Preview
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SUPREME COURT OF THE STATE OF NEW YORK COUNTIES OF BRONX, KINGS,
NEW YORK, QUEENS AND RICHMOND
DECISION AND ORDER RE:
In re: CHILD VICTIMS ACT LITIGATION : CONFIDENTIALITY ORDER
CASE MANAGEMENT
ORDER (“CMO”) No. 2
The following motions are decided in accordance with the attached decision and order of the Court:
Index 950000/2020 Seq. 001 (Motion & Cross-Motion)
Index 950000/2020 Seq. 002
Index 950000/2020 Seg. 003
Index 950000/2020 Seq. 004
Index 950000/2020 Seq. 005
Index 950000/2020 Seg. 006
Index 950000/2020 Seq. 007
Index 950000/2020 Seq. 009
Index 950000/2020 Seq. 001
Index 999999/2020 Seq. 002
Index 999999/2020 Seg. 003
Index 999999/2020 Seg. 004
Index 999999/2020 Seg. 005
Index 999999/2020 Seq. 006
Index 999999/2020 Seq. 001
Index 70061/2020E Seg. 001
Index 950137/2019 Seg. 003
Index 512321/2020 Seg. 005
Index 502720/2020 Seg. 001
Index 400044/2020 Seg. 001
The Court further directs that a copy of this decision and order be uploaded to all existing, and
future, cases being litigated under the Child Victims Act (L. 2019 c.11) (“CVA”) in the Supreme Court of
the State of New York in the counties of Bronx, Kings, New York, Queens, and Richmond.
Dated: March 30, 2021 Hon. LE Ly
aoe SILVER,
O CASE DISPOSED IN ITS ENTIRETY CASE STILL ACTIVE
O GRANTED O DENIED BcRantep INPART OO OTHER
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SUPREME COURT OF THE STATE OF NEW YORK
COUNTIES OF BRONX, KINGS, NEW YORK, QUEENS AND RICHMOND
DECISION AND ORDER RE:
CONFIDENTIALITY ORDER
CASE MANAGEMENT
ORDER (“CMO”) No. 2
With the instant application, defendants in cases filed under the Child Victims Act (L. 2019
c.11) (“CVA”) in New York City move to vacate and/or modify this court’s Confidentiality Order
issued in conjunction with the litigation. In opposition, plaintiffs prosecuting cases under the CVA
in New York City argue that this court’s Confidentiality Order should stand without major
modification.
BACKGROUND
In 2019, New York State enacted the CVA which, inter alia, (1) extended the statute of
limitations on criminal cases involving certain sex offenses against children under 18 (see CPL
§30.10 [f] ); (2) extended the time which civil actions based upon such criminal conduct may be
brought until the child victim reaches 55 years old (see CPLR §208[b)); and (3) opened a one-year
window reviving civil actions for which the statute of limitations has already run (even in cases
that were litigated and dismissed on limitations grounds), commencing six months after the
effective date of the measure, i.e. August 14, 2019 (see CPLR §214-g).!
When enacting the CVA, New York’s Legislature did not create a comprehensive set of
procedural rules and discovery standards for how cases would be litigated under the statute.
Recognizing this, shortly after the revival period opened, the court appointed a CVA Steering
+ Due to the COVID-19 public health emergency, on May 8, 2010, New York Governor Andrew Cuomo
(“Governor Cuomo”) issued an executive order extending the look back window for victims to file claims
under the Child Victims Act until January 14, 2021. On August 3, 2020, Governor Cuomo signed into law
an additional extension of the special filing period by a full year. Claims under the statute can now be filed
until August 14, 2021.
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Committee, consisting of defense attorneys representing institutional CVA defendants (“DLC”)
and plaintiffs’ attorneys representing numerous CVA plaintiffs (“PLC”) in actions in the Supreme
Court for Bronx, Kings, New York, Queens, and Richmond Counties, to liaise between the court
and all CVA counsel. Thereafter, on February 24, 2020, the court issued Case Management Order
No. 1 (“CMO 1”), which “applies to all actions filed or hereafter filed in the Supreme Court in and
for the counties of Bronx, Kings, New York, Queens, and Richmond pursuant to the [CVA].”
Then, on June 18, 2020, the court issued Case Management Order No. 2 (“CMO 2”), annexing to
it as Exhibit C, the “Standard Automatic Disclosures Directed at Defendants,” which set forth
broad categories of documents to be produced by CVA defendants subject to objection. Section
TX(A)(1) of CMO 2 directed the DLC and PLC to either jointly submit a proposed Confidentiality
Order or to submit alternate proposals to the court by June 22, 2020 and stayed CVA defendants”
disclosure obligations pending entry of a Confidentiality Order.
On June 22, 2020, the DLC and PLC each submitted their proposals with accompanying
letter briefs. The court then held two conferences regarding the parties’ submissions and
entertained oral argument by the respective liaison committees. Following the second conference
held on September 10, 2020, the DLC submitted a second letter brief on September 11, 2020. On
September 18, 2020, the court issued the Confidentiality Order.
ARGUMENTS
With the instant application the DLC, and additional defendants, seek to vacate or modify
the Confidentiality Order by arguing that it improperly abrogates defendants’ statutory, common
law, and federal and state constitutional rights in excess of the authority of this court.
