UNITED STATES BANKRUPTCY COURT
SOUTHERN DISTRICT OF NEW YORK
In re:
MOSDOS CHOFETZ CHAIM INC.,
Debtor.
MOSDOS CHOFETZ CHAIM INC., RABBI MAYER ZAKS, derivatively on behalf of MOSDOS CHOFETZ CHAIM INC., DANIEL ROSENBLUM, derivatively on behalf Of MOSDOS CHOFETZ CHAIM INC., JOSEPH GRUNWALD, derivatively on behalf of MOSDOS CHOFETZ CHAIM INC., and YISROEL HOCHMAN, derivatively on behalf of MOSDOS CHOFETZ CHAIM INC.,
Plaintiffs, -against-
MOSDOS CHOFETZ CHAIM INC., CHOFETZ CHAIM INC., TBG RADIN LLC, SHEM OLAM LLC, CONGREGATION RADIN DEVELOPMENT INC., ARYEH ZAKS, BEATRICE WALDMAN ZAKS, HENOCH ZAKS, MENDEL ZAKS, GITTEL ZAKS LAYOSH, SAMUEL MARKOWITZ, and STERLING NATIONAL BANK,
Defendants. -----------------------------------
MODIFIED BENCH RULING ON MOTION IN LIMINE APPEARANCES:
For the Reorganized
Debtor/Defendant,
Mosdos Chofetz Chaim Inc.:
For Rabbi Aryeh Zaks:
For Congregation Radin Development, Inc.:
LEVINE & ASSOCIATES, P.C., by Michael Levine, Esq.
GOLDBERG WEPRIN FINKEL GOLDSTEIN, by Kevin J. Nash, Esq.
KLESTADT WINTERS JURELLER SOUTHARD & STEVENS, LLP, by Tracy Lee Klestadt, Esq. and Brendan Scott, Esq.
Case No. 12-23616 (RDD) Chapter 11
Adv. Pro. No. 20-08949
For Shem Olam LLC: KRISS FEUERSTEIN LLP, by Daniel N. Zinman, Esq.
For Rabbi Mayer Zaks: Otterbourg, P.C., by Stanley L. Lane, Jr., Esq.
Hon. Robert D. Drain, United States Bankruptcy Judge
Before the Court is a motion in limine by certain defendants seeking either to have a default judgment entered against the plaintiffs in this adversary proceeding or such other relief as the Court deems appropriate, including, for example, taking an adverse inference against the plaintiffs and/or the preclusion of the plaintiffs’ submission of evidence.
This matter has a fairly long history. The underlying dispute -- in which the plaintiffs seek relief based on the sale shortly after confirmation of the chapter 11 plan in this case (the “Plan”) by the reorganized debtor herein (the “Debtor” or “Reorganized Debtor”) of the Debtor’s primary asset, the real property located at 50 Grandview Avenue, New Hempstead, New York (the “Property”) and a related mortgage loan, which plaintiffs contend was unauthorized and improper under the Plan and confirmation order -- began in state court in October 2019 and was removed to this Court on February 11, 2020.
The Court entered an order resolving various procedural motions in this adversary proceeding on March 26, 2020, the second decretal paragraph of which directed that “The parties to this adversary proceeding shall employ their best
efforts to engage in expedited discovery of all matters necessary and relevant to the disposition of the Evidentiary Hearing contemplated by this order to determine (1) whether the corporate governance of the Reorganized Debtor and the identity of the Reorganized Debtor's board of trustees on (a) the confirmation date, and (b) the post-confirmation date transfer of the Property by the Reorganized Debtor were in compliance with the Plan and Confirmation Order, and (2) subject to any right under New York's parol evidence rule, whether the Confirmation Order approved the Reorganized Debtor's post- confirmation date transfer of the Property without the requirement of any additional approval under applicable New York law, and if not, whether such approval was obtained (the “Contested Issues”)." Those remain the underlying issues in the adversary proceeding.
The March 26, 2020 order specifically contemplated that discovery related to the Contested Issues, as well as any discovery under the terms of the order regarding the disposition of the proceeds of the post-confirmation Sterling Bank loan secured by the Property, would conclude no later than 60 days after the lifting of the shelter-in-place directives then in effect in New York and New Jersey, subject to the parties requesting additional time if such restrictions remained.
The plaintiffs professed that they wanted the
underlying issues resolved promptly based on their allegation
that the defendants improperly caused the transfer of the Property and had financed it in a way that channeled a large portion, if not all, of the loan proceeds to themselves.
The defendants also wanted a prompt resolution of the Contested Issues, because the March 26, 2020 order also provided that “This Court's prior direction to the parties to maintain the status quo as it existed as of December 17, 2019, the date of the last hearing before the Court in this chapter 11 case, shall remain in force until the Evidentiary Hearing, as defined below. The injunctive provisions of this order are in furtherance of and implement that direction," thus continuing a status quo injunction that the defendants have sought to be relieved of on the merits since December 2019.
Notwithstanding the foregoing, over a year later we are here only on the present motion. The parties’ discovery under the March 26 order was delayed though eventually completed, and the parties scheduled a trial on the Contested Issues, which was, however, adjourned twice. The defendants/movants then filed the present motion on September 2, 2020 based on the assertion that the plaintiffs destroyed evidence critical to their case in late 2019 or early 2020 and then again in May of 2020.
