsideration of a decision and order must be filed
no later than 10 days after service of the decision on the moving
party.
Sec. 18.94 Indicative ruling on a motion for relief that is barred by
a pending petition for review.
(a) Relief pending review. If a timely motion is made for relief
that the judge lacks authority to grant because a petition for review
has been docketed and is pending, the judge may:
(1) defer considering the motion;
(2) deny the motion; or
(3) state either that the judge would grant the motion if the
reviewing body remands for that purpose or that the motion raises a
substantial issue.
(b) Notice to reviewing body. The movant must promptly notify the
clerk of the reviewing body if the judge states that he or she would
grant the motion or that the motion raises a substantial issue.
(c) Remand. The judge may decide the motion if the reviewing body
remands for that purpose.
[[Page 72193]]
Sec. 18.95 Review of decision.
The statute or regulation that conferred hearing jurisdiction
provides the procedure for review of a judge's decision. If the statute
or regulation does not provide a procedure, the judge's decision
becomes the Secretary's final administrative decision.
[FR Doc. 2012-28516 Filed 12-3-12; 8:45 am]
BILLING CODE 4510-20-P