Opinion

Ortiz v. Wagstaff

Court
District Court, W.D. New York
Filed
Feb 17, 2023
Cited by
0 cases
Authority
More cited than 27.9%

affirmative misrepresentations or improper “trickery” can render a confession involuntary (alteration omitted)

How later courts described this case

  • affirmative misrepresentations or improper “trickery” can render a confession involuntary (alteration omitted)
  • “This court reviews the grant of a new trial on the ground that the verdict was against the weight of the evidence for abuse of discretion.”
  • explaining that “[c]onduct that involves deceit or malice is more reprehensible than conduct involving mere negligence” and “conduct that could cause serious physical or emotional injury is more reprehensible than conduct that risks only minor injuries or economic damages”
  • “a jury is free to believe part and disbelieve part of any witness’s testimony”

Written by the judges who cited it.

The opinion

UNITED STATES DISTRICT COURT

WESTERN DISTRICT OF NEW YORK

JOSUE ORTIZ,

Plaintiff, DECISION AND ORDER

v. 1:16-CV-00321 EAW

MARK STAMBACH,

Defendant.

INTRODUCTION

Plaintiff Josue Ortiz (“Plaintiff”) sued defendant Mark Stambach (“Defendant”) for

violations of his civil rights related to his arrest and conviction for the murders of Nelson

and Miguel Camacho, and his subsequent exoneration. (Dkt. 1). A jury found in Plaintiff’s

favor after a five-day trial, and awarded $5 million in compensatory damages and $1.5

million in punitive damages. (Dkt. 158).

Currently pending before the Court are several post-trial motions: (1) a motion for

attorneys’ fees filed by Plaintiff (Dkt. 167); (2) a motion for attorneys’ fees filed by

Plaintiff’s former counsel, Hancock Estabrook LLP (“Hancock”) (represented here by Alan

Pierce, Esq.) (Dkt. 169); and (3) motions for judgment as a matter of law pursuant to Fed.

R. Civ. P. 50(b), for a new trial pursuant to Fed. R. Civ. P. 59(a), and for remittitur pursuant

to Fed R. Civ. P. 59(e) filed by Defendant (Dkt. 177). For the reasons that follow, the

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Court denies Defendant’s motions, grants in part and denies in part Plaintiff’s motion for

attorneys’ fees, and grants in part and denies in part Hancock’s motion for attorneys’ fees.

BACKGROUND

Familiarity with the prior history of this case—including particularly the Court’s

Decision and Order entered on February 26, 2021 (Dkt. 82), and the evidence adduced at

trial—is assumed for purposes of the instant Decision and Order. The Court has

summarized the salient procedural background below.

Plaintiff commenced the instant action on April 26, 2015. (Dkt. 1). Following

discovery and motion practice, the only claims that proceeded to trial were Plaintiff’s

claims against Defendant for malicious prosecution, fabrication of evidence, and violation

of the right against self-incrimination. (See Dkt. 82 at 36; Dkt. 160). The jury found in

Plaintiff’s favor on each of these claims. (Dkt. 160).

Following entry of judgment, Plaintiff filed his motion for attorneys’ fees on May

20, 2022. (Dkt. 167). This motion did not include a request for any fees by Hancock,

which had been terminated by Plaintiff on the eve of trial. (See Dkt. 140). Hancock filed

its separate request for attorneys’ fees on May 23, 2022. (Dkt. 169). Defendant filed his

motion for judgment as a matter of law, for a new trial, and for remittitur on June 7, 2022.

(Dkt. 177).

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On June 10, 2022, Defendant filed his opposition to both of the pending motions for

attorneys’ fees. (Dkt. 179; Dkt. 180). Hancock filed reply papers on June 21, 2022. (Dkt.

182).

Plaintiff filed his opposition to Defendant’s post-trial motions on June 28, 2022.

(Dkt. 187). Defendant filed his reply on July 8, 2022. (Dkt. 192). The Court heard oral

argument on January 31, 2023, and reserved decision. (Dkt. 194).

DISCUSSION

I. Defendant’s Post-Trial Motions

Because Plaintiff’s entitlement to attorneys’ fees turns on his status as a prevailing

party, the Court considers first Defendant’s challenges to the trial and the jury’s verdict.

A. Motion for Judgment as a Matter of Law

Pursuant to Rule 50, the Court may grant a motion for judgment as a matter of law

in a jury trial if it finds “that a reasonable jury would not have a legally sufficient

evidentiary basis to find for the party” opposing the request. Fed. R. Civ. P. 50(a). The

same standard applies where, as here, a party renews its request for judgment as a matter

of law after the trial is complete. See Fed. R. Civ. P. 50(b).

“In ruling on a motion for judgment as a matter of law, the court may not itself

weigh credibility or otherwise consider the weight of the evidence; rather, it must defer to

the credibility assessments that may have been made by the jury and the reasonable factual

inferences that may have been drawn by the jury.” Williams v. Cnty. of Westchester, 171

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F.3d 98, 101 (2d Cir. 1999); see also Stevens v. Rite Aid Corp., 851 F.3d 224, 228 (2d Cir.

2017) (“Judgment as a matter of law may not properly be granted under Rule 50 unless the

evidence, viewed in the light most favorable to the opposing party, is insufficient to permit

a reasonable juror to find in his favor.” (citation and alteration omitted)). Accordingly, the

Court may not grant judgment as a matter of law unless “(1) there is such a complete

absence of evidence supporting the verdict that the jury’s findings could only have been

the result of sheer surmise and conjecture, or (2) there is such an overwhelming amount of

evidence in favor of the movant that reasonable and fair minded persons could not arrive

at a verdict against it.” Williams, 171 F.3d at 101 (alterations omitted and quoting Cruz v.

Local Union No. 3 of the Int’l Bhd. of Elec. Workers, 34 F.3d 1148, 1154 (2d Cir. 1994));

see also Wierzbic v. Howard, 331 F.R.D. 32, 45 (W.D.N.Y. 2019) (“In ruling on a motion

for judgment as a matter of law, the motion will be granted only if (1) there is a complete

absence of probative evidence to support a verdict for the non-movant or (2) the evidence

is so strongly and overwhelmingly in favor of the movant that reasonable and fair minded

men in the exercise of impartial judgment could not arrive at a verdict against him.”

(quotation and alteration omitted)), aff’d, 836 F. App’x 31 (2d Cir. 2020). This “standard

places a particularly heavy burden on the movant where, as here, the jury has deliberated

in the case and actually returned its verdict in favor of the non-movant.” Morse v. Fusto,

804 F.3d 538, 546 (2d Cir. 2015) (quotations omitted).

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Defendant contends that a reasonable jury could not have found for Plaintiff on any

of the three causes of action that were presented at trial. The Court disagrees, for the

reasons that follow.

1. Malicious Prosecution

The Court turns first to Plaintiff’s claim for malicious prosecution. “To prevail on

a claim of malicious prosecution, four elements must be shown: (1) the defendant initiated

a prosecution against plaintiff, (2) without probable cause to believe the proceeding can

succeed, (3) the proceeding was begun with malice and, (4) the matter terminated in

plaintiff’s favor.” Ricciuti v. N.Y.C. Transit Auth., 124 F.3d 123, 130 (2d Cir. 1997). “The

existence of probable cause is a complete defense to a claim of malicious prosecution . . .,

and indictment by a grand jury creates a presumption of probable cause.” Manganiello v.

City of New York, 612 F.3d 149, 161-62 (2d Cir. 2010) (quotations and citation omitted).

This presumption “may be rebutted only by evidence that the indictment was procured by

fraud, perjury, the suppression of evidence or other police conduct undertaken in bad faith.”

Id. at 162 (quotation omitted).

Defendant argues that the evidence at trial was insufficient to permit a reasonable

jury to find that the presumption of probable cause had been rebutted in this case.1 In

particular, Defendant argues that there was “no evidence, direct or circumstantial, of bad

1 It is undisputed that Plaintiff was indicted by a grand jury and that there was

correspondingly a presumption of probable cause.

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faith” on his part. (Dkt. 177-4 at 18). However, Defendant ignores key evidence presented

at trial, and improperly construes the facts in a manner favorable to his position.

More particularly, Defendant ignores or downplays the following critical evidence

presented to the jury: (1) it is undisputed that Plaintiff was not involved in the murders of

the Camacho brothers; (2) Dr. Evelyn Coggins testified that Plaintiff was “in the throes of

a psychotic episode” during the relevant time period (Dkt. 157 at 45-47); (3) Plaintiff

testified that he spoke very limited English at the relevant time period (Dkt. 173 at 25-26);

(4) Defendant testified, and record evidence corroborated, that he was alone with Plaintiff

for approximately 40 minutes prior to Plaintiff giving his confession, during which time he

spoke to Plaintiff about the crime without advising him of his Miranda rights (Dkt. 165 at

18-19, 39-42); (5) Officer Edwin Torres, who had participated in an interview of Plaintiff

at Buffalo General Hospital the day prior to his interview with Defendant2, testified that

Plaintiff was determined at that time not to have any credible information about the

murders (Dkt. 176 at 30-32); (6) Officer Torres testified that Defendant’s notes from his

conversation with Plaintiff during the time that Plaintiff and Defendant were alone

contained “details that would only be known by somebody who committed the crimes” (id.

at 81); and (7) Officer Torres testified that those same details from Defendant’s notes and

2 At the time of trial, Officer Torres was unable to recall whether Defendant was

present during the interview of Plaintiff at Buffalo General Hospital. (Dkt. 176 at 18).