The motion in limine was at first only briefly responded to, but it became clear at the first hearing on it that the parties’ disputed factual contentions required separate
discovery and probably an evidentiary hearing. That discovery having been completed, an evidentiary hearing was scheduled for mid-October 2020 but then was adjourned because of the illness of a close relative of one of the plaintiffs. In adjourning the hearing, the parties agreed, however, that there would be no further discovery related to the motion in limine or, relatedly, the identification of further witnesses than those who had previously been identified. The parties thereafter agreed that rather than hold an evidentiary hearing on the motion, the Court would consider the depositions of the identified witnesses, which not only were transcribed, but also videotaped, and that this evidence, in addition to any evidence whose admissibility was agreed, including the witnesses’ previously submitted direct testimony declarations, would constitute the record on the motion.
In advance of last week's oral argument on the motion in limine, the Court therefore reviewed the depositions -- both the transcripts and the video recordings -- and the other items agreed to be in evidence.
Notwithstanding their agreement, the plaintiffs nevertheless submitted various other declarations and identified other possible witnesses on the eve of oral argument. The Court clarified, however, as accepted by both sides, that those declarations would not be considered, those additional people would not be permitted to testify, and the evidence would be
limited as stated on the record to the witness declarations, the deposition transcripts and videos, and the agreed admissible exhibits submitted before the adjourned evidentiary hearing in October, with one additional pair of declarations, namely the two declarations of Ron Henig, who was previously identified as a witness by the plaintiffs but was not deposed.
I have frequently stated on the record, including directly to the parties' principals, Rabbi Mayer Zaks and Rabbi Aryeh Zaks, that the underlying dispute should be settled amicably. There have been efforts to settle it, including efforts in which I have been directly involved with the consent of both sides. I reiterated that view at the close of oral argument and stated that if there was not a settlement, I would give the parties my ruling during the following week.
Shortly before the scheduled date of that bench ruling, however, purported new counsel for the plaintiffs -- or at least for Rabbi Mayer Zaks -- stated that based on his one- and-a-half days involvement with this matter he saw “certain things” apparently pertaining to the merits that should be brought to my attention and, therefore, that my ruling should be delayed. Noting that I had previously expressly denied the request of the Otterbourg firm to be relieved as counsel for Rabbi Mayer Zaks at least through the date of a determination of the motion in limine and thus still viewed that firm as counsel of record, I stated that it appeared that the adjournment
request was another attempt either through raising new issues with discovery or seeking to augment the record when it had been closed, to keep the status quo in place, and I denied it.
This modified bench ruling therefore states my reasons for granting in part the motion in limine. It is regrettable that we have reached this point, because my ruling inevitably involves an evaluation of the parties’ primary witnesses' credibility at the most telling level, i.e., whether they are lying under oath, as their testimony directly contradicts each other’s, and the two primary witnesses are the children of the two rabbi principals: Henoch Zaks, a son of Rabbi Aryeh Zaks, and Yosef Tzvi Zaks, the now 16-year-old son of Rabbi Mayer Zaks. Henoch is an adult, but not an elderly person by any means. Thus in a dispute fundamentally between two experienced, elderly rabbis, who are brothers, their sons bear the brunt of credibility findings, although, as will be clear from my ruling, I conclude that each is and has been acting at the direction of his father. And so ultimately the rabbis bear some responsibility, indeed more than some, for their son's involvement here.
The motion in limine is premised upon the following assertions:
Toward the end of 2019 or the beginning of 2020, the
movants allege that Tzvi Zaks, at that time 15 years old, on
behalf of and at the instruction of Rabbi Mayer Zaks not only
cut video cables outside the buildings on the Property that enabled a CCTV camera system to monitor the Property, but also, after the system ceased to record him, broke into the basement of one of the buildings on the Property, Unit 18, cut more wires leading to CCTV camera equipment located there, and took and destroyed the components of that system, as well as, importantly, an external hard drive and Wi-Fi router.
The motion further asserts that information in the form of downloads of documents, as well as videos downloaded onto the hard drive critical and at a minimum relevant to and supportive of the defendants’ defense of the underlying Contested Issues was thus stolen or destroyed.
The motion further asserts that after the theft’s discovery, Rabbi Aryeh Zaks with the assistance of Henoch Zaks and others had a new CCTV system installed at the Property, again running into the basement of Unit 18, and, notwithstanding their contention that they kept the basement locked, on May 24, 2020 Tzvi Zaks again broke in, having again cut the external CCTV wires, and this time took hard copy documents stored in a cabinet, credenza or armoire upon which the new CCTV equipment had been installed.
The movants offer the witness declaration of Henoch
Zaks attesting to the foregoing facts, as well as (a) videotapes
and still photos from those tapes that appear to show Tzvi Zaks
cutting wires outside at the Property, including near Unit 18,
after having been dropped off by a close relative and (b) videos and still photos from them specifically dated to May 24, 2020, showing Tzvi Zaks again trying to cut video wires outside Unit 18, leaving and coming back with what appear to be more efficient or effective cutters, like garden shears, and successfully cutting them with those. Videos from that day and still images from them also show Tzvi Zaks being dropped off at the Property (of course he was not of an age to drive), apparently by Rabbi Mayer Zaks, his father.
When confronted with the allegation that the wires had been cut and key downloaded documents and videos destroyed, the record shows that Rabbi Mayer Zaks and the plaintiffs initially responded with a denial. This was before the video evidence was revealed. Thereafter, Rabbi Mayer Zaks acknowledged that the wires had been cut, that Tzvi Zaks had indeed broken into the basement of Unit 18, and that Tzvi had taken certain equipment - - a video camera -- from the basement. Rabbi Mayer Zaks denied, however, that his son’s purpose in doing so was to destroy evidence regarding his dispute with Rabbi Aryeh Zaks. Instead, the rationale for his son’s actions as stated in Rabbi Mayer’s partial second denial was that Tzvi was offended by the operation of the security system during shabbat, the Jewish sabbath day, and therefore took it upon himself to disable it, that he did this unilaterally, and that he had no intention of destroying any evidence.
