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Volume 17, Edition 4 cases

Davis v. McNeil

United States District Court, N.D. Florida,

Tallahassee Division.

James DAVIS, Petitioner,

v.

Walter McNEIL, Respondent.

 

No. 4:10–cv–00544–MP–GRJ.

Signed March 28, 2014.

 

James Davis, Chipley, FL, pro se.

 

Christine Ann Guard, Mercer Law School, Macon, GA, for Respondent.

 

ORDER

MAURICE M. PAUL, Senior District Judge.

*1 This cause comes on for consideration upon the Magistrate Judge’s Report and Recommendation dated February 13, 2014. (Doc. 37). The parties have been furnished a copy of the Report and Recommendation and have been afforded an opportunity to file objections pursuant to Title 28, United States Code, Section 636(b)(1). The time for filing objections has passed, and none have been filed.

 

Having considered the Report and Recommendation, I have determined that the Report and Recommendation should be adopted.

 

Accordingly, it is hereby

 

ORDERED AND ADJUDGED:

 

1. The magistrate judge’s Report and Recommendation is adopted and incorporated by reference in this order.

 

2. The petition for writ of habeas corpus is DENIED. A certificate of appealability is DENIED.

 

DONE AND ORDERED.

 

JAMES DAVIS, Petitioner,

 

v.

 

SECRETARY, DEPT. OF CORRECTIONS,FN1 Respondent.

 

FN1. Because Petitioner is an inmate in the custody of the Florida Department of Corrections (DOC), the Secretary of the DOC is the state officer who has custody of Petitioner, and therefore the Secretary is properly named by his official title as the Respondent in this case. See Fed.R.Civ.P. 17(d); Rule 2, Rules Governing Habeas Corpus Petitions under § 2254. The Clerk is directed to correct the docket accordingly.

 

REPORT AND RECOMMENDATION

GARY R. JONES, United States Magistrate Judge.

Petitioner initiated this case by filing a pro se Petition for a Writ of Habeas Corpus pursuant to 28 U.S.C. § 2254. (Doc. 1.) Respondent filed a response and an appendix with relevant portions of the state-court record. (Doc. 36.) Petitioner did not file a reply. Upon due consideration of the Petition, the response, and the state-court record, the undersigned recommends that the Petition be denied.FN2

 

FN2. Because the Court may resolve the Petition on the basis of the record, the Court has determined that an evidentiary hearing is not warranted. See Rule 8, Rules Governing Habeas Corpus Petitions Under Section 2254.

 

Summary of State Court Proceedings

Petitioner’s underlying conviction for lewd and lascivious molestation stems from incidents that occurred from January 1, 2005 to October 17, 2005, between Petitioner and his then aged twelve or thirteen year-old daughter.

 

At his trial in January 2007, the state presented testimony from the victim, who stated that she would go on overnight trips with Petitioner, who worked as a truck driver. During these trips, Petitioner would make the victim watch pornography and then “jack him off.” He would also attempt to “put it in,” meaning that he would try to have sex with her. (Doc. 36, Ex. B at 64–65.) FN3 In addition to the incidents occurring in Petitioner’s truck, the victim also testified that Petitioner would have sex with her at Petitioner’s home in Gadsden county, when others were not at home or were sleeping. (Id. at 68.) The victim testified that the abuse happened “more than 20 times.” (Id. at 67.)

 

FN3. The record is attached to the Respondent’s response as an appendix, containing various appendices. The exhibits are identified within the appendices. Each appendix number does not correspond to an exhibit letter. Rather the exhibits begin at the first appendix and then run consecutively thereafter. The Court will make reference to the exhibit letter rather than the appendix number.

 

The state also presented testimony from the victim’s sister and mother. They corroborated the victim’s account of her going on overnight trips with Petitioner in his truck and spending time with him at his home.

 

The state presented testimony from Investigator Jenkins, who was assigned to the case, and Dr. Moorer, an expert witness. Dr. Moorer testified that most child victims of sexual abuse do not have any clinical results that would indicate that abuse had occurred after more than a couple days had passed. (Id. at 118–124.) He testified that this could be because of the age and sexual maturity of the victim, and also because vaginal tissue healed very quickly. (Id.)