I. Section VII(1)
Most prominently, defendants contend that Section VIII(1) of the Confidentiality Order
improperly and prematurely ruled that records concerning (i) prior and subsequent undefined “bad
acts” by “an alleged sexual abuse perpetrator” and (ii) subsequent “corrective measures” taken by
an institutional defendant “are discoverable, and will be disclosed upon request.” More
specifically, the DLC challenges Section VIII(1) of the Confidentiality Order by arguing that it
“goes out of its way to direct disclosure of records regarding subsequent corrective measures that
are not permitted under New York State law and the disclosure of which would constitute an
improper invasion and intrusion of religious institutional CVA [d]efendants’ First Amendment
rights.” In addition, the DLC contends that Section VIII(1) lacks specificity with respect to what
constitutes a “bad act,” and whether that term broadly applies to conduct unrelated to allegations
of child sex abuse. Because Section VIII(1) directs disclosure without affording parties the right
to object, and move for a protective order, the DLC states that it runs athwart of defendants’ rights
to due process and liberty.
In opposition, the PLC contends that the Confidentiality Order’s requirement that
defendants produce records of an alleged abuser’s other “bad acts” is entirely consistent with the
CVA and CPLR §3101(a)’s liberal discovery standard. Citing authorities in both the First and
Second Department, the PLC avers that where there is any possibility that requested information
may be used as evidence-in-chief, in cross-examination, or on rebuttal, it is deemed material for
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discovery purposes, and therefore should be disclosed (see e.g., First Equity Realty v. Harmony
Group, IT, 129 NYS3d 777, 777 [1st Dept 2020]; Matter of Metro-North Train Accident of Feb. 3,
2015, 178 AD3d 931, 933 [2d Dept 2019]). The PLC further emphasizes that courts have long
recognized the distinct standards that govern the discoverability and admissibility of evidence —
and, critically, that “[p]retrial disclosure extends not only to admissible proof but also to testimony
or documents which may lead to the disclosure of admissible proof” (Fell v. Presbyterian Hosp.
in N.Y. at Columbia-Presbyterian Med. Ctr., 98 AD2d 624, 625 [1st Dept 1983]).
In accordance with liberal disclosure rules, the PLC emphasizes that courts have repeatedly
held that documents and information about prior and subsequent incidents, as well as remedial
efforts taken, may be discoverable under CPLR §3101’s liberal standard — even if ultimately
inadmissible at trial (see, e.g. Bigman v. Dime Sav. Bank, FSB, 153 AD2d 912, 914 [2d Dept
1989]). The PLC underscores that “it is inconceivable that records of an abuser’s ‘prior bad acts’
and ‘subsequent bad acts’ would not be useful in the context of...negligent retention, negligent
hiring, or negligent supervision claims.” Where, as here, the concern at issue is one of
discoverability, rather than admissibility, the PLC contends that plaintiffs should be entitled to the
disclosure of the records deemed discoverable by this court in its Confidentiality Order.
Even so, the DLC retorts by emphasizing that discovery of “bad acts” should be specifically
defined by this court, and should encompass only prior incidents of child sexual abuse rather than
broadly defined prior “misconduct” that may be wholly irrelevant to the claims at issue in a
particular lawsuit. Moreover, defendant Diocese of Brooklyn, and other religious entities, contend
that the Confidentiality Order’s requirement of the disclosure of subsequent corrective measures
impinges upon canon law, and the decision-making process of religious groups that may find
themselves tasked with the responsibility of having to fire one of their ministers.”
Furthermore, certain defendants within the sphere of education seek to shield the
production of records of “bad acts” and “corrective measures” by invoking the Family Educational
Rights and Privacy Act of 1974 (“FERPA,” or the “Buckley Amendment”), a federal statute which
protects student “education records” from disclosure without their knowledge and/or consent.
In response, the PLC highlights that the Appellate Division, Second Department, has
expressly held that disciplinary records, including a perpetrator’s other instances of “violent and
assaultive behavior,” are relevant and thus discoverable as to whether an educational institution
failed to adequately supervise that perpetrator (see, e.g., Graham v. West Babylon Union Free Sch.
Dist., 262 AD2d 605, 606 [2d Dept 1999] [“records of any past instances of violent and assaultive
behavior on the part of the defendant Marc Maggio clearly would be relevant to the plaintiffs
claim that the defendant West Babylon Union Free School District failed to adequately supervise
Maggio”)).
The PLC also posits that the Appellate Division, Second Department, has elaborated that
complaints or records of prior incidents are not even considered “education records” that warrant
protection under FERPA (Culbert v. City of New York, 254 AD2d 385, 387 [2d Dept 1998]). To
? Defendant Diocese of Brooklyn elaborated on their arguments concerning the nuanced church-state issues
of First Amendment jurisprudence at oral argument on December 16, 2020 through arguments proffered by
Mark E. Chopko, Esq.
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be sure, courts have interpreted FERPA’s definition of “education records” (i.e., “information
directly related to a student”) to include only “records relating to an individual student’s
performance,” and not records compiled to “maintain the physical security and safety of the agency
or institution” (see Culbert, 254 AD2d at 387). As such, plaintiffs maintain that FERPA does not
apply to the disclosure of reported complaints of abuse within an educational setting.