That partial second denial, as well as Tzvi Zak’s testimony, also denied that the first cutting of the wires and taking or destruction of equipment in Unit 18 occurred at the end of 2019 or the beginning of 2020, as alleged by the movants, contending, rather, that it happened during the holiday of Sukkot, which straddled the third and fourth weeks of October 2019.
The plaintiffs have also asserted, relying upon the declarations of Tzvi, another son of Rabbi Mayer Zaks, Aron Yehuda Zaks, and a third party, Aharon Gewirtzman, that the basement where the defendants’ information allegedly was kept was a junk-filled storage room and not, as the movants contend, an office with a desk and a storage unit that contained the CCTV system, hard drive, Wi-Fi router, and hard copy documents. The plaintiffs contend that I should find as a factual matter, therefore, that there was no relevant information, let alone information relevant to the resolution of the Contested Issues, destroyed by Tzvi. The testimony largely covers those factual disputes.
The legal source for the motion in limine’s request for relief is found in two places: Fed. R. Civ. P. 37, more specifically Rule 37(e), as incorporated by Fed. R. Bankr. P. 7037, which deals with spoliation of evidence stored in electronic or digital form, and the Court's inherent power, even when there is no discovery order in place or with respect to
other types of evidence, to impose sanctions for spoliation. Both sources are well established, as the plaintiffs acknowledge in their supplemental opposition to the motion. See West v. Goodyear Tire & Rubber Company, 167 F.3d. 776, 779 (2d Cir. 1999).
Spoliation is defined as "the destruction or significant alteration of evidence, or the failure to preserve property for another's use as evidence in pending or reasonably foreseeable litigation." Zubulake v. UBS Warburg LLC, 220 F.R.D. 212, 216 (S.D.N.Y. 2003), quoting Goodyear Tire & Rubber, 167 F.3d at 779.
A claim for spoliation is made out by showing (1) the party having control over the evidence had an obligation to preserve it when it was altered or destroyed, (2) the evidence was altered or destroyed with a culpable state of mind, and
(3) the evidence was relevant to a party’s claim or defense such that a reasonable trier of fact would find that it would support that claim or defense. Official Comm. of Unsecured Creditors of Exeter Hldgs., Ltd. v. Haltman, 2015 U.S. Dist. LEXIS 113701, at *22-23 (E.D.N.Y. Aug. 25, 2015); Centrifugal Force, Inc v. Softnet Commun., Inc., 783 F. Supp. 2d 736, 741 (S.D.N.Y. 2011) (internal quotations and citations omitted.)
A party seeking spoliation sanctions has the burden to establish the elements of spoliation by a preponderance of the evidence. McIntosh v. United States, 2016 U.S. Dist. LEXIS
44290, at *114-115 (S.D.N.Y., March 31, 2016), although the difficulty of establishing “relevance” varies depending upon the degree of the alleged spoliator's culpability, ranging from mere negligence to willful intent and bad faith. Official Comm. of Unsecured Creditors of Exeter Hldgs. Ltd. v. Haltman, 2015 U.S. Dist. LEXIS 113071, at *26-29.
If I believe the movants, the first element of course would be satisfied. Obviously, a party has an obligation to avoid stealing or destroying the other party's evidence. Even if I accepted Tzvi Zaks’ contention that because he was Rabbi Mayer’s son he could enter any building on the Property at will, including forcibly – which in fact I do not find credible -- he did not have authority to destroy what he found there.
The obligation to preserve evidence (and hence not to destroy the other party’s evidence) arises when the alleged spoliator has notice that the evidence is relevant to the litigation or should have known that the evidence may be relevant to future litigation. Fujitsu Ltd. v. Fed. Express Corp., 247 F.3d 423, 436 (2d Cir. 2001), cert. den. 534 U.S. 891 (2001). Litigants are generally under a duty to preserve, and thus not to destroy, evidence that may reasonably be relevant to future litigation. Official Committee of Unsecured Creditors of Exeter Hldgs., Ltd. v. Haltman, 2015 U.S. Dist. LEXIS 112071, at *24.
The plaintiffs have argued that the first break-in
occurred before litigation over the Property commenced between Rabbi Mayer and Rabbi Aryeh Zaks and, therefore, that Tzvi Zaks could not have had the requisite culpable state of mind and, perhaps, that he had no duty not to destroy anything. Even if I accept that the first break-in occurred as Tzvi has testified, however, it was only days before Rabbi Mayer Zaks commenced the state court action on October 25, 2019 regarding the disposition and refinancing of the Property, thus giving rise to a duty to preserve likely evidence, not destroy it.
As alleged by the movants, the destroyed records included almost everything relevant to the Debtor’s financing and board actions, as well as records of other important decisions pertaining to the Debtor or the Property. As directed by the Court’s March 26, 2020 order, the composition and authority of the board to transfer the Property under the Plan is the first of the two Contested Issues underlying the adversary complaint and pertains to some extent to the second Contested Issue, as well. Thus, the plaintiffs are not able to defeat the motion based merely on the alleged timing of the first break-in. Moreover, the second break-in occurred well after the litigation commenced.
The focus of the parties, therefore, has been on the second two elements of spoliation, i.e., that the evidence was destroyed with a “culpable state of mind” and whether any evidence relevant to support the movants’ defense was actually
stolen or destroyed.