 

*2 The jury convicted Petitioner as charged with one count of lewd and lascivious molestation. (Id. at 196.) He was sentenced to 12 years imprisonment and three years of probation. (Doc. 36, Ex. C at 13.)

 

Petitioner appealed. However, while his appeal was pending, he filed a pro se motion to dismiss his direct appeal without prejudice. (Doc. 36, Exs.D, E.) His appeal was then dismissed by the First DCA. (Id., Ex. F.)

 

Petitioner then filed a pro se Fla. R.Crim. P. 3.850 motion on February 22, 2008. (Id. Ex. G at 1.) The motion presented five grounds for relief, all raising claims of ineffective assistance of counsel. (Id., Ex. G at 7–11.) On March 24, 2009, the state court denied the 3.850 motion, and Petitioner appealed. (Id., Ex. H at 108–117, 227–28.) The First DCA affirmed without opinion on September 11, 2009, and the mandate issued October 7, 2009. (Id., Exs. I, J.)

 

Petitioner filed a petition seeking to file a second pro se Fla. R.Crim. P. 3.850 motion on June 22, 2009. (Id., Ex. K at 1–8.) His petition was granted insofar as the second motion only alleged new grounds. (Id., at 9.) His second motion presented nine new grounds for relief. (Id., at 10–26.) The second motion was denied by the state court on August 21, 2009. (Id. at 27–29 .) Petitioner appealed, and filed an initial brief on appeal. (Doc. 36, Ex. K at 255; Ex. L.) His brief on appeal raised only two arguments: whether the trial court erred in determining unchanged evidence legally permissible as inextricably intertwined evidence; and whether the trial court erred in finding counsel rendered effective assistance of counsel. (Doc. 36, Ex. L at 2.) The First DCA per curiam affirmed on June 11, 2010, and the mandate issued July 7, 2010. (Doc. 36, Ex. N.)

 

The instant Petition, which Respondent concedes is timely, followed. Petitioner asserts fourteen grounds for relief in his pro se Petition. (Doc. 1.)

 

Section 2254 Exhaustion Requirement

Before bringing a habeas action in federal court, a petitioner must exhaust all state court remedies that are available for challenging his conviction, either on direct appeal or in a state post-conviction motion. 28 U.S.C. § 2254(b)(1), (c). Exhaustion requires that prisoners give the state courts a “full and fair opportunity” to resolve all federal constitutional claims by “invoking one complete round of the State’s established appellate review process.” O’Sullivan v. Boerckel, 526 U.S. 838, 845, 119 S.Ct. 1728, 144 L.Ed.2d 1 (1999). To properly exhaust a federal claim, a petitioner must “fairly present” the claim in each appropriate state court, thereby affording the state courts a meaningful opportunity to “pass upon and correct alleged violations of its prisoners’ federal rights.” Baldwin v. Reese, 541 U.S. 27, 29, 124 S.Ct. 1347, 158 L.Ed.2d 64 (2004) (quotation omitted).

 

When a petitioner fails to properly exhaust a federal claim in state court, and it is obvious that the unexhausted claim would now be procedurally barred under state law, the claim is procedurally defaulted. Bailey v. Nagle, 172 F.3d 1299, 1303 (11th Cir.1999). Federal habeas courts are precluded from reviewing the merits of procedurally defaulted claims unless the petitioner can show either (1) cause for the failure to properly present the claim and actual prejudice from the default, or (2) that a fundamental miscarriage of justice would result if the claim were not considered. Id. at 1302, 1306. A fundamental miscarriage of justice exists “where a constitutional violation has probably resulted in the conviction of one who is actually innocent.” Ward v. Hall, 592 F.3d 1144, 1157 (11th Cir.2010). To state a credible claim of actual innocence, a petitioner must present new reliable evidence that was not presented at trial showing that “it is more likely than not that no reasonable juror would have found petitioner guilty beyond a reasonable doubt.” Schlup v. Delo, 513 U.S. 298, 324, 115 S.Ct. 851, 130 L.Ed.2d 808 (1995).