Even assuming that FERPA does apply, the PLC argues that disclosure of educational
records is still warranted where a court has expressly ordered the production of such records (see
e.g., Staten v. City of New York, 90 AD3d 893, 895 [2d Dept 2011]). Where privacy concerns of
students are weighed against the requesting parties’ need for information, the PLC contends that
the requesting parties’ need for information should prevail, without question, since the information
requested is relevant to the issue of an institution or employer’s knowledge of an abuser’s
propensity for sexual misconduct — a necessary element of negligent retention, hiring, and
supervision claims.
Beyond the observations above, City defendants contend that the necessity to disclose prior
and subsequent incidents of alleged sexual abuse would necessarily require them to violate Section
50-b of the Civil Rights Law, which protects the identities of victims of sex crimes, thereby placing
the City defendants at risk for additional civil liability. Specifically, under Section 50-b, “the
identity of any victim of a sex offense” shall be confidential, including that no public officers or
employees shall disclose any document “which tends to identify such a victim” unless an exception
applies (Civil Rights Law §50-b[1]). City defendants argue that this court’s Confidentiality Order
defies the mandates of Section 50-b, and imposes upon them a disclosure requirement at odds with
existing law.
In opposition, the PLC argues that City defendants’ generalized reference to Section 50-b
is overbroad as many of the requested documents plaintiffs are seeking do not actually identify a
victim of a sex crime, and therefore fall outside the ambit of the statute. In addition, to the extent
that any requested documents do, in fact, identify a sex crime victim, the PLC avers that plaintiffs
may still be entitled to disclosure under Section 50-b(2)(b), upon a showing of good cause for
discovery and upon notice to the identified victim and public officer charged with prosecuting the
offense.
City defendants and foster care defendants also cite a variety of disparate, mutually-
exclusive laws and court rules that address the protection of certain records, such as foster records.
However, in opposition the PLC emphasizes that such laws must yield to court orders requiring
the disclosure of such records. Where, as here, the court has provided that a category of records,
including foster care records, should be disclosed, the PLC argues that defendants must comply
with the court’s directives or raise a particularized objection.
Finally, defendant Rockefeller University, an institution that houses a large volume of
medical records, argues that requiring it to disclose prior bad acts and subsequent corrective
measures would violate the Health Insurance Portability and Accountability Act (“HIPAA”), the
New York State Mental Hygiene Law, or any other medical privileges by requiring the production
of protected health information. In opposition, the PLC argues that the Confidentiality Order
protects the privacy and other interests of third parties by requiring each defendant to redact the
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names of likely abuse survivors who have not filed a lawsuit of their own and who are not
represented by counsel. Moreover, the PLC contends that where privileged health information is
found to be “material and necessary,” it may be disclosed if “circumstances warrant overcoming
the privilege” (Cole v. Panos (128 AD3d 880 [2d Dept 2015]). In the case of defendant
Rockefeller University, the PLC also underscores the fact that most of the information sought by
a plaintiff may not be health information at all, such as complaints or concerns that a health care
provider was sexually abusing patients. In the PLC’s view, such complaints or concerns may not
be health information in the first instance because they are not about the person’s health care, were
not made for their care or treatment, and were not intended to be confidential or to remain
confidential.
I. Sections I1(1), HMI(1)(a), and IV(1)(a)
Next, defendants argue that Sections II(1) and IV(1)(a) of the Confidentiality Order
improperly entitle a plaintiff in one CVA action to confidential discovery produced in another
CVA action merely because they are suing the same party regardless of whether different alleged
abusers, locations, and years of alleged abuse are involved. Since the CVA actions at issue are
usually not consolidated class actions or coordinated mass torts, defendants aver that the sharing
of wholly irrelevant, immaterial, and unnecessary records among disparate and diverse CVA
actions confuses the record by becoming the subject of needless deposition testimony and
impertinent expert opinion. Accordingly, the DLC asks for this court to vacate Sections I(1) and
IV(1)(a) to prevent the sharing of discovery beyond the litigation in which it is exchanged.
In addition, the DLC submits that Section III(1)(a) of the Confidentiality Order should
include information of a personal nature as being encompassed within the meaning of
“Confidential Information.” The DLC contends that the absence of information of a personal
nature, which would cover the likes of occupational and educational records, when defining
“Confidential Information” opens the door for the disclosure of a deluge of categories of
information in several CVA lawsuits from disparate parties and non-parties. To protect against
that, defendants submit that Section III(1)(a) should be modified to include information of a
personal nature so that categories of information such as occupational and educational records are
not automatically subject to disclosure while only the most sensitive information, for which a
confidential designation is appropriate, is protected from disclosure.
In opposition, the PLC contends that “[w]here it is widely known these horrific acts were
committed by serial abusers and systematically concealed by these institutions, the substantial
overlap of common records and testimony calls out for parties to share information in specified
instances, thereby avoiding a tremendous waste of time and resources.” To be sure, the PLC
contends that information sharing “would level the information disparity between victims and
these large institutions.” The PLC highlights that in Section 10 of the CVA, the legislature
specifically directed the chief administrator of the courts to “promulgate rules for the timely
adjudication of revived actions brought pursuant to section two hundred fourteen-g of the civil
practice law and rules” (N.Y. Judiciary Law § 219-d). In the PLC’s view, “[t]here is no question
that a prohibition on discovery-sharing, as urged by defendants, would needlessly frustrate this
statutory goal, thereby resulting in protracted and costly litigation.”