However, Officer Torres was impeached at trial with testimony he provided at the state

court proceeding in 2005, identifying Defendant as being present during Plaintiff’s

interview at the hospital. (Id. at 18-23).

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which would only have been known to the perpetrator were repeated by Plaintiff in his

confession (id.).

Distilled to its essence, Defendant’s argument is that this circumstantial evidence is

insufficient because Plaintiff was unable to remember his interaction with Defendant and

provide direct eyewitness testimony to contradict Defendant’s account. However,

Defendant has cited no authority holding that direct evidence is required to rebut a

presumption of probable cause in a jury trial on a malicious prosecution claim. Defense

counsel did point at oral argument to certain reported decisions in which such direct

evidence was presented, but the fact that other plaintiffs in other, unrelated cases were able

to present stronger evidence does not render the jury’s verdict in this case unreasonable.

To the contrary, it is well established that—even in the more demanding criminal context—

“the jury’s verdict may be based entirely on circumstantial evidence, and may be inferred

from the evidence, so long as the inference is reasonable, for it is the task of the jury, not

the court, to choose among competing inferences.” United States v. Morgan, 385 F.3d 196,

204 (2d Cir. 2004) (quotations and citations omitted).

In this case, while it is certainly not the only conclusion a jury could have drawn, it

is a reasonable inference from the circumstantial evidence set forth above that Defendant

deliberately fed Plaintiff information regarding the murders of the Camacho brothers

during the 40-minute period they were alone, relying on Plaintiff’s fragile mental state and

limited command of the English language to manufacture a false confession, which

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Plaintiff then repeated in front of Officer Torres as a direct result of Defendant’s conduct.

While defense counsel contended at oral argument that Plaintiff might have somehow been

aware of the particulars of the murders despite not having been involved therein, the jury

was not obliged to engage in that kind of speculation. Indeed, other than general references

to Plaintiff having been associated with the Camacho brothers at the time of their murders,

there was no other evidence presented at trial as to how Plaintiff, who was not at the crime

scene, was able to provide accurate details regarding the murders in his confession. And,

as previously noted, the day before Defendant interviewed Plaintiff, Plaintiff had been

interviewed at the hospital by Buffalo Police Department detectives and had been

determined not to be a suspect because he lacked any credible information regarding the

crimes.

“[A] police officer’s fabrication and forwarding to prosecutors of known false

evidence” is the sort of bad faith misconduct that can rebut the presumption of probable

cause flowing from a grand jury indictment. Manganiello, 612 F.3d at 162. Accordingly,

a reasonable jury could have concluded, on the evidence presented at trial, that Defendant

acted in bad faith and that the presumption of probable cause was accordingly overcome.

Defendant’s arguments to the contrary miss the mark. As previously noted,

Defendant relies heavily on the fact that Plaintiff himself is unable to remember his

interaction with Defendant, and was accordingly unable to offer his own version of what

happened during their 40-minute, pre-written confession interaction. According to

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Defendant, this dooms Plaintiff’s malicious prosecution claim, because he cannot satisfy

“the ‘competing testimony plus’ test announced in Boyd v. City of New York[, 336 F.3d 72

(2d Cir. 2003).]” (Dkt. 177-4). Defendant overstates the holding in Boyd. There, the

Second Circuit found, at the summary judgment stage, that “a jury could reasonably find

that the indictment was secured through bad faith or perjury” based on the plaintiff’s

testimony as corroborated by a booking shoot. 336 F.3d at 77. Defendant reads this case

to mean that the only way a plaintiff claiming malicious prosecution can demonstrate bad

faith is through a combination of his own contradictory version of events and some

corroborating evidence. (See Dkt. 192 at 9). However, while the Boyd court found that

the evidence in that case was sufficient to create a triable issue of fact, it did not suggest

that a plaintiff could never prove bad faith in some other fashion.

In other words, while Boyd and its progeny indicate that a plaintiff may not rely

solely on “his version of events” to rebut the presumption of probable cause, Peterson v.

Regina, 935 F. Supp. 2d 628, 643 (S.D.N.Y. 2013) (citation omitted), they do not establish

that a plaintiff who cannot remember his interaction with the defendant can never prevail

on a malicious prosecution claim. To the contrary, the situation presented here is

essentially the opposite of what courts have found prohibited by Boyd—that is, rather than

relying solely on his own version of events without corroborating evidence, Plaintiff relies

on circumstantial corroborating evidence but is unable to offer his own eyewitness account.

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This simply does not implicate the same prudential concerns as allowing the presumption

to be overcome based solely on self-serving testimony.

Further, the jury was not required to find Defendant’s version of events credible

simply because Plaintiff was unable to offer his own recollection. See In re Dana Corp.,

574 F.3d 129, 152 (2d Cir. 2009) (“a jury is free to believe part and disbelieve part of any

witness’s testimony”); Dillon v. Morano, 497 F.3d 247, 253 (2d Cir. 2007) (“A jury is

under no obligation to find [a defendant] credible or find [his] explanation believable.”).

The jury could, and plainly did, conclude that Defendant was not being truthful about what

happened during the time that he and Plaintiff were alone. On a motion for judgment as a

matter of law, the Court “cannot assess the weight of conflicting evidence, pass on the

credibility of the witnesses, or substitute its judgment for that of the jury.” Tolbert v.

Queens Coll., 242 F.3d 58, 70 (2d Cir. 2001) (quoting Smith v. Lightning Bolt Prods., Inc.,

861 F.2d 363, 367 (2d Cir. 1988)).

It is further not dispositive that certain evidence cited by the Court in denying

Defendant’s motion for summary judgment on Plaintiff’s malicious prosecution claim was

not ultimately introduced at trial. Defendant argues that “this Court’s summary judgment

decision required that certain evidence had to be introduced showing that [Defendant]

knew that [Plaintiff] was not or could not have been a perpetrator at the time of the

confession.” (Dkt. 177-4 at 21). Defendant’s argument misunderstands the task that a

court undertakes in deciding whether summary judgment in favor of a defendant is

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appropriate. In assessing such a motion, a court need not analyze or articulate every legal

or factual theory on which the plaintiff could potentially prevail at trial. If the court is

satisfied that at least one material factual dispute exists, summary judgment must be denied.

See, e.g., Bonnie & Co. Fashions v. Bankers Tr. Co., 170 F.R.D. 111, 121 (S.D.N.Y. 1997)

(“[I]t is basic, black-letter law that the existence of even one disputed issue of material fact

renders a grant of summary judgment inappropriate. . . . Once this Court found that there

existed one material issue of disputed fact regarding Count One, this Court did not need to

consider any of [the defendant’s] other alleged violations of the Factoring Agreement in

order to deny summary judgment, and therefore, did not consider them. . . . As a result, all

of [the defendant’s] conduct which was alleged by plaintiffs in Count One to violate the

Factoring Agreement survived [the defendant’s] summary judgment motion.”).

Consistent with these principles, in its Decision and Order denying Defendant

summary judgment on Plaintiff’s malicious prosecution claim, the Court identified certain

evidence that it found would allow a reasonable factfinder to conclude that Defendant had

knowingly procured a false confession from Plaintiff and accordingly denied summary

judgment. (Dkt. 82 at 28). The Court never held that some lesser quantum of evidence

would be insufficient to sustain Plaintiff’s burden of proof at trial, because it was not called

upon to make such a determination at that time. Nor did the Court grant partial summary

judgment determining that any particular legal or factual theory of Plaintiff’s as to this

claim failed as a matter of law. Accordingly, the fact that the evidence at trial did not line

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up precisely with the discussion in the Court’s prior Decision and Order does not mean that

Defendant is entitled to judgment in his favor.

For all these reasons, the Court cannot conclude that a reasonable jury would have

been unable to find in Plaintiff’s favor on his malicious prosecution claim, and Defendant’s

motion for judgment as a matter of law thereon is denied.

2. Fabrication of Evidence

The elements of a fabrication of evidence claim are that “an (1) investigating official

(2) fabricates information (3) that is likely to influence a jury’s verdict, (4) forwards that

information to prosecutors, and (5) the plaintiff suffers a deprivation of life, liberty, or

property as a result.” Garnett v. Undercover Officer C0039, 838 F.3d 265, 279 (2d Cir.

2016). A plaintiff “may rely on circumstantial evidence (and reasonable inferences drawn

from such evidence)” to support a contention that a defendant engaged in the fabrication

of evidence. Anilao v. Spota, 340 F. Supp. 3d 224, 251 (E.D.N.Y. 2018), aff’d, 27 F.4th

855 (2d Cir. 2022).