A “culpable state of mind” for purposes of spoliation
ranges from simple negligence to bad faith and willful destruction. Official Comm. of Unsecured Creditors of Exeter Hldgs., Ltd. v. Haltman, 2015 Bankr. Lexis 113701, at *25; First Am. Title Ins. Co. v. Moses (In re Moses), 547 B.R. 21, 47 (E.D.N.Y. 2016). The Second Circuit, albeit interpreting a now superseded version of Fed. R. Civ. P. 37, has made it clear, however, that a “culpable state of mind” is not limited to bad faith or gross negligence and that based on the actual effect of the spoliation, i.e., if it truly destroys one's ability to mount a defense, even a negligent state of mind suffices to be “culpable.” Residential Funding Corp. v. DeGeorge Fin. Corp., 306 F.3d 99, 108 (2d Cir. 2002). See also Turner v. Hudson Transit Lines, Inc., 142 F.R.D. 68, 75-76 (S.D.N.Y. 1991).
Courts in the Second Circuit at times discuss the relationship of the alleged spoliator's state of mind to the inferences that a court may draw with respect to the third prong of the spoliation showing, namely that the destroyed evidence was relevant to support the other party's claim or defense, as well as the role that the spoliator’s state of mind has on determining the proper sanction. It is fair to say that the Circuit has concluded that a case-by-case approach is appropriate with respect to how the degree of culpability relates to both the showing of the destroyed evidence's
relevance and to the proper sanction. See Zimmerman v. Poly Prep Country Day Sch., 2011 U.S. Dist. LEXIS 40704, at *74-77 (E.D.N.Y. April 13, 2011), as well as the cases cited therein, in particular, Byrnie v. Town of Cromwell Bd. of Ed., 243 F.3d 93, 107-08 (2d Cir. 2001), and Reilly v. NatWest Mkts. Group Inc., 181 F.3d 253, 267 (2d Cir. 1999), cert. den. 528 U.S. 1119 (2000).
As for establishing the third factor of a claim for spoliation, i.e., whether the evidence destroyed was relevant to and supportive of the party's claim or defense, “relevance” means something more than a showing sufficiently probative to satisfy Fed. R. Evid. 401. Rather, “The party seeking an adverse inference must adduce sufficient evidence from which a reasonable trier of fact could infer that the destroyed or unavailable evidence would have been of the nature alleged by the party affected by its destruction. Courts must take care not to hold the prejudiced party to too strict a standard of proof regarding the likely contents of the destroyed or unavailable evidence, [however,] because doing so would subvert the purposes of the adverse inference and would allow parties who have destroyed evidence to profit from that destruction." Residential Funding, 306 F.3d at 108-09 (internal quotations and citations omitted).
Residential Funding goes on to state, "Where a party destroys evidence in bad faith, that bad faith alone is
sufficient circumstantial evidence from which a reasonable fact finder could conclude that the missing evidence was unfavorable to that party. Id. at 109. That basic point runs through the caselaw thereafter. See, for example, Official Comm. of Unsecured Creditors of Exeter Hldgs. Ltd. v. Haltman, 2015 U.S. Dist. LEXIS 113701, at *27; Zubulake v. UBS Warburg LLC, 220 F.R.D. at 212. A greater showing of relevance is required if the spoliator’s state of mind was merely negligent or at fault to a lesser degree than in bad faith. Id.
“Further, where the missing information has been [or can be] obtained from other sources, courts have been reluctant to find that the moving party has suffered prejudice.” Official Comm. of Unsecured Creditors of Exeter Hldgs. Ltd. v. Haltman, 2015 U.S. Dist. LEXIS 113071, at *29.
Finally, if all three elements of spoliation are satisfied by a preponderance of the evidence, the court has considerable discretion in awarding an appropriate sanction. Fujitsu Ltd. v. Fed. Express Corp., 247 F.3d at 436; Reilly v. NatWest Mkts. Grp., 181 F.3d at 267; West v. Goodyear Tire & Rubber, 167 F.3d at 779. However, it needs to be guided by the underlying rationales for the spoliation doctrine, as stated by the Second Circuit in West v. Goodyear Tire & Rubber Co.: "The sanction should be designed to: (1) deter parties from engaging in spoliation; (2) place the risk of an erroneous judgment on the party who wrongfully created the risk; and (3) restore the
prejudiced party to the same position he would have been in absent the wrongful destruction of evidence by the opposing party." 167 F. 3d 779 (internal quotations and citations omitted).
West v. Goodyear Tire & Rubber then stated that while dismissal is appropriate if there is a showing of willfulness, bad faith, or fault on the part of the sanctioned party, “because dismissal is a drastic remedy, it should be imposed only in extreme circumstances, usually after consideration of alternative, less drastic sanctions." Id. (internal quotations and citations omitted). In that case, although it appeared that evidence was in fact destroyed willfully, the court nevertheless disagreed with the lower court’s conclusion that dismissal was the only adequate sanction. Noting that it was not necessary to dismiss the complaint in order to vindicate the trifold aims of the spoliation doctrine, the court observed that the lower court "could have combined alternative sanctions in a way that would fully protect [the movants] from prejudice. For example, the trial judge could: (1) instruct the jury to presume that the exemplar tire was overinflated, (2) instruct the jury to presume that the tire mounting machine and air compressor malfunctioned, and (3) preclude [the plaintiff] from offering evidence on these issues." Id. at 780. That reluctance to impose the most drastic sanction of dismissal, or sanctions tantamount to it, has continued through the caselaw, including at the Circuit level.