 

Section 2254 Standard of Review

*3 Under 28 U.S.C. § 2254(d)(2), a federal court may not grant a state prisoner’s application for a writ of habeas corpus based on a claim already adjudicated on the merits in state court unless that adjudication “resulted in a decision that was based on an unreasonable determination of the facts in light of the evidence presented in the State court proceeding.” Under § 2254(e)(1), the petitioner must advance clear and convincing evidence that the state court’s factual determination was “objectively unreasonable” to rebut the presumption that the determination was correct. Gill v. Mecusker, 633 F.3d 1272, 1287 (11th Cir.2011); see § 2254(e)(1).

 

As to legal findings, a petitioner is entitled to federal habeas relief only if the state court’s adjudication of the merits of the federal claim “resulted in a decision that was contrary to, or involved an unreasonable application of, clearly established Federal law, as determined by the Supreme Court of the United States.” § 2254(d)(1). “[C]learly established Federal law, as determined by the Supreme Court of the United States,” refers only to holdings (rather than dicta ) of the Supreme Court, but decisions of lower federal courts may be considered to the extent that they demonstrate how those courts applied Supreme Court holdings. Hawkins v. Alabama, 318 F.3d 1302, 1309 (11th Cir.2003) (citations omitted) (“The decisions of other federal circuit courts (and our decisions for that matter) are helpful to the AEDPA inquiry only to the extent that the decisions demonstrate that the Supreme Court’s pre-existing, clearly established law compelled the circuit courts (and by implication would compel a state court) to decide in a definite way the case before them.”) See also Carey v. Musladin, 549 U.S. 70, 74–77, 127 S.Ct. 649, 166 L.Ed.2d 482 (2006) (§ 2254 refers to holdings, rather than dicta, of the Supreme Court, collecting circuit cases “[r]eflecting the lack of guidance from this Court,” on the issue).

 

The “contrary to” and “unreasonable application” clauses of § 2254(d)(1) have independent meanings. Williams v. Taylor, 529 U.S. 362, 404–406, 120 S.Ct. 1495, 146 L.Ed.2d 389 (2000); Bell v. Cone, 535 U.S. 685, 694, 122 S.Ct. 1843, 152 L.Ed.2d 914 (2002) (citing Williams.) “Under the ‘contrary to’ clause, a federal habeas court may grant the writ if the state court arrives at a conclusion opposite to that reached by [the Supreme] Court on a question of law or if the state court decides a case differently than this Court has on a set of materially indistinguishable facts. Under the ‘unreasonable application’ clause, a federal habeas court may grant the writ if the state court identifies the correct governing legal principle from this Court’s decisions but unreasonably applies that principle to the facts of the prisoner’s case.” Williams, 529 U.S. at 412–13. “Avoiding these pitfalls [described in Williams v. Taylor ] does not require citation of our cases-indeed, it does not even require awareness of our cases, so long as neither the reasoning nor the result of the state-court decision contradicts them.”   Early v. Packer, 537 U.S. 3, 8, 123 S.Ct. 362, 154 L.Ed.2d 263 (2002) (emphasis in original). Further, “whether a state court’s decision was unreasonable must be assessed in light of the record the court had before it.”   Holland v. Jackson, 542 U.S. 649, 652, 124 S.Ct. 2736, 159 L.Ed.2d 683 (2004).

 