Defendant argues that Plaintiff’s fabrication of evidence claim is insufficient as a

matter of law because “[t]here is no evidence whatsoever that [Plaintiff’s] written

confession is not an accurate account of what [Plaintiff] said to [Defendant] on November

16, 2004.” (Dkt. 177-4 at 16). This argument fails for essentially the same reasons

discussed above with respect to Plaintiff’s malicious prosecution claim. Specifically, based

on the evidence previously set forth, a reasonably jury could have concluded that

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Defendant created a false confession by providing Plaintiff, who was suffering from a

psychotic episode, with the details of the murders and causing him to repeat those details

in response to Defendant’s subsequent questions. Having reached such a conclusion, a

reasonable jury could further have found in Plaintiff’s favor on his fabrication of evidence

claim. The Court accordingly denies Defendant’s Rule 50(b) motion as to this claim.

3. Violation of Right Against Self-Incrimination

A plaintiff may recover “under the Fifth Amendment self-incrimination clause if

coercion was applied to obtain a waiver of the plaintiffs’ rights against self-incrimination

and/or to obtain inculpatory statements, and the statements thereby obtained were used

against the plaintiff[] in a criminal proceeding.” Deshawn E. by Charlotte E. v. Safir, 156

F.3d 340, 346 (2d Cir. 1998). Whether a statement was obtained by coercion is determined

by the totality of the circumstances. Id.; see also Green v. Scully, 850 F.2d 894, 901 (2d

Cir. 1988) (“No single criterion controls whether an accused’s confession is voluntary:

whether a confession was obtained by coercion is determined only after careful evaluation

of the totality of the surrounding circumstances.”). “[F]actors to be considered include: the

characteristics of the accused, such as his experience, background, and education; the

conditions of the interrogation; and the conduct of law enforcement officials, notably,

whether there was physical abuse, the period of restraint in handcuffs, and use of

psychologically coercive tactics.” Nelson v. Walker, 121 F.3d 828, 833 (2d Cir. 1997).

“Psychologically coercive tactics” may include “techniques such as brainwashing or

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promises of leniency or other benefits.” Green, 850 F.2d at 902; see also United States v.

Anderson, 929 F.2d 96, 100 (2d Cir. 1991) (affirmative misrepresentations or improper

“trickery” can render a confession involuntary (alteration omitted)).

Although it is a closer question than those presented by Plaintiff’s other claims, the

Court finds that the jury could have reasonably concluded that Defendant engaged in

coercive conduct during the 40 minutes that he was alone with Plaintiff prior to the taking

of Plaintiff’s written confession. In particular, the jury could have taken into account

Plaintiff’s limited understanding of English, Plaintiff’s psychological state, and the fact

that Plaintiff had a limited education. (See Dkt. 173 at 23-24 (Plaintiff testifying that he

only completed the 11th grade and had been unsuccessful in obtaining his GED)). The

jury also could have reasonably inferred that Defendant employed a psychologically

coercive interrogation technique and/or engaged in improper trickery, based on the

evidence that: (1) Plaintiff had no credible information about the murders when

interviewed by law enforcement the previous day; (2) Plaintiff had no involvement in the

murders; (3) during the 40-minute interval where he was alone with Plaintiff, Defendant

created notes that included details of the murders that could only have been known by

someone with inside knowledge; and (4) those same details were then repeated by Plaintiff

during his answers to Defendant’s questions during the creation of his written confession.

Defendant’s emphasis on the law enforcement witnesses’ testimony about his

conduct while taking Plaintiff’s written confession (see Dkt. 177-4 at 13-15) misses the

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point. As discussed above, the jury was free to disbelieve all or part of that testimony.

Further, it is entirely plausible that, having successfully employed psychological coercion

during the 40 minutes when he was alone with Plaintiff (an individual with a limited

education, little understanding of the English language, and a fragile mental state),

Defendant had no need to continue to do so in front of Officer Torres or Sergeant James

Lonergan (the other witness to Defendant’s post-interview conduct). While the jury

certainly was not compelled to reach that conclusion, it was permitted to do so.

Defense counsel also contended at oral argument that Defendant’s version of events

was corroborated by the facts that Plaintiff pled guilty in his state court criminal

proceedings and reiterated his guilt years later before a federal grand jury. However, this

argument again fails to consider the evidence in the light most favorable to Plaintiff. As to

the former point, the evidence at trial was that Plaintiff attempted to withdraw his guilty

plea and that the state court judge denied that request. (Dkt. 175 at 6). As to the latter

point, Plaintiff explained at trial that when he testified before the federal grand jury, he was

afraid that he would be prosecuted federally if he claimed not to have committed the

murders. (Id. at 66-67). The jury was within its rights to credit this explanation.

In sum, the Court finds no basis to grant Defendant judgment as a matter of law on

Plaintiff’s claim that Defendant violated his right against self-incrimination.

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4. Punitive Damages

Defendant contends that he is entitled to judgment as a matter of law on Plaintiff’s

claim for punitive damages, because there was nothing shocking or offensive about his

conduct, nor was there any evidence that he had an evil motive or intent or was acting based

on personal animus. (Dkt. 177-4 at 23-24). The Court disagrees that a reasonable jury

could not have awarded punitive damages in this case.

“Punitive damages are available in a § 1983 action when the defendant’s conduct is

shown to be motivated by evil motive or intent, or when it involves reckless or callous

indifference to the federally protected rights of others.” Lee v. Edwards, 101 F.3d 805, 808

(2d Cir. 1996) (quoting Smith v. Wade, 461 U.S. 30, 56 (1983)). As detailed above, the

jury in this case could have reasonably concluded that Defendant caused the fabrication of

a false confession and then caused that false confession to be used to prosecute Plaintiff.

Such actions easily satisfy the standard for engaging in callous indifference to Plaintiff’s

constitutional rights. Further, a reasonable jury could determine that such conduct was

shocking, offensive, and sufficiently egregious to warrant an award of punitive damages.

See, e.g., Niemann v. Whalen, 928 F. Supp. 296, 300 (S.D.N.Y. 1996) (finding jury was

warranted in awarding punitive damages where defendant coerced a false confession),

aff’d, 107 F.3d 3 (2d Cir. 1997).

For all these reasons, the Court denies in its entirety Defendant’s motion for

judgment as a matter of law.

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B. Motion for a New Trial

Defendant seeks in the alternative a new trial pursuant to Rule 59(a). “As a general

matter, a motion for a new trial should be granted when, in the opinion of the district court,

the jury has reached a seriously erroneous result or the verdict is a miscarriage of justice.”

DLC Mgmt. Corp. v. Town of Hyde Park, 163 F.3d 124, 133 (2d Cir. 1998) (quotation and

alterations omitted); see also Farrior v. Waterford Bd. of Educ., 277 F.3d 633, 635 (2d Cir.

2002) (“[A] decision is against the weight of the evidence, for purposes of a Rule 59

motion, if and only if the verdict is seriously erroneous or a miscarriage of justice[.]”).

“Rule 59(a) . . . has a less stringent standard than Rule 50 in two significant respects: (1) a

new trial under Rule 59(a) may be granted even if there is substantial evidence supporting

the jury’s verdict, and (2) a trial judge is free to weigh the evidence himself, and need not

view it in the light most favorable to the verdict winner.” Manley v. AmBase Corp., 337

F.3d 237, 244-45 (2d Cir. 2003) (quotations and citation omitted). “The legal standard for

granting a new trial under Rule 59(a) calls for deference to jury determinations while

affording discretion to the trial judge to order a new trial in the event of manifest injustice.”

Top Ridge Invs., LLC v. Anichini, Inc., No. 5:16-CV-76, 2018 WL 11419657, at *1 (D. Vt.

May 7, 2018). Whether to grant a new trial under Rule 59(a) is entrusted to the Court’s

discretion. See Amorgianos v. Nat’l R.R. Passenger Corp., 303 F.3d 256, 261 (2d Cir.

2002) (“This court reviews the grant of a new trial on the ground that the verdict was

against the weight of the evidence for abuse of discretion.”).

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The Court does not find that this is a case in which the jury’s verdict was seriously

erroneous or a miscarriage of justice. The resolution of this case turned largely on the

jury’s assessment of Defendant’s credibility, and Second Circuit precedent “teach[es] . . .

the high degree of deference accorded to the jury’s evaluation of witness credibility, and

that jury verdicts should be disturbed with great infrequency.” Raedle v. Credit Agricole

Indosuez, 670 F.3d 411, 418 (2d Cir. 2012). Indeed, “where, as here, a verdict is predicated

almost entirely on the jury’s assessments of credibility, such a verdict generally should not

be disturbed except in an egregious case[.]” Id. at 418-19 (reversing district court’s grant

of new trial where “[i]n the final analysis, the only testimony regarding what was actually

said came from [one witness], and thus the entire case hinged on his credibility”).

Here, the jury plainly concluded that Defendant was not being truthful about his

interactions with Plaintiff, and there was support in the record for that conclusion. For

example, Defendant changed his testimony in some respects from his deposition testimony.

(See, e.g., Dkt. 165 at 45-47). Perhaps most significantly, Defendant initially testified at

trial that he did not have a conversation with Plaintiff during the 40 minutes they were

alone. (Id. at 39). However, the jury subsequently learned that Defendant had testified at

his deposition that he and Plaintiff had engaged in conversation during that time period,

including conversation about the murders, and that Defendant had created two pages of

notes during that time containing information specific to the crimes at issue. (Id. at 40-44).