See Dahoda v. John Deere Co., 216 Fed. App'x 124, 125 (2d Cir., Feb. 9, 2007); Cat3, LLC v. Black Lineage, Inc., 164 F. Supp. 3d 488, 501-02 (S.D.N.Y. 2016); Johnson v. Summit Acquisitions LLC, 2019 U.S. Dist. LEXIS 53954, at *37-38 (N.D.N.Y., March 29, 2019).
The rationale of such cases’ sanctions rulings requires review of the underlying issues to be resolved in the adversary proceeding – here, the Contested Issues under the March 26, 2020 order -- and the role that the destroyed evidence would play in determining them, with the imposition of no greater sanction than necessary to protect the movant for prejudice with respect to those determinations.
After having reviewed all of the evidence and considered the witnesses’ credibility (and I note that unlike most trials, an appellate court would have the same ability to make such assessments since there has been no live, in-court testimony but, rather, witness declarations and videotaped cross examination), I find and conclude that the movants have established each of the elements of spoliation by a preponderance of the evidence.
I find and conclude that Tzvi Zaks destroyed relevant and supportive evidence intentionally and in bad faith. More specifically, I find and conclude that the destruction that Tzvi Zaks acknowledged -- twice cutting outside video wires at the Property, twice breaking into the basement of Unit 18, cutting
the inside wires located there, and taking and destroying electronic equipment there -- was not for the purpose of disabling the use of the CCTV system to prevent a violation of orthodox Jewish law during shabbat, but, rather, to destroy evidence pertaining to the dispute between his father, Rabbi Mayer Zaks, and his uncle, Rabbi Aryeh Zaks, the Debtor’s records stored in Unit 18. I further find and conclude that the equipment that Tzvi Zaks destroyed included not only CCTV video equipment but also an external hard drive containing records of the Debtor’s board as well as hard copy records that the movants have sufficiently established were relevant and supportive of their defense in this adversary proceeding and that they cannot obtain from another source.
Further, I find and conclude that Tzvi Zaks acted as an agent of his father, in which case his conduct can be attributed to Rabbi Mayer Zaks as the plaintiff in this adversary proceeding. Koch v. Greenberg, 2011 U.S. Dist. LEXIS, at *47 (S.D.N.Y. Aug. 16, 2011.); Hawaiian Airlines v. Mesa Air Grp. (In re Hawaiian Airlines Inc.) 2007 Bankr. LEXIS 3679, at *17 (Bankr. D. Haw. Oct 30, 2007).
I make those findings and conclusions for the
following reasons:
I have evaluated the witness declarations and cross
examinations of Tzvi Zaks, Aron Yehuda Zaks, Aharon Gewirtzman,
and Henoch Zaks, including the videos of their testimony, as
well as the two declarations of Ron Henig, and, of course, the other exhibits admitted into evidence.
Tzvi Zaks' testimony, except when he was pinned into a corner based on prior statements by his father or pleadings on behalf of his father, was evasive, logically and sometimes factually inconsistent, and generally not credible. Tzvi even denied that the CCTV videos were of him, although they clearly were and he later acknowledged that at least they might be of him.
Fundamentally, Tzvi stuck to a story that simply defies belief, namely his father’s second version denying the facts alleged in the motion: that he cut not only the wires to a valuable closed circuit TV system at the Property, but also broke into the basement of one of among roughly 50 buildings there, Unit 18, and cut more wires and destroyed video equipment with the sole purpose of preventing the CCTV system’s operation during shabbat. Tzvi was adamant, moreover, that he did not discuss any of these actions in advance with his father, whom he reveres and who he did not hold responsible for what he said he believed to be the improper use of the CCTV system on shabbat.
I did not perceive Tzvi to be an unguided missile; he was neither weak of mind nor will. He is intelligent, if in over his head. I cannot accept that he engaged in these highly destructive actions -- clearly far exceeding the accomplishment of his stated purpose, which, again, was only to disable the use
of the system for a portion of each week -- without discussing them with his father. He went as far, according to Tzvi, as taking a video camera that he said was lying on the floor of the basement of Unit 18 and throwing it in a nearby dumpster, notwithstanding that he testified he believed the camera belonged to his father. He knew the Property’s other CCTV system, in the interior of the synagogue, was easily disabled on shabbat simply by flipping a switch, yet by his own admission he did not do that here. It also was clear that he knew, although he tried to play down, that the CCTV system was for the safety of the community, his father’s community. Yet he acknowledged that he destroyed it. This is not the type of thing that this then 15-year-old boy would do on his own. It is much more reasonable to infer that he cut the outside wires and inside wires in the basement to destroy the record of his actions in thereafter destroying the equipment in the basement because it was valuable to his uncle, Rabbi Aryeh. It is reasonable to assume, moreover, that he would have not done even so on his own.
Nevertheless, Tzvi repeatedly testified when pressed about the implausibility of his version of events, that taking these actions was really “not a big deal” (Tr. p. 81), that “this is a very insignificant thing that happened here” (Tr. p. 352), and that first one takes action and then you talk about it (Tr. p. 97), although, he acknowledged (Tr. p. 324), he did not
tell anyone, after all, until accused, stating that “you don't show off a mitzvah.” Shortly thereafter (Tr. P. 329), he did acknowledge, when pressed, that he should have talked to his father about it beforehand, although he was unable or refused to explain why, an admission and then an evasion that I believe reflected only that he was trapped in the implausibility of his story.