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Second, the PLC contends that discovery-sharing supports the CVA’s goal of case
coordination. For instance, the PLC states that where a coordinated deposition of a defendant
representative is requested, discovery-sharing could promote efficiency by allowing all plaintiffs
who have filed claims against that same defendant to participate in the deposition. Third, the PLC
emphasizes that discovery-sharing also better ensures consistency in discovery responses for all
plaintiffs suing common defendants by guaranteeing matching disclosures across the board.
Finally, the PLC highlights that discovery sharing has been endorsed in clergy cases litigated in
the states of California and Washington. In addressing defendants’ concerns about unfettered
disclosure, the PLC underscores that the Confidentiality Order explicitly directs all persons
receiving confidential information to maintain that confidentiality.
Til. Section IV(4)
Next, the DLC argues that Section IV(4) of the Confidentiality Order improperly imposes
an obligation on defendants to justify confidentiality and privilege designations. The DLC avers
that the general practice in New York regarding challenges to confidentiality and privilege
designations permits the receiving party to seek relief by motion to de-designate challenged
information. By contrast, the DLC posits that the Confidentiality Order improperly sets up a
system by which the producing party is required to seek judicial relief each time a receiving party
disagrees with a designation, almost certainly guaranteeing motion practice will follow. Were the
court to modify its Confidentiality Order to require the receiving party to incur the litigation costs
of moving to lift a confidentiality designation, the DLC argues that motion practice would be
decreased. The DLC notes that several institutional defendants are required to designate third-
party information, such as records covered by a patient-physician privilege, as confidential. Were
a plaintiff to arbitrarily disagree that such records are confidential, the DLC argues that it would
be placed in the unenviable situation of having to move for relief that otherwise would seem self-
evident.
In opposition, the PLC argues that the Appellate Division, First Department, has made it
clear that CPLR §3101(a)’s liberal standard for discovery is intended to facilitate public access to
court proceedings and records (see e.g., MSCI Inc. v. Jacob, 120 AD3d 1072, 1075 [1st Dept 2014]
[“New York strongly encourages open and full disclosure as a matter of policy”]).Given this
presumption of openness and full disclosure, the PLC emphasizes that it naturally follows that an
individual or entity seeking a protective order bears the initial burden to establish that any specified
information should be protected from discovery (see e.g., Liberty Petroleum Realty, LLC v. Gulf
Oil, L.P., 164 AD3d 401, 403-404 [1st Dept 2018] [affirming that a party seeking a protective order
“bears the initial burden to show that the information sought is irrelevant or that the process will
not lead to legitimate discovery and, only then does the burden shift to the subpoenaing party to
demonstrate that the information sought is material and necessary” and noting that the inverse rule
of “plac[ing] the initial burden on the party seeking disclosure” would be inconsistent with New
York law]). The PLC contends that Section IV(4) is consistent with that principle insofar as the
Confidentiality Order provides that a producing party designating certain information as
confidential, “will have the burden of justifying the propriety of its designation” in the face of any
challenge (see Confidentiality Order, §IV[4]).
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The PLC argues that defendants’ attempt to reverse this presumption “is entirely
unsupported by law or logic.” First, the PLC underscores that courts have expressly held that
parties who label information as “confidential” bear the burden of justifying those designations
Next, the PLC emphasizes that if the inverted rule urged by defendants were adopted, nothing
would prevent defendants from designating each and every document as confidential, thereby
forcing plaintiffs to undertake to unseal the entirety of its production. This, in the PLC’s estimation,
is “the exact opposite of openness and accessibility.” Finally, the PLC avers that defendants’
potential to designate discoverable documents as confidential may well thwart the aims at
efficiency contemplated by the Confidentiality Order, including a process to avoid numerous,
duplicative motions for a protective order or to compel.
IV. Section V
The DLC next contends that Section V of the Confidentiality Order imposes broad
unconstitutional duties on defendants that are contrary to the CPLR and vitiates defendants’ rights,
privileges, and protections under the CPLR, including their work product privilege. To be sure,
the DLC argues that defendants are subject to disparate and varying laws and regulations that
prohibit them from disclosing the identities of non-parties contained in produced records absent a
specific authorization. The DLC contends that Section V of the Confidentiality Order improperly
attempts to circumvent these protections, many of which are inviolable and others of which require
the requesting party to establish individualized prerequisites before such information can be
disclosed.
Notably, Section (V)(1)(a) of the Confidentiality Order directs defendants to redact the
name of any person who has filed a CVA action under pseudonym, and replace it with a “doe
code” in the documents produced in discovery and then to supply to each plaintiff a list of the
counsel for each de-identified plaintiff. Pursuant to Section (V)(1)(b), where a document
references the name of a plaintiff who has filed suit in his or her own name, the Confidentiality
Order directs defendants to “produce the document without redaction” and “simultaneously
produce to the [rJeceiving [p]arty’s counsel a list of these [p]laintiffs by their name and identify
the attorneys representing each of them.” In addition, pursuant to Section V(1)(c), defendants are
required to maintain a centralized database of “Doe Codes” to track persons “who may be a
survivor of child sex abuse,” but have not filed a lawsuit.
