Federal Circuits, 9th Cir. (May 04, 1981)
Docket number: 79-4145
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Michael R. Wood, Santa Barbara, Cal., for appellant.
Hugh J. Haferkamp, Santa Barbara, Cal., argued for appellees; William A. Brace, Santa Barbara, Cal., and Henry J. Walsh, Monte L. Widders, Ventura, Cal., Roy G. Weatlerup, Los Angeles, Cal., Carolyn M. Reynolds, Asst. U. S. Atty., Los Angeles, Cal., on brief.Appeal from the United States District Court for the Central District of California.Before GOODWIN and SNEED, Circuit Judges, and SOLOMON, District Judge.*PER CURIAM.Michael Wood appeals from the district court's dismissal of his action to set aside a prior judgment. This action and the appeal are frivolous and call for the imposition of damages.In May, 1972, Wood filed a pro se action against Chace Company Advertising, Inc., and Thomas Chace, alleging copyright infringement, antitrust violations and defamation in connection with photographs that Wood took for Chace.During the next two years, the parties engaged in discovery and the court held nine hearings on the difficulties which the defendants were experiencing in obtaining discovery from Wood. The defendants complained of Wood's recalcitrance. They requested the appointment of a special master to supervise discovery. At their suggestion, District Judge Robert J. Kelleher appointed Willard W. McEwen, Jr., a part-time United States Magistrate as special master.Notwithstanding McEwen's supervision, Wood continued to refuse to participate in discovery. During his deposition, he refused to abide by McEwen's rulings and refused to produce documents, even though he had already stipulated to their discovery.The defendants filed an ex parte application to dismiss the action and filed McEwen's report and affidavit in support of the application. Judge Kelleher denied it, but issued an order requiring Wood to show cause why his action should not be dismissed for failure to comply with the court's orders. On May 6, 1974, after a hearing in which Wood actively participated, the court stated:This Court has on many occasions indulged various shortcomings on behalf of Wood, in the belief that, despite the difficulties presented, the plaintiff should be allowed to proceed in propria persona ... Now, however ... the Court has come to the conclusion that wilfullness is involved ... To allow plaintiff to continue ... would constitute this Court's tolerance and acquiescence in an abuse of the processes of the United States District Courts. This Court cannot, and will not, tolerate that abuse.The court entered a judgment dismissing the action with prejudice.Wood appealed the judgment to this Court and we affirmed. Wood then petitioned the Supreme Court for a writ of certiorari. The petition was denied in 1975.In May, 1977, three years after the district court's dismissal of the action, Wood filed another action in the district court in which he alleged that the earlier judgment was the result of a "fraud upon the court" under Rule 60(b) (3) and (6), Federal Rules of Civil Procedure.1 Wood amended the complaint before serving it.In the first amended complaint, Wood named the original defendants, their attorneys, McEwen, the Santa Barbara Chamber of Commerce, the Better Business Bureau of the Tri-Counties, and insurance companies which insured the original defendants. Wood alleged that the defendants had conspired to have McEwen appointed as special master; that McEwen's failure to disclose his association with the Santa Barbara Chamber of Commerce was a fraud on the court and that McEwen's affidavit was false and perjured.The defendants moved to dismiss under Rule 12(b)(6), Federal Rules of Civil Procedure, for failure to state a claim on which relief could be granted. District Judge Francis C. Whelan issued a protective order suspending discovery until he decided these motions. On December 22, 1977, Judge Whelan granted all the defendants' motions and dismissed the complaint.In May, 1978, Wood moved to file a second amended complaint. This amendment sought to add more than 100 defendants and to assert twenty-nine causes of action, most of which Judge Kelleher had dismissed in 1974. The only significant addition was an allegation that McEwen had a pecuniary interest in the action which Judge Kelleher had dismissed. After a full hearing, Judge Whelan denied this motion to amend.In July, 1978, Wood sought to file a third amended complaint which again restated the allegations of the complaint which Judge Kelleher had dismissed. After a hearing, Judge Whelan denied this application.In October, 1978, Wood sought to file a fourth amended complaint which repeated the allegations of the other proposed complaints. Before the court could rule on this motion, Wood filed applications to disqualify all the judges in the Central District of California and to transfer the case to the District of Nevada.On February 22, 1979, Judge Whelan denied Wood's motions to disqualify and to transfer. After a hearing, he denied the motion to amend for failure to allege a specific act of fraud upon which relief could be granted and entered a judgment of dismissal.Wood brought an emergency motion in this Court to stay Judge Whelan's orders and judgment. We denied the motion.Wood appealed from the judgment. In this Court, he filed a document stating that he has filed thirty-six other actions in thirty-one different districts in nine different circuits. These actions name 253 defendants and involve claims similar to those Judge Kelleher dismissed in 1974.Wood contends that Judge Whelan erred in granting appellees' 12(b)(6) motions. A district court has broad discretion to dismiss a claim, when, as here, it has no merit. 2A Moore's Federal Practice, P 12.08 at 2271.Rule 60(b)(3) provides that a judgment may be set aside for an adverse party's fraud if a motion is made within one year after the entry of the judgment sought to be set aside. Here, Wood did not file his motion for almost three years after the judgment was entered. Wood's motion, therefore, cannot be granted under Rule 60(b)(3)Rule 60(b) also provides that a court may consider an independent action to set aside a judgment for fraud on the court. Although there is no time limit for these actions, they may be maintained only for extrinsic fraud. Independence Lead Mines Co. v. Kingsbury,Try vLex for FREE for 3 days
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