Tzvi's testimony was not credible in other ways, too. He was adamant that he knew very little about the dispute between his father and his uncle, although it is clear not only from his own testimony, but also from the testimony of his brother, Aron, that the case between Rabbi Mayer and Rabbi Aryeh was a frequent topic of conversation in the Mayer Zaks' household and indeed, from the testimony of Mr. Gewirtzman, a frequent source of discussion throughout the community.
Tzvi Zaks’ testimony was also contradicted by other testimony by Mr. Gewirtzman, who as the plaintiffs’ witness was at times hostile to the movants but credible when testifying that when he was is the basement of Unit 18 shortly before Tzvi’s first break-in, there was never a camera on the floor, as Tzvi had rather bizarrely alleged, and it was unlikely that there ever would be. Moreover, Mr. Gewirtzman testified that the basement, while largely used for storing things, was not full of mold or sewage or uninhabitable as Tzvi testified.
Further, as discussed in more detail below, I
generally accept testimony by Henoch Zaks, Mr. Gewirtzman, and Mr. Henig that the equipment located in the basement of Unit 18 comprised more than the components of a CCTV system and included an exterior hard drive and Wi-Fi router, as well.
It is reasonable to infer, moreover, that Rabbi Mayer Zaks or someone on his behalf put Tzvi Zaks up to targeting the basement equipment, the logical rationale being to destroy evidence, not to do a shabbat mitzvah.
In addition, not only Tzvi's testimony, but also that of his brother, Aron, and Mr. Gewirtzman, seemed studiedly rehearsed with regard to one point upon which the plaintiffs have largely based their opposition to the motion, namely that the basement of Unit 18 was not an "office." This argument is largely a red herring. The point of the motion in limine’s reference to an “office” and Henoch Zaks' testimony in its support is that Rabbi Aryeh Zaks and Henoch Zaks used the basement to work on the Debtor’s business and, in particular, to store records there, primarily downloads of documents and videos. They, too, acknowledged that the basement was not what would normally be viewed as a commercial office in that it was also used to store garden tools, including, it appears, the clippers that, after much prodding, Tzvi acknowledged he took to finish cutting the outside wires the second time on May 24, 2020, and other things like road salt and building supplies.
The basement of Unit 18 was, in my view, and I do not
believe anything more needs to be shown here, a storage place that, among other things, stored a CCTV camera system and, I believe it can be reasonably inferred, a hard drive upon which important documents for the Debtors that would establish the board’s composition and actions, were downloaded and stored.
I find Henoch Zaks' testimony about this aspect of the dispute, namely the storage of information on the hard drive, credible. I generally find his testimony more credible than not. It was detailed in ways that one could have tripped him up over if it were not reasonably accurate. He may have implied by referring to a “computer storage unit” that the armoire or chest holding the CCTV system’s components, router, and hard drive was fancier than the Mr. Gewirtzman’s description of it, but I find credible his testimony that such equipment in fact was stored and used in Unit 18. It is basically corroborated by Mr. Gewirtzman, who notwithstanding obviously being primed to testify about the dilapidated state of the basement, did acknowledge, albeit somewhat grudgingly and disparagingly, that there was an armoire or storage unit there upon which electronic equipment was stored.
Mr. Gewirtzman further acknowledged that this system was an electronic camera system and not simply “a camera.” After more probing, he also testified that there was, in addition, a “box” on the armoire, which, after more probing, he stated he really did not pay much attention to because he was
more focused on the camera system because he had not really expected that it would be there, thus implying, at least, that the “box” was not part of the camera system but some other electronic device, such as a hard drive.
Mr. Gewirtzman also confirmed a fact that Tzvi Zaks was quite evasive about, that the basement was locked or had a lock. He also clarified his declaration that when he went to the basement of Unit 18 to help move belongings of another of Rabbi Mayer Zaks' sons, the door was not simply open but, rather, that he had called one of Rabbi Aryeh Zaks' children in advance to arrange for the basement to be unlocked.
Aron Yehuda Zaks' testimony, other than showing a remarkable degree of evasiveness, was largely irrelevant. He acknowledged that he took the photos that were the primary purpose of his witness declaration in July 2020, several weeks after the second break-in. He further testified that he could not really say how often he had been in the basement of Unit 18 before then, but only as much as two or three times during his entire time at the Property.
Finally, Mr. Henig’s first declaration largely corroborates Henoch Zaks' testimony by confirming that at least during Mr. Henig’s primary period at the Property, from March 2006 through 2009, he worked out of an office in a townhouse that contained a desk cabinet that held a computer, documents, including contracts, files and a CCTV system, and that sometime
after 2007 that office was moved to the basement of Unit 18. Moreover, Mr. Henig concludes this declaration by stating, at paragraph 4, “I never became aware that these items, i.e., desks, chairs, files, plans, and records of the basement office in addition to the computer desk cabinet and its contents, were removed at any time thereafter.”
Mr. Henig’s second declaration importantly does not address, let alone contradict, these statements about the storage of electronic equipment in the basement of Unit 18 or that contracts and files were stored in a cabinet there.
There is one inconsistency between the testimony of Tzvi Zaks and Henoch Zaks that I cannot reconcile, although I generally have found Tzvi not credible and Henoch credible. That is whether the first break-in occurred in the third or fourth week of October, or, instead, in the last week of December 2019 or the first week of January 2020, as Henoch testified he believed it occurred.
It was posited during oral argument that the videos of Tzvi cutting wires the first time were taken when the weather was fairly good and children were playing without wearing winter coats, which would not be the case in late December or early January. Channeling Abraham Lincoln during his legal career, we checked the weather for the two periods, however, and could not conclude that the days in the October period all were much milder than days during late December/early January.