The DLC argues that these provisions, and in particular Section V(1)(c), require
defendants’ counsel to offer opinions and impressions about who may be a survivor of abuse,
indisputably impinging upon and violating defendants’ privileged conversations with their counsel
to elicit judicial admissions based on client confidences and secrets. The DLC further avers that
this portion of the Confidentiality Order further impinges upon defendants’ rights by requiring
then to further create a key that contains the true names and identifying information for these
individuals” which is to be shared with the court and unidentified persons chosen by the court to
have the privilege of viewing this database.
At its core, the DLC contends that Section V allows the court to assume the role of
investigator for the parties, thereby coopting, interfering with, and invading work product
privileges and protection of parties and their counsel. The DLC further contends that the court’s
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requirement that counsel seek its approval before conducting a non-party investigation or
contacting non-parties has the potential to suffocate factfinding attempts within CVA lawsuits. In
sum, to the extent that Section V of the Confidentiality Order imposes duties and obligations that
do not exist under law, the DLC argues that it should be modified or vacated in its entirety.
In opposition, the PLC argues that Section V of Confidentiality Order sets forth procedures
for the exchange of discoverable, non-privileged information. The PLC also states that defendants”
request to shield discoverable facts under the guise of attorney-client and work-product privileges
is vague and unfounded. The PLC also challenges defendants’ assertions that the framework
contemplated by this court forces defendants to assume the role of investigator. To be sure, the
PLC posits that ascertaining whether someone is an abuse survivor rests on objective factual
realities. Those factual realities, the PLC further states, “include publicly-filed lawsuits under the
CVA, as well as direct complaints from abuse survivors identifying themselves as such (or letters
from individuals identifying themselves as abuse survivors or identifying others as potential abuse
survivors).” Consequently, the PLC surmises that the Confidentiality Order does not compel
defendants to produce privileged documents or to divulge confidential communications with
counsel. Finally, the PLC posits that while attorneys may ultimately analyze documents and facts,
and devise a legal strategy based on those facts, it is their legal advice to their clients that is
privileged, not the underlying facts involved. Accordingly, the PLC posits that Section V of the
Confidentiality Order does not run athwart of defendants’ rights under existing New York law.
DISCUSSION
Disclosure in civil actions is generally governed by CPLR §3101(a), which directs: “[t]here
shall be full disclosure of all matter material and necessary in the prosecution or defense of an
action, regardless of the burden of proof.” Courts have consistently held that “[t]he words,
‘material and necessary’, are ... to be interpreted liberally to require disclosure, upon request, of
any facts bearing on the controversy which will assist preparation for trial by sharpening the issues
and reducing delay and prolixity. The test is one of usefulness and reason” (Allen v. Crowell-
Collier Publ. Co., 21 NY2d 403, 406 [1968/; see also Andon v. 302-304 Mott St. Assoc., 94 NY2d
740, 746 [2000] ). A party seeking discovery must satisfy the threshold requirement that the request
is reasonably calculated to yield information that is “material and necessary”—i.e., relevant—
regardless of whether discovery is sought from another party (see CPLR §3101fa][1] ) or a
nonparty (CPLR §3101[a][4]; see e.g. Matter of Kapon v. Koch, 23 NY3d 32 [2014] ). The “statute
embodies the policy determination that liberal discovery encourages fair and effective resolution
of disputes on the merits, minimizing the possibility for ambush and unfair surprise” (Spectrum
Sys. Intl. Corp. v. Chemical Bank, 78 NY2d 371, 376 [1991]).
Nevertheless, the right to disclosure, although broad, is not unlimited. CPLR §3101 itself
“establishes three categories of protected materials, also supported by policy considerations:
privileged matter, absolutely immune from discovery (CPLR §3101[b]); attorney's work product,
also absolutely immune (CPLR §3101[c]); and trial preparation materials, which are subject to
disclosure only on a showing of substantial need and undue hardship” (Spectrum, 78 NY2d at 376—
377, supra). The burden of establishing a right to protection under these provisions is with the
party asserting it—‘‘the protection claimed must be narrowly construed; and its application must
be consistent with the purposes underlying the immunity” (id. at 377).
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In addition, “‘[p]retrial disclosure extends not only to admissible proof but also to
testimony or documents which may lead to the disclosure of admissible proof,’ including material
which might be used in cross-examination” (Polygram Holding, Inc. v Cafaro, 42 AD3d 339, 341
[1st Dept 2007] quoting Fell v Presbyterian Hosp. in City of N.Y. at Columbia-Presbyt. Med. Ctr.,
98 AD2d 624, 625 [1983]).
Finally, New York's Uniform Rules for Trial Courts Section 202.69 (see 22 NYCRR
202.69) allows a coordinating justice of a particular litigation to manage discovery and “issue case
management orders after consultation with counsel.”