*4 In Gill v. Mecusker, 633 F.3d 1272 (11th Cir.2011), the Eleventh Circuit clarified how the federal habeas court should address the “unreasonable application of law” and the “unreasonable determination of facts” tests. The court acknowledged the well-settled principle that summary affirmances, such as the Florida First District Court of Appeal’s in this case, are presumed adjudicated on the merits and warrant deference. Id. at 1288 (citing Harrington v. Richter, ––– U.S. ––––, 131 S.Ct. 770, 784–85, 178 L.Ed.2d 624 (2011), and Wright v. Sec’y for the Dep’t of Corr., 278 F.3d 1245, 1254 (11th Cir.2002)). “A judicial decision and a judicial opinion are not the same thing,” and the Supreme Court has confirmed that determining whether the state court unreasonably applied the law or unreasonably determined the facts requires only a decision, not an opinion. Id. at 1291 (citing Harrington, 131 S.Ct. at 784). Yet, the Supreme Court has never squarely addressed whether under the “unreasonable application” test a federal habeas court “looks exclusively to the objective reasonableness of the state court’s ultimate conclusion or must also consider the method by which the state court arrives at its conclusion.” Id. at 1289 (quoting Neal v. Puckett, 286 F.3d 230, 244–45 (5th Cir.2002) (summarizing the emerging circuit split)). The Eleventh Circuit concluded that district courts must apply the plain language of § 2254(d) and answer the “precise question” raised in a claim based on the state court’s ultimate legal conclusion, and should not “evaluate or rely upon the correctness of the state court’s process of reasoning.” Id. at 1291. In short, the court stated, “the statutory language focuses on the result, not on the reasoning that led to the result.” Id.

 

In light of Gill, the “unreasonable determination of facts” standard plays a limited role in habeas review because the district court considers the reasonableness of the trial court’s fact finding only to the extent that the state court’s ultimate conclusion relied on it. Id. at 1292. A federal habeas court can consider the full record before it to answer “the only question that matters[:]” whether the state court’s decision was objectively unreasonable. Gill, 133 F.3d at 1290.

 

Ineffective Assistance of Counsel

Because some Petitioner’s claims allege ineffective assistance of counsel, a review of the applicable law is necessary. Under Strickland v. Washington, 466 U.S. 668, 677–78, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984), to prevail on a constitutional claim of ineffective assistance of counsel, a defendant must demonstrate (1) that his counsel’s performance was below an objective and reasonable professional norm, and (2) that he was prejudiced by this inadequacy. Strickland, 466 U.S. at 686. The court may dispose of the claim if a defendant fails to carry his burden of proof on either the performance or the prejudice prong. Id. at 697.

 

To show counsel’s performance was unreasonable, a defendant must establish that “no competent counsel would have taken the action that his counsel did take.” Grayson v. Thompson, 257 F.3d 1194, 1216 (11th Cir.2001) (emphasis omitted). “The relevant question is not whether counsel’s choices were strategic, but whether they were reasonable.” Roe v. Flores–Ortega, 528 U.S. 470, 481, 120 S.Ct. 1029, 145 L.Ed.2d 985 (2000). There are no “absolute rules” for determining whether counsel’s actions were indeed reasonable, as “[a]bsolute rules would interfere with counsel’s independence-which is also constitutionally protected-and would restrict the wide latitude counsel have in making tactical decisions.” Putnam v. Head, 268 F.3d 1223, 1244 (11th Cir.2001). “To uphold a lawyer’s strategy, [the Court] need not attempt to divine the lawyer’s mental processes underlying the strategy.” Chandler v. United States, 218 F.3d 1305, 1314 n. 16 (11th Cir.2000) (en banc). “No lawyer can be expected to have considered all of the ways [to provide effective assistance].” Id.

 

*5 If a defense lawyer pursued course A, it is immaterial that some other reasonable courses of defense (that the lawyer did not think of at all) existed and that the lawyer’s pursuit of course A was not a deliberate choice between course A, course B, and so on. The lawyer’s strategy was course A. And [the Court’s] inquiry is limited to whether this strategy, that is, course A, might have been a reasonable one.

 

Id.

 

To show prejudice, a defendant must show more than simply that counsel’s unreasonable conduct might have had “some conceivable effect on the outcome of the proceeding.” Strickland, 466 U.S. at 693. Instead, a defendant must show a “reasonable probability that, but for counsel’s unprofessional errors, the result of the proceeding would have been different.” Id. at 694. A “reasonable probability is defined as a probability sufficient to undermine confidence in the outcome.” Id.

 

When, as here, the state courts have denied an ineffective assistance of counsel claim on the merits, the standard a petitioner must meet to obtain federal habeas relief is a difficult one. Harrington 131 S.Ct. at 786. The standard is not whether an error was committed, but whether the state court decision is contrary to or an unreasonable application of federal law that has been clearly established by decisions of the Supreme Court. 28 U.S.C. § 2254(d)(1). As the Supreme Court explained, error alone is not enough, because “[f]or purposes of § 2254(d)(1), an unreasonable application of federal law is different from an incorrect application of federal law.” Harrington, 131 S.Ct. at 785 (quotation marks omitted). And “even a strong case for relief does not mean the state court’s contrary conclusion was unreasonable.” Id. at 786.