In any event, I conclude that the difference between the dates, other than going to the witnesses’ credibility, which I have assessed on far more telling grounds, is particularly relevant here. As previously stated, whether the first break-in occurred in October during Sukkot or in December or early January, Rabbi Mayer Zaks would have been focused on the underlying Contested Issues given that he commenced the state court litigation in late October, 2019 and asserted in it that Rabbi Aryeh Zaks had been boasting that he had taken away ownership of the Property under Rabbi Mayer's nose.
Thus, including in the light of my finding of the plaintiffs’ intent to destroy evidence, the movants have made more than a sufficient showing that the destroyed material was relevant to support their defense in this proceeding.
That leaves the issue of the appropriate sanction. It has been held that actual dismissal may be a proper sanction if the court finds that relevant evidence was destroyed in bad faith but does not, as here, know the full nature of that evidence. As stated by Judge Martin in Miller v. Time Warner Commun. Inc., 1999 U.S. Dist. LEXIS 9689, at *14 (S.D.N.Y. June 29, 1999), it is hard to conceive of an adverse evidentiary inference as a lesser sanction when one does not know the extent of what was destroyed: the inference would be that everything was destroyed, which would lead to a directed verdict, which would in practical terms be the same thing as a dismissal.
On the other hand, courts have held even after finding or assuming willful misconduct that a lesser sanction than dismissal is warranted if the information destroyed either appeared unimportant to the merits or a greater sanction would unreasonably hamper the other party in advancing what might be a legitimate claim. For the former point, see Johnson v. Summit Acquisitions, 2019 U.S. Dist. LEXIS 5394, at *37-38 (only “broad statements that the alleged misconduct tainted most, if not all, of Defendant’s evidence”); McIntosh v. United States, 2016 U.S. Dist. LEXIS 44290, at 124 (relevance of footage “very much in doubt”). For the latter, see Cat3, LLC v. Black Lineage, Inc., 164 F. Supp. 3d at 501-02.
In addition, while I clearly can infer that the destroyed evidence was relevant to the first of the Contested Issues, i.e., whether the corporate governance of the Debtor and the identity of its board on the Plan’s confirmation date complied with the Plan and confirmation order, I find it hard to see how the evidence destroyed goes to the second Contested Issue, i.e., whether the confirmation order approved the reorganized Debtor's transfer of the Property without the requirement of any additional approval under applicable New York law. (I note that the parties now agree that the Debtor’s board did not change between the Plan’s confirmation date and the transfer of the Property and that any subsequent approval of the transfer of the Property under applicable New York law was not
obtained.)
I am also troubled that Rabbi Aryeh Zaks did not
testify on whether the destroyed evidence related to either Contested Issue, although ultimately, he is, as I found with regard to Rabbi Mayer Zaks, clearly in control of his family and their actions in respect of the Debtor and was the primary face of this chapter 11 case before confirmation of the Plan.
Therefore, guided by West v. Goodyear Tire & Rubber and consistent with its discussion of the three rationales underlying the spoliation doctrine, I conclude that the movants’ request for an order dismissing the complaint should not be granted, notwithstanding my findings and conclusions regarding the break-in. Instead, I will preclude the plaintiffs from introducing evidence on the first of the Contested Issues. I will not, however, draw an inference in favor of the defendants on that issue and will permit the plaintiffs to cross examine whatever witnesses the defendants wish to put on -- and I hope that will include Rabbi Aryeh Zaks -- in support of their defense.
Secondly, I will not grant the motion in limine with respect to the second Contested Issue, with the exception that the plaintiffs shall not be permitted to introduce any evidence regarding the Debtor’s board meetings, board composition, or corporate governance with respect to that issue. I find it unlikely that such evidence would be particularly relevant to
that issue, given that its determination will primarily be focused on the actions of the Debtor and its counsel in seeking, in the context of confirmation of the Plan, this Court’s approval of the Plan’s contemplated possible sale of the Property to pay debt. However, to the extent that board composition or authority to act is relevant to the second Contested Issue, based on the spoliation that I have found and the nature of the spoliators’ culpable state of mind I will preclude the plaintiffs’ submission of evidence on it, as opposed to what was sought from this Court with regard to approval of the post-confirmation transfer of the Property and any requirement of additional approval under New York law.
Dated: White Plains, New York
February 16, 2021
/s/Robert D. Drain
United States Bankruptcy Judge
KINDLY SUPPORT OUR BLOG BY BROWSING THE ADSTHANKS SO MUCH,, IT MEANS THE WORLD TO US IN THESE DIFFICULT TIMES
There is a history of Machlokes still in the Radin Yeshiva going back to the years after the Chofetz Chaim's petira in 1933.
ReplyDeleteLater the grandchildren faught tooth and nails about a non-existant yeshiva in Spring Valley.
These are not leader figures by any stretch.
In light of this post, the Tzava'ah of the Chofetz Chaim makes more sense:
ReplyDeleteAll material in square brackets is the editor’s. Round parentheses are the Chofetz Chaim’s words that he put in brackets.
"And we, who are weak, certainly can say that we don’t know [the time of our passing]. Therefore I have agreed, with the help of Hashem, to make a will how to act after my passing.
1) First of all, I will declare that I have two sons, and one is a bechor (firstborn). That is my son, the rav, the gaon in Torah and fear of G-d, Moreinu Harav Aryeh Zev Hakohen. And the second is the outstanding bochur, who is eighteen years old this month, Master Aharon Hakohen, may his light shine.