Here, following the enactment of the CVA, plaintiffs and defendants litigating cases under
the statute within New York City expressed a desire to establish uniform rules that would
streamline the discovery process and fulfill the statute’s goal of timely and expeditiously resolving
such matters. To that end, I appointed a representative CVA Steering Committee consisting of the
aforementioned DLC and PLC following the initial commencement of CVA actions within New
York City. In the ensuing weeks, I met with the DLC and PLC to discuss issues within the
litigation and solicited opinions regarding how best to coordinate discovery in CVA cases. Those
meetings coalesced into the formation of CMO 1, which was the product of negotiation and
consultation between the DLC and PLC. CMO | was issued on February 24, 2020. Thereafter,
following additional negotiation and consultation between the DLC and PLC, CMO 2 was
constructed, and subsequently issued on June 18, 2020. Relevantly, CMO 2 contained “Standard
Automatic Disclosures Directed at Defendants,” which set forth broad categories of documents to
be produced by CVA defendants subject to objection. Section IX(A)(1) of CMO 2 directed the
DLC and PLC to either jointly submit a proposed Confidentiality Order or to submit alternate
proposals to the court by June 22, 2020, and stayed CVA defendants’ disclosure obligations
pending entry of a Confidentiality Order.
On June 22, 2020, the DLC and PLC each submitted their proposals with accompanying
letter briefs. The court then held two conferences regarding the parties’ submissions and
entertained oral argument by the respective liaison committees. Following the second conference
held on September 10, 2020, the DLC submitted a second letter brief on September 11, 2020. On
September 18, 2020, I issued the Confidentiality Order.
The ultimate objective when this court fashioned CMO 1, CMO 2, and the Confidentiality
Order, the provisions of which are consistent with the CPLR, was to allow the parties to obtain
reasonably necessary documents and information without imposing undue burdens in order to
permit the parties to evaluate the cases, reach early settlements, and prepare unsettled cases for
trial. Discovery in CVA cases is likely to be complex, time-consuming, and expensive, and this
court strives to minimize costs by ensuring that streamlined discovery is conducted. In doing so,
this court has broadly interpreted the discovery obligations of both plaintiffs and defendants alike
with the hope that CVA cases can be resolved without prompting expensive and drawn out
disclosure periods. This approach has been consistently approved by the Appellate Division, First
Department, as evidenced by its holdings in connection with challenges to case management orders
drafted in connection with the New York City Asbestos Litigation (see Matter of New York City
Asbestos Litig., 130 AD3d 489 [1st Dept. 2015][ Coordinating justice has the authority to “issue
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case management orders after consultation with counsel”]; Matter of New York City Asbestos
Litig., 159 AD3d 576 [1st Dept 2018][Finding that procedural protocols in new CMO, as well as
other provisions challenged by defendants that were either present in preceding CMOs or appear
for the first time in new CMO, do not deprive defendants of their due process or other constitutional
rights, even where they do not strictly conform to the CPLR, and that the Coordinating Justice had
the authority to issue these provisions absent defendants’ consent]; see also In re New York City
Asbestos Litig. (Georgia-Pacific), 109 AD3d 7 [lst Dept 2013]; In re NYC Asbestos Litigation
(Ames v Kentile Floors), Index No. 107574/08, at *2 [Sup. Ct. NY. Co. June 17, 2009, Heitler, J.],
aff'd 66 AD3d 600 [1st Dept 2009]).
Prior to this court’s issuance of CMO 1, CMO 2, and the Confidentiality Order, defendants
and plaintiffs litigating cases under the CVA had an opportunity to be heard. Defendants’ present
disagreement with the court’s Confidentiality Order is not enough to warrant its vacatur where
defendants were afforded ample opportunity to present arguments and proposals concerning the
items raised therein. To be sure, as has been observed in other contexts, the Confidentiality Order
need not be disturbed merely because some of its provisions are said to be at odds with the CPLR
(see Matter of New York City Asbestos Litig., 159 AD3d 576, supra). Rather, because this court
properly solicited the input of the DLC and PLC before issuing the Confidentiality Order, it has
plenary authority to implement the disclosure objectives set forth within it (id.). As such,
defendants’ challenges to the viability of this court’s Confidentiality Order are unfounded.
Nevertheless, insofar as this court’s Confidentiality Order contemplates by its very terms
that it shall be subject to revision, the court will weigh and rule upon the issues presented by the
parties in the hopes of issuing an Amended Confidentiality Order that is broadly accepted by both
the DLC and PLC.
I. Section VII(1)
With respect to Section VIII(1) of the Confidentiality Order, the court has considered the
parties respective arguments, and finds that the provision can remain subject to slight modification
and clarification (see annexed Amended Confidentiality Order).
As previously articulated, courts have consistently held that CPLR 3101(a)’s allowance
for “full disclosure of all matter material and necessary in the prosecution or defense of an action”
should be ““‘interpreted liberally to require disclosure, upon request, of any facts bearing on the
controversy’” in order to focus the issues in advance of trial (see, e.g., Matter of Metro- North
Train Accident of Feb. 3, 2015, 178 AD3d 931, 933 [2d Dept 2019]). Where there is the possibility
that the requested information may be used as evidence-in-chief, in cross-examination, or on
rebuttal, it is deemed material for discovery purposes (Metro-North Train Accident, 178 AD3d at
933-934). Critically, the right to pretrial disclosure “extends not only to admissible proof but also
to testimony or documents which may lead to the disclosure of admissible proof’ (Fell v.