After being confronted with his prior testimony, Defendant tried to claim that he had asked

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“[j]ust limited” questions of Plaintiff, but conceded on further cross-examination that he

had asked Plaintiff “questions and details about how the crime had been committed” before

a translator arrived and before Plaintiff was advised of his Fifth Amendment rights, and

that it was during that same time frame that Plaintiff supposedly gave the facts that “led

[Defendant] to believe he was the perpetrator of the crime[].” (Id. at 41-42).

The Court does not consider it seriously erroneous or a miscarriage of justice for the

jury to have concluded that Defendant was not a credible witness, nor for the jury to have

drawn reasonable inferences based on the circumstantial evidence as to what actually

occurred during the 40 minutes that Plaintiff and Defendant were alone together prior to

Plaintiff’s written confession. Under the circumstances of this case, the Court does not

find it to be the rare occasion on which the jury’s verdict should be disturbed.

C. Motion for Remittitur

Defendant’s final request is for remittitur pursuant to Rule 59(e). The Second

Circuit has explained that:

The district court has authority to enter a conditional order of remittitur,

compelling a plaintiff to choose between reduction of an excessive verdict

and a new trial, in at least two distinct kinds of cases: (1) where the court can

identify an error that caused the jury to include in the verdict a quantifiable

amount that should be stricken, and (2) more generally, where the award is

intrinsically excessive in the sense of being greater than the amount a

reasonable jury could have awarded, although the surplus cannot be ascribed

to a particular, quantifiable error.

Kirsch v. Fleet St., Ltd., 148 F.3d 149, 165 (2d Cir. 1998) (quotations and alterations

omitted). In the latter case—where there is no particular discernable error—“generally . . .

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a jury’s damage award may not be set aside as excessive unless the award is so high as to

shock the judicial conscience and constitute a denial of justice[.]” Id. (quotation omitted;

see also Newton v. City of New York, 171 F. Supp. 3d 156, 171 (S.D.N.Y. 2016) (“[T]his

Court must evaluate whether [the plaintiff’s] Section 1983 award shocks the judicial

conscience given that there is no particular discernable error that caused the jury to include

in the verdict a quantifiable amount that should be stricken.” (quotations and original

alterations omitted)).

Defendant contends that the jury’s award of $5 million in compensatory damages

was intrinsically excessive. (Dkt. 177-4 at 26). The Court disagrees. As Defendant

concedes, “there have been cases holding that an award of $1,000,000 . . . per year spent

in prison is a reasonable award in wrongful conviction cases.” (Dkt. 177-4 at 27); see, e.g.,

Newton, 171 F. Supp. 3d at 172-75 (collecting cases). Here, Plaintiff spent 10 years in

prison for a crime he did not commit, and so the $5 million award equates to $500,000 per

year of wrongful confinement. This is well within a permissible range.

Defendant argues that Plaintiff did not present “detailed evidence” of his emotional

distress. (Dkt. 177-4 at 27). However, Plaintiff testified at trial about experiencing

humiliating strip searches while imprisoned, about being attacked by other inmates, and

about being assaulted by corrections officers. (Dkt. 175 at 9-14). He further expressly told

the jury how difficult he found it to live in a cell, particularly in light of his mental health

struggles. (Id. at 15). He also discussed feeling as though he constantly had to “watch[]

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his back.” (Id. at 16). The jury could have reasonably concluded from this testimony that

Plaintiff suffered significant emotional distress as a result of his wrongful conviction.

Defendant also argues that there was no “concrete evidence of a police officer’s bad

faith misconduct” in this case. (Dkt. 177-4 at 27). Of course, for the reasons discussed

above, the Court disagrees with Defendant’s assessment of the proof at trial that supported

the jury’s verdict. While circumstantial, a reasonable jury had a legally sufficient

evidentiary basis to find in favor of Plaintiff. Moreover, the amount of compensatory

damages does not depend on the presence of direct—as opposed to circumstantial—proof

at trial. So long as the proof was sufficient to support a verdict in Plaintiff’s favor, which

the Court has determined it was in this case, the jury was entitled to determine the amount

that would compensate Plaintiff for his damages.

As to the punitive damages amount, “no objective standard exists that justifies the

award of one amount, as opposed to another, to punish a tortfeasor appropriately for his

misconduct.” Stampf v. Long Island R. Co., 761 F.3d 192, 209 (2d Cir. 2014) (citation and

alteration omitted). However, there are three general “guideposts” a court may look to in

reviewing whether a punitive damages award is excessive: “(1) the degree of

reprehensibility of the defendant’s conduct, (2) the ratio of punitive damages to the actual

harm inflicted, and (3) ‘the difference between this remedy and the civil penalties

authorized or imposed in comparable cases.’” Id. (quoting BMW of N. Am., Inc. v. Gore,

517 U.S. 559, 575 (1996)).

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Defendant focuses solely on the first of these guideposts in seeking remittitur,

arguing that “there was no evidence of reprehensible conduct by” Defendant. (Dkt. 177-4

at 27). For the reasons discussed at length above, the Court disagrees. The jury reasonably

found that Defendant, a law enforcement officer, fabricated a false confession, and thereby

caused an innocent man to be imprisoned for 10 years. That is reprehensible conduct as

that term is used in this context. See Stampf, 761 F.3d at 209 (explaining that “[c]onduct

that involves deceit or malice is more reprehensible than conduct involving mere

negligence” and “conduct that could cause serious physical or emotional injury is more

reprehensible than conduct that risks only minor injuries or economic damages”).

Defendant’s argument relies on his contention that he did nothing more than take a

statement from Plaintiff (Dkt. 177-4 at 27), but that is not what the jury found.

The Court further notes that the ratio of punitive damages to compensatory damages

in this case is 1.5:5, which is less than the 1:1 ratio that the Second Circuit has said does

not “raise a suspicious judicial eyebrow.” Stampf, 761 F.3d at 211 (quoting Gore, 517 U.S.

at 582). Further, at least one other federal court has apparently approved an “award of

$13,000,000 in punitive damages for 31 years of incarceration based on [a] false

confession.” Burton v. City of New York, No. 20-CV-9025 ATR WL, 2022 WL 9491955,

at *14 (S.D.N.Y. Sept. 26, 2022) (citing McCollum v. Robeson County, No. 15-CV-00451,

Dkt. No. 429 (E.D.N.C. May 14, 2021)).

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In sum, Defendant has failed to persuade the Court that either the compensatory

damages award or the punitive damages award in this case is greater than the amount a

reasonable jury could have awarded. Accordingly, the Court denies Defendant’s request

for remittitur.

II. Plaintiff’s Motion for Attorneys’ Fees

The Court turns next to Plaintiff’s motion for attorneys’ fees. Pursuant to 42 U.S.C.

§ 1988, the Court may award the prevailing party in a § 1983 action a reasonable attorneys’

fee. See Lilly v. City of New York, 934 F.3d 222, 227 (2d Cir. 2019). In determining what

constitutes a reasonable fee, the Court must “calculate a presumptively reasonable fee by

determining the appropriate billable hours expended and setting a reasonable hourly rate,

taking account of all case-specific variables.” Id. at 229-30 (quotations omitted). This

constitutes the “lodestar figure,” which “has, as its name suggests, become the guiding light

of [federal] fee-shifting jurisprudence.” Perdue v. Kenny A., 559 U.S. 542, 551 (2010)

(quotation omitted).

A reasonable hourly rate “is the rate a paying client would be willing to pay.” Id.

(quoting Arbor Hill Concerned Citizens Neighborhood Assoc. v. County of Albany, 522

F.3d 182, 190 (2d Cir. 2008)). “In determining what rate a paying client would be willing

to pay, the district court should consider, among others, the Johnson3 factors; it should also

3 Johnson v. Georgia Highway Express, Inc., 488 F.2d 714 (5th Cir. 1974). The

twelve Johnson factors are: “(1) the time and labor required; (2) the novelty and difficulty

of the questions; (3) the level of skill required to perform the legal service properly; (4) the

preclusion of employment by the attorney due to acceptance of the case; (5) the attorney’s

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bear in mind that a reasonable, paying client wishes to spend the minimum necessary to

litigate the case effectively.” Id. “The determination of an award of attorney’s fees under

42 U.S.C. § 1988 is committed to the sound discretion of the district court because the

appropriate amount is dependent on the unique facts of each case.” Raja v. Burns, 43 F.4th

80, 86 (2d Cir. 2022) (quotation omitted).

“The burden is on the party seeking attorney’s fees to submit sufficient evidence to

support the hours worked and the rates claimed.” Torcivia v. Suffolk Cnty., 437 F. Supp.

3d 239, 251 (E.D.N.Y. 2020). Here, Plaintiff seeks $538,032.50 in attorneys’ fees and

$37,638.28 in costs. (Dkt. 167-1 at ¶¶ 6-7). Plaintiff is a prevailing party in this case, and

so the Court concludes that a fee award is appropriate. However, for the reasons set forth

below, the Court will award $123,550.00 in attorneys’ fees and $2,474.81 in costs, rather

than the amounts requested by Plaintiff.