 

When faced with an ineffective assistance of counsel claim that was denied on the merits by the state courts, a federal habeas court “must determine what arguments or theories supported or, [if none were stated], could have supported, the state court’s decision; and then it must ask whether it is possible fairminded jurists could disagree that those arguments or theories are inconsistent with the holding in a prior decision of [the Supreme] Court.” Id. So long as fairminded jurists could disagree about whether the state court’s denial of the claim was inconsistent with an earlier Supreme Court decision, federal habeas relief must be denied. Id. Stated the other way, only if “there is no possibility fairminded jurists could disagree that the state court’s decision conflicts with [the Supreme] Court’s precedents” may relief be granted. Id .

 

Even without the deference due under § 2254, the Strickland standard for judging the performance of counsel “is a most deferential one.” Id. at 788. When combined with the extra layer of deference that § 2254 provides, the result is double deference and the question becomes whether “there is any reasonable argument that counsel satisfied Strickland’s deferential standard.” Id. Double deference is doubly difficult for a petitioner to overcome, and it will be a rare case in which an ineffective assistance of counsel claim that was denied on the merits in state court is found to merit relief in a federal habeas proceeding.

 

Discussion

I. Unexhausted Claims

 

Grounds 6 and 7: Prosecution and Trial Court Were Without Jurisdiction to Prosecute in Gadsden County

 

*6 Petitioner raised grounds 6 and 7 of his petition as grounds 1 and 2 in his second Rule 3.850 motion in the state court. (Doc. 36, Ex. K at 10–26.) The second motion was denied by the state court, and Petitioner appealed. (Id. at 27–29.) In appealing his denial of the 3.850 motion to the First DCA, Petitioner did not include in his initial brief Grounds 6 and 7 of the instant petition. (Doc. 36, Ex. K at 255; Ex. L.) His brief on appeal raised only two arguments: whether the trial court erred in determining unchanged evidence legally permissible as inextricably intertwined evidence, and whether the trial court erred in finding counsel rendered effective assistance of counsel. (Doc. 36, Ex. L at 2.) The First DCA per curiam affirmed on June 11, 2010, and the mandate issued July 7, 2010. (Doc. 36, Ex. N.)

 

Before Petitioner filed his Petition in this Court he was required to exhaust all state court remedies that are available for challenging his conviction, either on direct appeal or in a state post-conviction motion. 28 U.S.C. § 2254(b)(1), (c). Exhaustion required Petitioner to give the Florida state courts a “full and fair opportunity” to resolve all his federal constitutional claims by “invoking one complete round of the State’s established appellate review process.” O’Sullivan v. Boerckel, 526 U.S. 838, 845, 119 S.Ct. 1728, 144 L.Ed.2d 1 (1999). To properly exhaust a federal claim, a petitioner must “fairly present” the claim in each appropriate state court, thereby affording the state courts a meaningful opportunity to “pass upon and correct alleged violations of its prisoners’ federal rights.” Baldwin v. Reese, 541 U.S. 27, 29, 124 S.Ct. 1347, 158 L.Ed.2d 64 (2004) (quotation omitted).

 

Florida law establishes that claims for which an appellant does not present any argument—or presents only conclusory argument—are waived. See, e.g., Gamble v. State, 877 So.2d 706 (Fla.2004). Accordingly, a movant must present all claims—whether summarily denied or denied after an evidentiary hearing-in the initial brief to the appellate court. Prince v. State, 40 So.3d 11 (Fla. 4th DCA 2010); Williams v. State, 24 So.3d 1252 (Fla. 1st DCA 2009) (where appellant received evidentiary hearing on some of his post-conviction claims and others were summarily denied, appellate court would review only those summarily denied claims which movant argued in the appellate brief.)