Presbyterian Hosp. in N.Y. at Columbia-Presbyterian Med. Ctr., 98 AD2d 624, 625 [1st Dept
1983]). Here, even if evidence of an alleged abuser’s “prior bad acts” may not be deemed
admissible at trial, it is unquestionable that the disclosure of such acts would be “material and
necessary” within the context of CVA actions where negligent retention, negligent hiring, or
negligent supervision claims are pleaded. As defendants recognize, a “necessary element” of
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negligent retention, hiring, and supervision claims is whether an institution or employer, such as a
church, “knew or should have known of the employee’s propensity for the conduct which caused
the injury” (Kenneth R. v. Roman Catholic Diocese, 229 AD2d 159, 161, 164 [2d Dept 1997]
[plaintiffs stated causes of action for negligent retention and negligent supervision where their bill
of particulars alleged the Catholic church had actual or constructive notice of a priest’s “propensity
to sexually abuse children” based on statements made by infant plaintiffs and by the priest himself
to other priests]). To be sure, jurisprudence within the Appellate Division, Second Department,
supports the inference that information about an alleged abuser’s “prior bad acts” is necessary and
relevant to a determination of whether an institution or employer was aware of an alleged abuser’s
propensity to sexually abuse children (see Nevaeh T. v. City of New York, 132 AD3d 840, 842 [2d
Dept 2015]).
Contrary to defendants’ assertions, the question of discoverability with respect to the
disclosure of an alleged abuser’s “prior bad acts” is separate and distinct from that of whether such
evidence will, ultimately, be deemed admissible at trial. To be sure, one cannot conflate the
CPLR’s broad discovery rules by invoking standards for the admissibility of evidence of other
“bad acts” at trial. Nevertheless, it is also worth noting that evidence of an alleged abuser’s other
“bad acts” may well be deemed admissible as evidence of actual or constructive knowledge or for
non-propensity reasons, such as one’s motive or intent (see DeJesus v. Moshiashvili, 176 AD3d
649, 650 [1st Dept 2019]).
Moreover, although some defendants posit that disclosure of an alleged abuser’s prior bad
acts would lead to the dissemination of protected educational, health, and agency records in
contravention of multiple laws, such assertions are without merit. First, the Confidentiality Order
allows for the dissemination of records of “prior bad acts” housed by an institution subject to
redaction. Second, defendants are not without recourse if they believe that certain records should
not be disclosed. To be sure, the PLC would consent to meet and confer with the DLC and even
submit a subset of documents deemed protected to the court for in camera review. Third, the City
defendants’ generalized opposition to disclosure of records of “prior bad acts” by citing Section
50-b of the Civil Rights Law is overbroad as many of the requested documents plaintiffs are
seeking do not actually identify a victim of a sex crime, and therefore fall outside the ambit of the
statute. Likewise, the City defendants’ opposition to the dissemination of agency records, like
foster care records, must accede to the directives of this court’s order in the absence of a
particularized objection. Finally, the Confidentiality Order does not run afoul of HIPAA since
most of the information sought by plaintiffs is not health information. To be sure, complaints or
concerns that a health care provider was sexually abusing patients are not health information in
the strictest sense as such complaints and concerns would not have been raised for the purpose of
care or treatment, and were not intended to be confidential. As such, the court will not disturb
Section VIII(1) of the Confidentiality Order as it relates to defendants need to disclose an alleged
abuser’s “prior bad act.” The court does, however, see a need to expand on the meaning of “prior
bad acts” by giving the term a definition that the parties can in turn use to inform their disclosure
obligations (see annexed Amended Confidentiality Order).
In addition, upon review, the court finds that there is a need to remove the portion of
Section VIII(1) of the Confidentiality Order that calls for the disclosure of “subsequent corrective
measures.” Reflecting on the arguments advanced by numerous defendants, the court finds that
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such a provision cannot be broadly applied to all defendants without irrevocably infringing upon
the rights of some. Specifically, the court observes the arguments raised by the Diocese of
Brooklyn and others relating to canon law. As highlighted by the Diocese of Brooklyn, the United
States Supreme Court has held that church authorities have the freedom to organize and govern
themselves according to their own law and policy, including the right to select and discipline
ministers, free from state interference (Kedroff v. Saint Nicholas Cathedral, 344 U.S. 94, 116
[1952]). That bar against interference includes attempts to award damages to litigants whose
claims implicate a church’s selection and discipline of its ministers (Hosanna-Tabor Evangelical
Lutheran Church and School v. E.E.O.C., 565 U.S. 171, 194 [2012]).
Were the court to countenance the disclosure of “subsequent corrective measures,” it would
be interfering with the province of ecclesiastical decision-making. Such a move would run counter
to the United States Supreme Court’s instruction to other secular courts not to subject religious
institutions to having to defend their beliefs and practices in a court of law. Inviting questions into
whether a church took any “corrective measures” by altering a priest’s sacramental status, and the
degree to which it adhered to canon law, presents the type of situation that would impermissibly
require a religious institution to defend its beliefs and practices. Therefore, discovery and
examination in that regard is barred. Nevertheless, plaintiffs could individually seek, and
potentially receive, from defendants disclosure of information regarding the assignment to
ministry without offending constitutional constraints, as such assignments — removed from inquiry
into corrective conduct — carry with them the responsibility of supervision and oversight that is at
issue in many CVA cases. Consequently, the court refuses to invite broad disclosure in all CVA
cases of undefined “subsequent corrective measures” that may well implicate issues surrounding
church defendants’ internal governance, including church decisions regarding the ecclesiastical
statuses of their priests and the church’s own sacramental policies. Therefore, Section VIII(1) is
amended to exclude the broad disclosure of “subsequent corrective measures.”