A. Hours Expended

1. Fees Incurred in Other Matters

Turning first to the determination of the appropriate billable hours expended,

Plaintiff seeks compensation for 1065.4 hours expended by Wayne Felle, Esq., 150.8 hours

expended by Edward Markarian, Esq., 24 hours expended by Elizabeth Bruce, Esq., and

customary hourly rate; (6) whether the fee is fixed or contingent; (7) the time limitations

imposed by the client or the circumstances; (8) the amount involved in the case and the

results obtained; (9) the experience, reputation, and ability of the attorneys; (10) the

‘undesirability’ of the case; (11) the nature and length of the professional relationship with

the client; and (12) awards in similar cases.” Arbor Hill, 522 F.3d at 186 n.3.

- 24 -

190.7 hours expended by paralegal Briana Croce. (Dkt. 167-1 at ¶ 6). However, as

Defendant correctly points out, Plaintiff has included in this request many hundreds of

hours of time spent on other proceedings and legal matters to which Defendant was not a

party. This includes: proceedings in Ortiz v. Case, No. 1:16-cv-00322, a civil case in this

District which was resolved in favor of the defendants; proceedings in the New York Court

of Claims; proceedings in United States of America v. Ortiz, No. 1:16-cr-00077, a criminal

case in this District wherein Plaintiff was convicted of being a felon in possession of a

firearm; and Social Security, disability, and Medicare proceedings.

As the Second Circuit has recently explained, “[i]n section 1988, Congress

authorized district courts only to allow the prevailing party a reasonable attorney’s fee in

an action or proceeding to enforce section 1983.” Raja, 43 F.4th at 92 (quotation and

alteration omitted). Fees incurred in connection with related proceedings may generally

be recovered only to the extent those proceedings were “useful and of a type ordinarily

necessary to advance the civil rights litigation.” Id. (quotation omitted).

Here, the Court largely agrees with Defendant that this standard has not been

satisfied with respect to the other proceedings as to which Plaintiff seeks attorneys’ fees,

inasmuch as the other legal proceedings at issue were not sufficiently related to this action.

The exception is fees related to Plaintiff’s “initial Section 440 proceeding to vacate his

conviction.” (Dkt. 179 at ¶ 12). Plaintiff could not pursue the instant action without first

having his conviction vacated, or his claims would have been barred by Heck v. Humphrey,

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512 U.S. 477 (1994). Accordingly, the state court proceeding to vacate his criminal

conviction was both useful and necessary to advance the instant § 1983 action.

Defendant relies on an unreported, out-of-Circuit case to support his argument that

fees related to the § 440 proceeding are not recoverable under § 1988. (See Dkt. 179-1 at

14-15 (citing DeLew v. Nevada, No. 2:00-CV-00460-LRL, 2010 WL 11636127 (D. Nev.

Jan. 7, 2010))). However, the DeLew case is not on point, as it involved fees related to a

wrongful death suit, not fees related to seeking the vacatur of a criminal conviction. See

2010 WL 11636127, at *6. Further, the DeLew court acknowledged that “attorney’s fees

may be available ‘where a state proceeding is a necessary preliminary action to the

enforcement of a federal claim[.]’” Id. (quoting Simi Inv. Co. v. Harris County, 236 F.3d

240, 255 (5th Cir. 2000)). Again, Plaintiff could not have pursued his § 1983 claims

without first having his conviction vacated in state court.

Defendant has identified 438.7 hours of legal fees that he claims should be struck

as having been incurred in connection with miscellaneous other legal proceedings. (Dkt.

179 at ¶ 13). The Court has reviewed the entries identified by Defendant and notes that the

entries from April 11, 2014, to January 15, 2015, are related to the § 440 proceedings in

which Plaintiff’s conviction was vacated. These entries total 57.3 hours. The Court agrees

with Defendant that most of the remaining 381.4 hours are not recoverable. However, the

entry on September 21, 2021, for 1.8 hours appears on its face to be related to this matter,

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as does the entry on May 9, 2022, for 13 hours. The Court has not excluded these two

entries on this basis.

Defendant has further identified 465.9 hours in fees that he asserts are associated

with the actions before the New York Court of Claims and Appellate Division, Fourth

Department and 47.7 hours that are associated with the Ortiz v. Case matter. (Dkt. 179 at

¶¶ 14-15).4 The Court has reviewed the entries identified by Defendant and agrees that

they are not recoverable. The Court also agrees with Defendant that time spent on public

relations events should be struck, and has not included the identified public relations entries

in its lodestar calculation. (See id. at ¶ 16).

The Court was not persuaded by Plaintiff’s counsel’s contention at oral argument

that certain of the hours expended in connection with the other litigation discussed above

were meant to overlap with and also be used in connection with this litigation. Plaintiff’s

counsel was unable to point to any record support for that contention, and as the party

seeking fees, it is Plaintiff’s burden to “submit sufficient evidence to support the hours

worked[.]” Torcivia, 437 F. Supp. 3d at 251. Without some kind of evidentiary support

(and absent any identification of the specific hours at issue), an attorney’s general assertion

does not satisfy this standard.

4 There is some overlap in the entries identified in paragraphs 13, 14, 15, and 16 of

Defendant’s declaration. The Court has accordingly independently cross-referenced the

identified entries with Plaintiff’s counsel’s billing ledger, and has performed its own

calculation of the hours remaining for each timekeeper when the entries described in this

Decision and Order are excluded.

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2. Vague Entries

Defendant next argues that the Court should strike 11 billing entries for “client

meeting” or “meeting with client” as impermissibly vague. (Id. at ¶ 17). The Court agrees.

“Courts may deny compensation where the billing information submitted is too vague to

sufficiently document the hours claimed.” Decastro v. City of New York, No. 16-CV-3850

(RA), 2017 WL 4386372, at *8 (S.D.N.Y. Sept. 30, 2017) (quotation omitted). In the

context of this case, where counsel was representing Plaintiff in connection with multiple

actions, the phrases “client meeting” and “meeting with client” provide no useful

information about the work done. The Court accordingly will not include these entries in

its calculation. See Broker Genius Inc. v. Seat Scouts LLC, No. 17-CV-8627 (SHS), 2019

WL 3773856, at *3 (S.D.N.Y. Aug. 12, 2019) (describing “[c]alls with team and team

meeting, call with client and review of additional documentation” as “exactly the type of

descriptions that courts have found to be impermissibly vague in the context of recovering

attorneys’ fees”).

3. Unnecessary Pre-trial Motion Practice

Defendant further asks the Court not to award fees associated with pre-trial motion

practice regarding Plaintiff’s failure to disclose expert witnesses, Plaintiff’s request for an

adjournment of the trial date, and the termination of Hancock and withdrawal of Mr. Pierce.

(See Dkt. 179 at ¶¶ 18-21). Defendant contends that these activities were unnecessary and

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incurred because of Plaintiff’s counsel’s own failure to comply with the Federal Rules of

Civil Procedure. (Dkt. 179-1 at 19).

“In determining the number of hours reasonably expended on a case, a district court

properly excludes documented hours that are excessive, redundant, or otherwise

unnecessary.” Raja, 43 F.4th at 87 (quotation omitted). Here, the Court does not agree

that the motion practice regarding expert witnesses falls within that category. While the

Court ultimately largely found in Defendant’s favor on those motions, the Court cannot say

that the associated motion practice was unnecessary.

However, the Court agrees that Defendant should not have to bear the costs of

Plaintiff’s request for an adjournment of the trial date, which was entirely without basis

and which the Court noted was made in an attempt at gamesmanship. (See Dkt. 138).

Defendant also should not have to bear the costs of the internal dispute between Plaintiff’s

lawyers, which could and should have been handled without resort to motion practice.

Plaintiff’s counsel has included litigation of the motion for an adjournment and his

work related to his dispute with Mr. Pierce in large, blocked-billed entries in April of 2022.

The Court accordingly strikes from the requested fees a 12.5-hour entry on April 14, 2022,

a 7.5-hour entry on April 19, 2022, a 6.8-hour entry on April 20, 2022, a 7.2-hour entry on

April 21, 2022, and an 8.6-hour entry on April 26, 2022, each of which references work on

these items. (See Dkt. 167-2 at 19).

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4. Paralegal Time Charged to Attorney

Defendant has identified three specific occasions on which Mr. Felle appears to have

billed hours that were actually worked by his paralegal, Ms. Croce. The first is an entry

on June 3, 2019. (Dkt. 167-2 at 12). The time entry says: “Sent co-counsel transcripts

and exhibits (WCF 1.5) (BEC 2).” (Id.). However, the corresponding hours charge 3.5

hours to Mr. Felle and none to Ms. Croce. This is clearly an error, as the time entry itself

allocates 2 hours of work to Ms. Croce. Similar errors can be seen in an entry from

November 8, 2019, attributing 0.3 hours of Ms. Croce’s work to Mr. Felle, and in an entry

from April 29, 2022, attributing 6.5 hours of Ms. Croce’s work to Mr. Felle. (Id. at 12,

20). The entry from November 8, 2019, has already been disallowed by the Court as related

to state court litigation. For the remaining misallocated 8.5 hours, the Court will apply Ms.