2) I also have one wife, may Hashem lengthen her days, and her name is Miriam Freida, may she live long. She has merited to give birth for me a daughter, and her name is Feigel, may she live long, and Hashem helped me, in his kindness, to marry her to a man great in Torah and fear [of Heaven], Moreinu Harav Reb Menachem Yosef Zaks, may his light shine.
3) Regarding the plates that I have for each sefer, they are all mine, because He helped me in His kindness. Even those sefarim that I gave permission to everyone to reprint (which are the six parts of Mishna Berura, also the Chofetz Chaim and Shmiras Halashon, one volume, Ahavas Chessed, one volume, Nidchei Yisrael, one volume (transcribed by pen), and the pamphlet Tiferes Adam), still the plates themselves are mine, and no one has the right to print using them. These are [the people] I give permission [to print with them]: my son, the rav, Reb Leib Hakohen, my son-in-law, Moreinu Harav Menachem Yosef Zaks, may his light shine, and my son, Master Aharon Hakohen after his marriage. Even these that I give permission to cannot give over the plates, even to their relatives, except to print for their need.
4) The one who is the overseer of my business dealings is the son-in-law of my wife. His name is Harav Reb Hillel the son of Rav Moshe Zalman Ginzburg. He will be the overseer of my business dealings for every matter, in regard to printing and also in regard to selling sefarim and all of their necessities—everything will be through him. For his labor he will take 20 percent and the rest is for…. He is a trustworthy member of my household, because he was the main [person] who took the sefarim away from the thieves and then afterward toiled greatly to bring them to print.
Note: Introduction and translation by Yossi Krausz, Halachic overview by Rabbi Dovid Grossman of the Bais HaVaad L’Inyanei Mishpat, Lakewood, New Jersey.
5) Even after my long life, I ask him to handle my sefarim until the year 5690 [1930], inclusive. He will take the 20 percent for his labor, and if he wishes, another two years, meaning that until 5692 [1932], inclusive, he has permission, in the manner described before. I’ll also declare that I promised him from this point that if someone gives me a present, someone who is my relative or acquaintance, he gets 10 percent for his toil in publishing the sefarim, and even if they give me 40, he gets four.
ReplyDelete6) Cash that is found after my passing will not be part of an inheritance, because it is prepared for the printing of the sefarim, unless they will be forced to take them for food for the household. And when Hashem will set up a shidduch for my son Aharon Hakohen and it will be necessary to buy him clothing and the like, for this I want them to give him the amount the amount [sic] of 400 thalers, if it will be necessary for his chasuna.
7) [In regard to] sefarim printed for sale, whatever are now in our country, in Warsaw, in the Holy Land, may it be rebuilt, and in America are all mine, and I appoint on this my friend Harav Reb Hillel, may his light shine, to sell them, in the aforementioned ways.
8) Moveable objects that will be found in the house, whether vessels or other items (besides pillows and cushions that she [his wife?] brought here) that are for use of the household are all included in the property of the house.
9) Regarding my wife, there is nothing to instruct. She will live in my house all the days of her life and be supported from my property all her days. If she wants to travel for medical purposes they should give that to her, in addition to the household expenditures. I also ask my sons that they should deal with her in a respectable way, because she is a righteous woman. She served me in a high and exalted way more than 22 years. However, when she doesn’t want to be with them, they should support her however she would like to reside. If she entirely wants to leave on her own, they should give her the five hundred shekalim of her kesuva, if they have it, besides what she brought in [to the marriage]; I waive the oath for her.
ReplyDelete10) [About] the house that I have here in Radin, it is known [should be known?] that my wife has permission to live in it in ease all her life, as before. But the yard, that is to say, that which is opposite the house that Rav Naftali [Trop?] lives [lived?] in the south side of, is owned by my son Harav Reb Leib Hakohen. But after our lifespan, given to us by Hashem Yisborach, it is known [should be known?] that two-thirds of the house belong to my son Harav Reb Leib and one-third belongs to my outstanding son Master Aharon Hakohen. But when both of us [parents?] are alive or either one is alive, it is in his [or her] possession and none of my sons has permission to remove him [or her]. They also don’t have permission to remove my son-in-law from the shlaka. I’ll explain at length: This means that the house I live in now and the shlaka above, which my son-in-law Harav Reb Menachem Yosef and my daughter Feigel, may she live long, live in, and the sukkah built in the enclosed porch, as well as the small attic built in the enclosed porch for household use is all included in the house. The actual enclosed porch I already allowed my grandson Harav Reb Yehoshua to walk through to the street and he has a chazaka for that, but not for placing wood or anything there, because for this there is a specific place built behind the house and I gave him permission for that. I also be very specific: The place that Harav Reb Yehoshua lives in now he was machzik in for many years and it is for him alone. But he has no right to open a door from his house to mine. Only the property of the cellar that is in the enclosed porch belongs to both of us, and the house built for people’s needs [outhouse?] belongs to both of us. The small shed that stands on the path of the garden is his alone, and the shed that stands within the garden belongs to Harav Reb Hillel and the yard belongs to Harav Reb Leib Hakohen. The well […] that stands close to the garden I made hefker for the use of the Jewish public and no one has the right to close it.
Hashem should give us the merit to see when He brings the return to Zion and then we will toss aside all the property that we have here and run to our holy land among the rest of all Israel. Amen.
Writing Rosh Chodesh Iyar 5686 [April 15, 1926],
The small one, Yisrael Meir Hakohen "
Such Loshon Horah? Tsk, Tsk.
ReplyDeleteWhatever happened to the sons of the Chofetz Chaim? And didn't he have 2 daughters from his first wife? What happened to them?
Also, where is the Chofetz Chaim's wife to whom he refers in his will, buried?