I. Sections I1(1), HMI(1)(a), and IV(1)(a)
As drafted, this court’s Confidentiality Order allows a recipient of defendants’ discovery
to share that information with “the parties to a civil claim related to allegations of child sexual
abuse involving one or more of the same parties or one or more of the same alleged abusers” (see
Confidentiality Order, Section IV[1][a]). In addition, the Confidentiality Order prohibits recipients
of discovery from disseminating the information “to any person not reasonably involved in the
prosecution, defense, or settlement of a civil claim related to allegations of child sexual abuse
involving one or more of the same parties or one or more of the same alleged abusers, or a related
enforcement of insurance coverage rights (including any insurance coverage litigation (“Coverage
Litigation”) with respect to such a claim” (see Confidentiality Order, §II[1]).
At their core, the sharing provisions contained within the Confidentiality Order simply
allow an individual attorney representing one victim to request discovery information from another
victim’s attorney, so long as the cases involve a common party or abuser, to avoid the time and
expense of duplicative discovery requests and motions in each separate action. This coordinated
approach is aligned with the CVA’s central objective of adjudicating cases filed under the statute
within a timely manner. Several institutional parties have been repeatedly named in CVA lawsuits.
Where plaintiffs have filed lawsuits against the same alleged abusers and institutions, it is
incontestable that a substantial overlap exists with respect to common records and files. The
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necessity for this court to efficiently and expeditiously adjudicate all CVA matters before it calls
out for parties to share information in specified instances, thereby avoiding a tremendous waste of
time and resources. Indeed, in Section 10 of the CVA, the legislature specifically directed the
chief administrator of the courts to “promulgate rules for the timely adjudication of revived actions
brought pursuant to section two hundred fourteen-g of the civil practice law and rules” (N.Y.
Judiciary Law § 219-d). Defendants request for this court to prohibit discovery-sharing would
frustrate this statutory goal, and result in protracted and costly litigation.
As highlighted in the PLC’s briefs, defendant Rockefeller University has been named in
several CVA lawsuits based on alleged acts of sexual assault committed by Dr. Reginald
Archibald. It would be highly inefficient, as the PLC underscores, for “each plaintiff to
individually request, and for [defendant] Rockefeller [University] to separately produce, the exact
same information regarding the grand jury investigation of Dr. Archibald and Rockefeller
University during 1960-1961.” The need for efficiency presupposes that discovery sharing occur
in such cases. Other cases filed with this court under the CVA demand the same common-sense
approach that would apply to a defendant like Rockefeller University.
In addition, discovery-sharing supports the CVA’s goal of case coordination. Specifically,
the legislature established dedicated parts within the New York State Supreme Court to adjudicate
claims under the CVA, required special training of judges, and provided trial preference for older
abuse victims (22 NYCRR § 202.72). In furtherance of that objective, this court, along with the
DLC and PLC, has already worked to create CMO 1 and CMO 2, and has implemented standard
disclosures as well as coordinated motion practice. As the litigation progresses, collaboration with
respect to deposition-taking will be necessary. Such collaboration will require discovery-sharing
with to all plaintiffs who have filed claims against the same defendant. Discovery-sharing will
help facilitate such collaboration. Indeed, discovery-sharing has been ordered by courts across the
country adjudicating claims of child sex abuse (see Clergy Cases II Order, No. JCCP4297 [CA
Super. Ct. June 7, 2006][discovery-sharing ordered in California child sex abuse cases]; see A.G.
v. Corp. of the Catholic Archbishop of Seattle, 162 Wn. App. 16 [Wash. Ct. App. 2011][
Washington Court of Appeals authorized discovery-sharing in multiple child sex abuse cases
against the Archdiocese of Seattle]).
Contrary to defendants’ position, this court’s decision to allow plaintiffs’ attorneys to share
specific information about a common abuser is squarely within its broad discretion to settle matters
relating to disclosure in accordance with CPLR §§ 3101(a) and 104. Notably, CPLR §104
specifically provides that “[t]he civil practice law and rules shall be liberally construed to secure
the just, speedy, and inexpensive determination of every civil judicial proceeding.” Once again,
discovery-sharing satisfies that objective. Even so, defendants submit that at the very least Section
IiI(1)(a) should be modified to include information of a personal nature so that categories of
information such as occupational and educational records are not automatically subject to
disclosure. In response, plaintiffs appear to concede that there are instances where personnel files
may be irrelevant if claims of negligent retention, hiring, or supervision, are not advanced. But
where such claims are advanced, and a necessary element of the proof required involves an
institution or employer’s knowledge of whether an abuser had a propensity to commit the subject
misdeeds, there can be no question that complaints or records in an alleged abuser’s files are
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