Croce’s rate and not Mr. Felle’s rate.

5. Block Billing and Other Deficient Time-Keeping Practices

In addition to the specific arguments made above, Defendant seeks an across-the-

board reduction in the requested hours, arguing that counsel’s “time entries demonstrate

widespread block-billing, excessively vague time-entries, and are suggestive of either

deliberate overestimation or a failure to maintain contemporaneous records.” (Dkt. 179-1

at 16). Defendant specifically seeks an across-the-board 75% reduction in the remaining

hours. (Id. at 17).

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“Block billing—. . . the practice of lumping multiple distinct tasks into a single

billing entry—is generally disfavored because it can complicate the district court’s task of

determining the reasonableness of the billed hours.” Raja, 43 F.4th at 87. Nonetheless,

“the practice is by no means prohibited in this Circuit because block billing will not always

result in inadequate documentation of an attorney’s hours.” Id. In particular, block billing

is “permissible as long as the district court is still able to conduct a meaningful review of

the hours for which counsel seeks reimbursement.” Id. (quotation omitted) Here, while

Plaintiff’s counsel did engage in block billing, the Court does not find that the practice was

so egregious as to prevent meaningful review of the requested hours.

However, the Court does agree that some reduction is appropriate due to the

vagueness of the time entries and because they reflect excessive time spent on routine

matters. See Kirsch v. Fleet St., Ltd., 148 F.3d 149, 173 (2d Cir. 1998). To give just a few

example of excessive time spent on routine matters, an entry on April 25, 2016, reflects

two hours of attorney time for “filed, paid—claims against City and County”; an entry on

November 2, 2016, reflects 0.5 hours of attorney time for “[s]ent correspondence to defense

attorneys with discovery responses and demands”; an entry on June 3, 2019, reflects 3.5

hours being spent simply to send transcripts and exhibits to co-counsel; an entry on

September 9, 2020, reflects 0.4 hours being spent to fax a request for records; and an entry

on March 2, 2021, reflects 0.7 hours being spent to “[e]mail page count for draft record.”

(Dkt. 167-2). For examples of vague entries (and in addition to the “client meeting” and

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“meeting with client” entries already discussed), an entry on March 16, 2016, states,

“[p]hone call with client”; an entry on May 1, 2017, states “[p]hone call with client”; an

entry on August 8, 2017, states “[e]mail to co-counsel”; an entry on October 15, 2018,

states “ltr to AP, t/c w/ client”; an entry on February 24, 2021, states, “[m]essage to

counsel”; an entry on April 21, 2021, states “[p]hone call with counsel; discussed next

steps”; an entry on April 30, 2021, states “[p]hone call with counsel; email with counsel”;

and an entry on November 10, 2021, states “[l]etter to Fed. Ct., t/c AP.” (Id.). These lists

are not exhaustive, but are representative of counsel’s timekeeping practices.

“To address such redundancy or vagueness, ‘the court has discretion simply to

deduct a reasonable percentage of the number of hours claimed as a practical means of

trimming fat from a fee application.’” Raja, 43 F.4th at 87 (quoting Kirsch, 148 F.3d at

173). Here, the Court finds an across-the-board reduction of 15% sufficient to account for

these time-keeping deficiencies. See Mason Tenders Dist. Council Welfare Fund v.

Gibraltar Contracting, Inc., No. 1:18-CV-3668-MKV, 2020 WL 6363960, at *2 (S.D.N.Y.

Oct. 29, 2020) (applying 20% reduction to account for similar issues and collecting cases

applying reductions between 15% and 30%).

Taking all these rulings together, the Court finds that, prior to any across-the-board

reduction, the reasonable hours spent on this litigation are as follows: 449 hours by Mr.

Felle, 2.1 hours by Mr. Markarian, 23.2 hours by Ms. Bruce, and 55.8 hours by Ms. Croce.

- 32 -

Applying the 15% across-the-board reductions results in a total of 381.7 hours by Mr. Felle,

1.8 hours by Mr. Markarian, 19.7 hours by Ms. Bruce, and 47.4 hours by Ms. Croce.

B. Reasonable Hourly Rates

Plaintiff seeks the following hourly rates: $425 per hour for Mr. Felle; $335 per

hour for Mr. Markarian; $325 per hour for Ms. Bruce; and $125 per hour for Ms. Croce.

(Dkt. 167-1 at ¶ 6). Defendant maintains that these rates are unreasonably high. (Dkt. 170-

1 at 23-24). The Court agrees.

For purposes of calculating the lodestar figure, the Court applies “the prevailing

hourly rate in the community,” and “the community for purposes of this calculation is the

district where the district court sits.” Arbor Hill, 522 F.3d at 190 (quotations and alteration

omitted). The Court may use an out-of-District hourly rate only “if it is clear that a

reasonable, paying client would have paid those higher rates.” Id. at 191. There is a

presumption that “a reasonable, paying client would in most cases hire counsel from within

his district, or at least counsel whose rates are consistent with those charged locally,” and

the burden is on the attorney seeking a higher rate to rebut that presumption. Id.

In the Western District of New York, the prevailing hourly rate for an experienced

attorney in a civil rights matter is typically no more than $300 per hour, while less

experienced attorneys typically have rates of no more $200 per hour. See Warr v.

Liberatore, No. 13-CV-6508MWP, 2022 WL 969528, at *5 (W.D.N.Y. Mar. 31, 2022)

(collecting cases and finding, in civil rights action, that $350 per hour rate for experienced

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attorney was unreasonable and should be reduced to $295 per hour). The rates proposed

by Plaintiff’s counsel are far outside this range, and the Court finds no reason to apply out-

of-District rates in this case.

The Court has considered the Johnson factors, among others, in making this

determination. As a threshold matter, the Court notes that Defendant contends that the

Supreme Court’s decision in Perdue “specifically rejected the use of the Johnson factors

for § 1988 motions” and that Arbor Hill is “no longer good law” regarding calculation of

a reasonable hourly rate. (Dkt. 179-1 at 22-23). However, the Second Circuit held to the

contrary in Lilly, explaining that “Perdue . . . did not overrule Arbor Hill or otherwise

prohibit district courts from considering the novelty or complexity of a case in determining

the reasonable hourly rate or hours billed,” and that “the twelve Johnson factors remain

important tools for helping district courts calculate the lodestar and, in exceptional cases,

determining whether an enhancement or cut to the lodestar is warranted.” 934 F.3d at 232-

33. Accordingly, the Court rejects Defendant’s invitation to ignore the Johnson factors.

As set forth above, the Johnson factors are (1) the time and labor required; (2) the

novelty and difficulty of the questions; (3) the level of skill required to perform the legal

service properly; (4) the preclusion of employment by the attorney due to acceptance of

the case; (5) the attorney’s customary hourly rate; (6) whether the fee is fixed or contingent;

(7) the time limitations imposed by the client or the circumstances; (8) the amount involved

in the case and the results obtained; (9) the experience, reputation, and ability of the

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attorneys; (10) the undesirability of the case; (11) the nature and length of the professional

relationship with the client; and (12) awards in similar cases. The Court has considered

these factors and does not find that they support the imposition of a higher hourly rate in

this case.

Plaintiff’s arguments to the contrary are not persuasive. While counsel certainly

expended significant time and labor, much of that time and labor (as set forth above) was

spent on other legal proceedings. Plaintiff concedes that “this matter did not present

significant novel legal questions.” (Dkt. 167-3 at 13). The Court further does not find that

this case required any unusual skill to pursue.

Counsel contends that he was unable to take on certain other paying matters “during

the most intense periods of litigating this case[.]” (Id. at 14). While this may be true, those

“intense periods” of litigation were relatively limited, and not out of the ordinary for a civil

rights matter.

Counsel also contends that his customary hourly rate significantly exceeds the rates

sought in the instant fee application. (Id. at 15). However, he has calculated his “hourly

rate” by looking to contingent fee cases, which the Court does not find to be a useful

comparison. The effective hourly rate in a contingent fee case is recompense for the risk

of not being paid at all, and is not reflective of the hourly rate a paying client would agree

to in a traditional attorney-client relationship. The Court further does not find the fact that

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counsel will receive a contingent fee from Plaintiff a reason to depart from the prevailing

hourly rates in this District.

Counsel’s argument that he was “tasked with conducting discovery and preparing

for trial within an expedited timeframe” (Dkt. 167-4 at 15) is entirely belied by the history

of this case. Discovery in this matter began in 2016 and did not close until 2020. (See Dkt.

68). Further, the Court resolved all dispositive motions by February 2021 (see Dkt. 82),

and the trial did not occur until over a year later, in May of 2022. The Pretrial Order setting

filing deadlines was entered in December of 2021, approximately five months before the

trial occurred. (See Dkt. 98). This is not an expedited timeframe.

Counsel did obtain a significant award on behalf of his client. However, as

discussed further below, there were also many unsuccessful claims brought in this action.