 

Federal district courts in Florida—including this Court—that have considered this issue have determined that a petitioner’s failure to raise a ground in his brief before the Florida District Courts of Appeal waives federal habeas review of any such omitted claims. Corn v. McNeil, No. 3:08–cv–199–MCR–EMT, 2010 WL 5811434, at *17 (N.D.Fla. Nov.24, 2010) (“The undersigned concludes that the Florida procedural rule deeming as waived or abandoned those claims for which an appellant has not presented any argument in his appellate brief (or for which he provides only conclusory argument), even when the insufficiently denied claims were summarily denied by the trial court, is a firmly established and regularly followed procedural rule for purposes of federal habeas.”) See also Ross v. McNeil, 5:07–cv–219–RS–EMT, 2010 WL 2179039 (N.D.Fla. Apr.14, 2010); Sharp v. McNeil, No. 4:07–cv–17–MP–MD, 2009 WL 981594, at *13–14 (N.D.Fla. Apr.10, 2009); Durain v. McNeil, No. 2:08–cv–24–FTM–29DNF, 2008 WL 4888989, at *9 (M.D.Fla. Nov.12, 2008); Williams v. McDonough, No. 8:02–CV–965–T–30MAP, 2007 WL 2330794, at *1–2 (M.D.Fla. Aug.14, 2007); Walker v. Sec’y, Dep’t of Corr., No. 8:05–cv–1539–T–17MAP, 2007 WL 1747181, at *4 (M.D.Fla. June 18, 2007.)

 

*7 Because Petitioner failed to raise Grounds 6 and 7 of the instant Petition in his initial brief on appeal to the First DCA, Petitioner did not exhaust his available state remedies with respect to each of those claims. Petitioner cannot now take a second appeal from the denial of his 3.850 motion in order to successfully exhaust these claims. The claims, therefore, are procedurally defaulted.

 

Petitioner makes no argument that he can show cause for his failure to properly present these claims to the First DCA. Petitioner has failed to demonstrate cause for his failure to properly present any of these claims to the First District Court of Appeal, prejudice from his default, or that a fundamental miscarriage of justice would occur if these claims were not considered by this Court. Accordingly, Grounds 6 and 7 in the Petition are unexhausted in state court, and each of those claims for relief is procedurally barred and, thus, it is inappropriate for this Court to consider these claims on federal collateral review.

 

The Court will consider Petitioner’s remaining claims as these claims were exhausted in the state court and are properly considered on federal collateral review.

 

II. Ineffective Assistance of Counsel Claims

 

Ground 1: Ineffective Assistance—Failure to Object to Dr. Moorer’s Testimony

 

Petitioner contends that defense counsel should have objected to the testimony of Dr. Moorer, the expert witness, who testified for the prosecution, because his testimony “only vouched for the credibility of the victim’s testimony [and] not to any evidence at trial.” (Doc. 1 at 27.) Petitioner raised this claim as ground 1 in his first state postconviction motion, and the state court denied the claim. (Doc. 36, Ex. H at 108–09.) The First DCA affirmed without opinion. (Id. Ex. I.)

 

In denying this claim, the state court concluded that “Defendant’s claim is without merit and is refuted by the record.” (Doc. 36, Ex. H at 108.) The state court wrote that Dr. Moorer explained that “virgin exams” are not performed on girls, who allegedly have been sexually abused where the abuse occurred days ago because in the majority of cases it cannot be determined whether abuse has occurred based on an exam. The state court noted that “Dr. Moorer clearly informed the jury that he did not examine the victim in this case; moreover he never gave his opinion on the facts of this case or as to the victim’s credibility, and he never gave a conclusion as to whether or not the victim was sexually abused.” (Id. at 109.) Thus, “an objection or motion by counsel to exclude Dr. Moorer would neither have been warranted nor successful. For the above reasons, counsel was not deficient, and Defendant was not prejudiced.” Id.