Accordingly, the Court does not find that this factor warrants an upward adjustment in the

hourly rate. The Court is further unpersuaded by counsel’s arguments regarding his

experience, inasmuch as counsel has previously represented to the Court that he is

unexperienced in federal court matters such as this one.

Plaintiff’s counsel argues that the case was “undesirable” because it is societally

unpopular to sue law enforcement. (Dkt. 167-4 at 17-18). However, Plaintiff—who spent

10 years in jail for a crime he concededly did not commit—was a sympathetic litigant, and

the potential damages were very high. The Court is not persuaded that this case was

- 36 -

undesirable on the whole. The Court also does not find this case out of the ordinary with

respect to the nature of the professional relationship between counsel and client.

Finally, counsel has not cited any civil rights cases in this District where hourly rates

in line with those sought here were awarded. He has instead relied on cases from the

Southern and Eastern Districts of New York, where the prevailing rates are significantly

higher than in the Western District of New York. Indeed, in one of the cases that Plaintiff

cites, Vilkhu v. City of New York, No. 06-CV-2095 CPS (JO), 2009 WL 1851019 (E.D.N.Y.

June 26, 2009), the Second Circuit vacated and remanded the decision specifically because

the district court had applied Southern District prevailing rates, and not rates from the

Eastern District. See Vilkhu v. City of New York, 372 F. App’x 222, 224 (2d Cir. 2010).

The Court accordingly finds that the reasonable hourly rates in this case should be

in line with the prevailing rates in this District. Specifically, the Court finds that rates of

$300 per hour for Mr. Felle, $200 per hour for his associates, and $100 per hour for his

paralegal are what a reasonable paying client would have been willing to pay. Multiplying

these rates by the hours previously calculated by the Court results in a lodestar figure of

$123,550.00.

C. Unsuccessful Claims

Defendant asks the Court to reduce the fee award based on the fact that several

claims and defendants were dismissed from this case prior to trial. (Dkt. 179-1 at 21).

“[P]laintiffs may receive fees under § 1988 even if they are not victorious on every claim.

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A civil rights plaintiff who obtains meaningful relief has corrected a violation of federal

law and, in so doing, has vindicated Congress’s statutory purposes.” Fox v. Vice, 563 U.S.

826, 834 (2011). Where “the plaintiff’s claims involve a common core of facts or are based

on related legal theories, and are therefore not severable, attorney’s fees may be awarded

for unsuccessful claims as well as successful ones.” Green v. Torres, 361 F.3d 96, 98 (2d

Cir. 2004) (quotations and alterations omitted). Nevertheless, “[a]lthough full fees may

be awarded to a partially prevailing plaintiff when the underlying claims are intertwined,

the court retains substantial discretion to take into account the specific procedural history

and facts of each case.” Id.

Here, the Court is not persuaded that a further reduction is warranted on this basis.

In particular, in exercising its discretion, the Court must “focus on the significance of the

overall relief obtained by the plaintiff in relation to the hours reasonably expended on the

litigation,” and “[w]here a plaintiff has obtained excellent results, his attorney should

recover a fully compensatory fee. Normally this will encompass all hours reasonably

expended on the litigation[.]” Hensley v. Eckerhart, 461 U.S. 424, 435 (1983). Here, there

is no question that Plaintiff obtained a very significant award in his favor, and he was fully

successful on all the claims that proceeded to trial. The Court does not find that this is a

case in which the lodestar figure should be reduced based on the presence of unsuccessful

but intertwined claims.

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D. Costs

The Court turns to Plaintiff’s request for costs. “The Second Circuit has held for a

prevailing plaintiff, attorney’s fees awards include those reasonable out-of-pocket

expenses incurred by attorneys and ordinarily charged to their clients.” Torcivia, 437 F.

Supp. 3d at 257 (quotation omitted). In this case, Plaintiff seeks $37,638.00 in costs. (Dkt.

167-1 at ¶ 7). However, as Defendant has correctly noted, Plaintiff’s fee request includes

$27,899.50 for expert witness fees. (See Dkt. 179 at ¶ 5). “Section 1988 does not convey

the authority to shift experts’ fees to the losing party” in § 1983 cases. Stratakos v. Nassau

Cnty., 574 F. Supp. 3d 154, 162 (E.D.N.Y. 2021) (quotation omitted); see also Arlington

Cent. Sch. Dist. Bd. of Educ. v. Murphy, 548 U.S. 291, 297 (2006) (“‘[C]osts’ is a term of

art that generally does not include expert fees.” (citation omitted)). Further, all four of the

expert witnesses in question were precluded from testifying by the Court due to counsel’s

failures to comply with the Federal Rules of Civil Procedure, and the Court would not

award their fees even if it had the authority to do so.

Additionally, and again as Defendant correctly points out (see Dkt. 179 at ¶ 8), the

majority of the remaining costs sought by Plaintiff were incurred in connection with other

actions. For example, Plaintiff seeks reimbursement of his filing fee in the New York State

Court of Claims, as well as service fees and transcripts associated with his state court

proceedings and his federal criminal proceedings. (See Dkt. 167-3).

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Having reviewed the documentation presented by Plaintiff, the Court finds he is

entitled to reimbursement of: $400 in filing fees; $100 in service fees; $808.10 in transcript

fees; and $1,166.71 in printing fees. This is a total of $2,474.81, which is awarded to

Plaintiff as costs.

III. Hancock’s Motion for Attorneys’ Fees

The Court turns finally to Hancock’s motion for attorneys’ fees. Hancock seeks

fees pursuant to § 1988. (Dkt. 169-1 at ¶ 2). In the alternative, Hancock asks to intervene

in this matter and for the Court to confirm that it has a charging lien that is enforceable

against either Plaintiff or Mr. Felle. (See Dkt. 169-2 at 15).

A. Request under § 1988

Under § 1988, “it is the prevailing party rather than the lawyer who is entitled to

attorney’s fees.” Brown v. Gen. Motors Corp., Chevrolet Div., 722 F.2d 1009, 1011 (2d

Cir. 1983). Accordingly, a claim for attorneys’ fees under § 1988 “must itself be made by

the party rather than the attorney.” Id.; see also Valley Disposal Inc. v. Cent. Vermont Solid

Waste Mgmt. Dist., 113 F.3d 357, 361 (2d Cir. 1997) (“This Court, noting § 1988’s

provision for fees to be awarded to the party, has interpreted § 1988 to mean that the person

who is entitled to the award of attorneys’ fees is the prevailing party rather than the lawyer.”

(quotations omitted)). Accordingly, under § 1988, “a former attorney who withdrew as

counsel lack[s] standing to claim attorney’s fees from a defendant in his own name.” Perez

v. Progenics Pharms., Inc., 204 F. Supp. 3d 528, 552 (S.D.N.Y. 2016); see also Babcock

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v. Rezak, No. 96-CV-0394E(SC), 2004 WL 1574623, at *1 (W.D.N.Y. June 23, 2004)

(denying former attorney’s request for fees under § 1988 for lack of standing).

Hancock acknowledges that “[c]ase authority provides that under section 1988 it is

the party and not the party’s attorney who is entitled to apply for and obtain an award of

attorneys’ fees and costs” (Dkt. 169-2 at 15), but suggests that Brown should be limited to

its facts, citing Malarkey v. Texaco, Inc., 794 F. Supp. 1237 (S.D.N.Y. 1992). However,

Malarkey did not discuss Brown or consider the issue of standing. Further, there is nothing

in the Malarkey case suggesting that the plaintiff had not joined in the request for fees by

her former counsel. By contrast, the record in this case reflects that Plaintiff deliberately

did not include Hancock’s fees and costs in his § 1988 application. (See Dkt. 170-3).

Under the circumstances of this case, Hancock lacks standing to seek attorneys’ fees

from Defendant under § 1988. The right to do so belongs to Plaintiff, who has chosen to

exercise it solely with respect to fees and costs incurred by Mr. Felle and his associates and

paralegal. Indeed, Mr. Pierce seemed to concede at oral argument that Hancock’s request

for fees under § 1988 was contingent upon Plaintiff having joined therein, which he has

not done. Accordingly, Hancock’s request for fees under § 1988 is denied.

B. Requests to Intervene and for a Charging Lien

The Court turns to Hancock’s alternative requests to intervene and for a charging

lien. As an initial matter, the Court notes that it has jurisdiction over Hancock’s alternative

requests. “Federal courts may exercise supplemental jurisdiction to hear fee disputes

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between litigants and their attorneys when the dispute relates to the main action.” Alderman

v. Pan Am World Airways, 169 F.3d 99, 102 (2d Cir. 1999) (quotation omitted). The

Second Circuit has “held, in an unbroken line of cases, that a fee dispute between a party

and its attorneys shares a common nucleus of operative fact with the underlying action.”

Shukla v. Sharma, 586 F. App’x 752, 753-54 (2d Cir. 2014) (quotation omitted).

“A charging lien is a security interest in the favorable result of litigation, giving the

attorney [an] equitable ownership interest in the client’s cause of action and ensuring that

the attorney can collect his fee from the fund he has created for that purpose on behalf of

the client.” Charnow v. Charnow, 134 A.D.3d 875, 876 (2d Dep’t 2015) (citation omitted).

“The Second Circuit has made clear that Section 475 [of the New York Judiciary Law]

governs attorneys’ charging liens in federal courts sitting in New York, and such liens are

‘enforceable in federal courts in accordance with its interpretation by New York courts.’”

Stair v. Calhoun, 722 F.Supp.2d 258, 267 (E.D.N.Y. 2010) (quoting Itar-Tass Russian

News Agency v. Russian Kurier, Inc., 140 F.3d 442, 449 (2d Cir. 1998)).

“The Second Circuit has not decided whether attorneys may intervene solely for

the purpose of protecting their contractual rights to fees or to enforce a charging lien.”

United States v. Salix Pharms., Ltd., No. 15CV706 (DLC), 2016 WL 4402044, at *3

(S.D.N.Y. Aug. 18, 2016). Indeed, the Second Circuit has noted that “there are arguments

both for and against allowing discharged attorneys to intervene to protect their legal fees”

and that it is a “close question.” Butler, Fitzgerald & Potter v. Sequa Corp., 250 F.3d 171,

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176 (2d Cir. 2001); see also Peterson v. Islamic Republic of Iran, 690 F. App’x 744, 745-

46 (2d Cir. 2017) (declining to reach issue of whether attorney’s “asserted contractual

interest and statutory charging lien on the proceeds from a judgment in favor of certain

plaintiffs he used to represent” was “valid and sufficient to support intervention of right”).

However, the Court does not find that intervention is required in order for Hancock to seek

confirmation of its charging lien. As noted above, the Second Circuit has made clear that

Judiciary Law § 475 governs attorneys’ charging liens in federal courts sitting in New

York, and Judiciary Law § 475 empowers the Court “upon the petition of the client or

attorney” to “determine and enforce the lien.” N.Y. Judiciary L. § 475 (emphasis added).

Accordingly, in Itar-Tass, the Second Circuit held that former counsel may seek to enforce

his lien even when permitted to withdraw as attorney of record. 140 F.3d at 451. In other

words, counsel who has “been an attorney of record” is “entitled to have . . . his charging

lien determined by the district court under Section 475.” Id. at 452. The Court thus denies

Hancock’s request for intervention as moot.

As to the request for confirmation of the charging lien, “attorneys who terminate

their representation are . . entitled to enforce their charging liens, as long as the attorney

does not withdraw without ‘good cause’ and is not discharged for ‘good cause.’” Stair,

722 F. Supp. 2d at 267. Here, while Mr. Felle apparently took the position at one time that

Hancock had been discharged for cause (see Dkt. 170-5 at 4), Plaintiff did not file any

opposition to Hancock’s motion for attorneys’ fees. It is the client’s burden to show a

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discharge for cause in opposition to an assertion of a charging lien. See Love & Madness,

Inc. v. Claire’s Holdings, LLC, No. 21 CIV 1913 ATSLC, 2021 WL 4554058, at *4

(S.D.N.Y. Oct. 4, 2021). Plaintiff has not done so here.

As to the amount of the charging lien, “the proper method of fixing the sum of the

lien is through a quantum meruit analysis, which requires ascertaining the reasonable value

of the services rendered.” Pettiford v. City of Yonkers, No. 14 CIV. 6271 (JCM), 2020 WL

1331918, at *3 (S.D.N.Y. Mar. 20, 2020) (quotation and alteration omitted), aff’d, 833 F.

App’x 893 (2d Cir. 2020). Much like determining an award under § 1988, this generally

involves calculating the lodestar figure, “which is the product of a reasonable hourly rate

and the reasonable number of hours required by the case.” Id. at *5 (quotation omitted).

Here, Hancock seeks $183,426.50 in fees. (See Dkt. 169-1 at ¶ 12). This consists

of 439.3 hours expended by Mr. Pierce, 11.8 hours expended by associate Paul Tuck, 2.1

hours expended by associate Mary D’Agostino, 27.6 hours expended by associate William

Hython, and 2.1 hours expended by paralegal Amy Cobb. (Id.). However, in reply,

Hancock concedes that certain entries were included in its request that should not have

been, as they related to the Ortiz v. Case matter or the New York Court of Claims matter.

The Court has reviewed the billing records submitted by Hancock, and concludes that 22.7

hours charged by Mr. Pierce, two hours charged by Mr. Tuck, and 8.3 hours charged by

Mr. Hython were on matters other than the instant case. This brings the hours totals to

416.6 for Mr. Pierce, 9.8 hours for Mr. Tuck, and 19.3 hours for Mr. Hython.

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The Court further finds that a 15% across-the-board reduction is appropriate, due to

the vagueness of certain time entries and excessive time spent on certain routine matters.

A few examples of vague entries include: an entry on August 3, 2017, that states

“[r]eviewed documents for case”; an entry on August 21, 2017, that states “[e]mails with

Attorney Felle re case”; an entry on November 21, 2017, that states “[t]elephone

conference with Attorney Felle”; and an entry on March 16, 2022, that states “[p]repared

pretrial filings.” (Dkt. 170). As for examples of excessive time spent on routine matters:

an entry on October 18, 2017, reflects 0.2 hours spent to “[r]eceive[] ECF notices re

mediation”; an entry on November 12, 2019, reflects 0.3 hours spent on an email to

opposing counsel “re extending schedule”; an entry on June 4, 2020, reflects 0.3 hours for

“[r]eceived and reviewed notice of improper e-filing; re-filed letter to Judge Wolford;

received extension grant from Judge”; and an entry on July 6, 2021, reflects 0.2 hours for

receiving and reviewing a text order requiring the filing of a status report. (Id.). Applying

this reduction results in a total of 354.1 hours expended by Mr. Pierce, 8.3 hours expended

by Mr. Tuck, 1.8 hours expended by Ms. D’Agostino, 16.4 hours expended by Mr. Hython,

and 1.8 hours expended by Ms. Cobb.

As to the requested rates, for essentially the reasons discussed above with respect to

Mr. Felle and his associates and paralegals, the Court finds that a reasonable rate for Mr.

Pierce is $300 per hour, a reasonable rate for Mr. Tuck is the requested $185 per hour, a

reasonable rate for Ms. D’Agostino is $200 per hour, a reasonable rate for Mr. Hython is

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the requested $190 per hour, and a reasonable rate for Ms. Cobb is $100 per hour.5 This

amounts to fees of $111,421.50.

Hancock also seeks $2,628.13 in disbursements. A charging lien includes costs, so

long as they are substantiated. See Winkfield v. Kirschenbaum & Phillips, P.C., No. 12

CIV. 7424 JMF, 2013 WL 371673, at *4 (S.D.N.Y. Jan. 29, 2013). Here, Hancock has not

substantiated its requests with documentation, but has simply submitted a list of purported

disbursements with vague entries such as “travel.” (Dkt. 170-1 at 2-3). The Court

accordingly does not include the request for costs in its calculation of the charging lien.

See Winkfield, 2013 WL 371673, at *4.

The Court rejects Hancock’s alternative argument that it “is entitled to an award for

its fees and costs from Mr. Felle under Cheng v. Modansky Leasing Co., Inc., 73 N.Y.2d

454, 458 (1989).” (Dkt. 169-2 at 20). The provision of Cheng Hancock relies upon applies

when “the fee dispute is . . . between the discharged attorney and a subsequently retained

attorney.” Crout v. Haverfield Int’l, Inc., 348 F. Supp. 3d 219, 229 (W.D.N.Y. 2018).

Here, there is no indication that the fee dispute is between Hancock and Mr. Felle, as

5 Hancock has cited to a few cases approving higher hourly rates for experienced

partners outside the civil rights context. (See Dkt. 169 at 10-11). However, “the range of

‘reasonable’ attorneys’ fee rates varies depending on the type of case,” Yash Raj Films

(USA) Inc v. Bobby Music Co. & Sporting Goods Inc., No. 01 CV 8378 (JFB), 2007 WL

9706613, at *4 (E.D.N.Y. Sept. 5, 2007), and the Court has focused its analysis on the rates

typically charged in this District for civil rights litigation.

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opposed to Hancock and Plaintiff. Under the circumstances of this case, Hancock is

entitled to a charging lien against its former client.

CONCLUSION

For the reasons set forth above, the Court: (1) denies Defendant’s motions for

judgment as a matter of law, for a new trial, and for remittitur (Dkt. 177); (2) grants

Plaintiff’s motion for attorneys’ fees pursuant to § 1988 (Dkt. 167) to the extent it awards

Plaintiff $123,550.00 in attorneys’ fees and $2,474.81 in costs, and otherwise denies

Plaintiff’s motion for attorneys’ fees; and (3) grants Hancock’s motion for attorneys’ fees

(Dkt. 169) to the extent that it confirms Hancock’s charging lien against Plaintiff in the

amount of $111,421.50, and otherwise denies Hancock’s motion.

SO ORDERED.

_________________________________

ELIZABETH A. WOLFORD

Chief Judge

United States District Court

Dated: February 17, 2022

Rochester, New York

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This is a copy of a public record, reproduced as it was published. It is not legal advice, and it may not be the version a court would rely on. Check the official source before you cite it.

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