 

Petitioner’s counsel cannot be found ineffective for failing to make an objection that would have been meritless. The state court correctly identified Strickland on the standard and found that counsel was not deficient and Petitioner was not prejudiced. On this record, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of Strickland, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

Ground 2: Ineffective Assistance—Failure to Pursue a Statement of Particulars

*8 Petitioner next contends that counsel was ineffective for not pursuing a statement of particulars regarding the amended information. Petitioner alleges that “counsel should have and could have moved for a statement of particulars in which the information alleged a lengthy time span in which the alleged offense could have taken place.” (Doc. 1 at 30.) Petitioner raised this claim as ground 2 in his first state postconviction motion, and the state court denied the claim. (Doc. 36, Ex. H at 110–11.) The First DCA affirmed without opinion. (Id. Ex. I.)

 

In denying this claim, the state court noted

 

The child testified to general time frames in which the sexual molestation occurred at her father’s house and in his truck. However, the child could not recall the exact dates of all of the incidents of sexual abuse, and given the nature of the crime, the State was not required to prove the exact date(s) of the molestation … In Defendant’s case, a statement of particulars following the Amended Information would have been no more specific than the Amended Information itself.

 

Moreover, counsel filed a demand for statement of particulars after the original Information was filed … The only change from the original Information to the Amended Information was to correct the age of the victim; the dates of the molestation did not change … Accordingly, another statement of particulars would not have provided any new information. Counsel was not deficient, and Defendant cannot establish any prejudice.

 

(Ex. H at 110.)

 

Petitioner’s counsel cannot be found ineffective for failing to make a request that would have been meritless. The state court correctly identified Strickland on the standard and found that counsel was not deficient and Petitioner was not prejudiced. On this record, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of Strickland, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

Ground 3: Ineffective Assistance—Failure to Object to State’s Withholding of Evidence

Petitioner argues that “the disclosure of the Children Affairs examination of the victim would have shown no traceable evidence that the victim ever had sexual intercourse.” (Doc. 1 at 32.) Petitioner alleges that the evidence from the examination was favorable to the defense and that the evidence was “suppressed” by the state. Id.

 

Although Petitioner titles this claim as one of ineffective assistance, it is unclear how this claim has anything to do with his counsel. Petitioner states that “[t]his error is attributable to the State wherein counsel was unaware that such results existed to possible exonerated Petitioner.” (Sic.) (Doc. 1 at 34.)

 

This claim is similar, but not identical to one that Petitioner raised in his first state postconviction motion. In ground 3 of his first 3.850 motion, Petitioner alleged ineffective assistance “by not objecting to state withholding evidence most favorable to defense: whereof, exam done from children’s affair showing Dr. Moorer, testimony impeaching and scientific development incorrect, also would have impeach witness and testimony.” (Sic.) (Doc. 36, Ex. G at 9.) The state court denied this claim, and the First DCA affirmed without opinion. (Id. Ex. I.)

 

*9 Thus, it is evident that Petitioner’s made an ineffective assistance claim in his first state postconviction motion because he alleges that his counsel should have impeached Dr. Moorer with the evidence from the “children’s affair examination.” However, now Petitioner is attempting to make out a claim of a BradyFN4 violation, and he does not mention impeachment at all in his memorandum on Ground 3 of the instant Petition.

 

FN4. Brady v. Maryland, 373 U.S. 83, 87, 83 S.Ct. 1194, 10 L.Ed.2d 215 (1963). Brady held that “the suppression by the prosecution of evidence favorable to an accused upon request violates due process where the evidence is material either to guilt or to punishment, irrespective of the good faith or bad faith of the prosecution.” Brady, 373 U.S. at 87.

 

The examination Petitioner references was performed by Dr. Waris. The examination shows that Dr. Waris treated the victim for a sexually transmitted disease some time after the abuse had occurred. In denying Petitioner’s claim, the state trial court held that

 

Defendant’s exhibit does not impeach Dr. Moorer’s or the victim’s testimony in any way. If anything, that information would have implicated Defendant as a possible cause of the disease. Furthermore, Defendant’s exhibit does not show that Dr. Waris performed any type of “virgin exam” on the victim, and it does not show that Dr. Waris disagreed with Dr. Moorer’s testimony regarding the limitations of physical examinations in child victims of sexual molestation. Unless Defendant gave the victim the sexually transmitted disease, the victim’s visit to Dr. Waris was otherwise not related to this case. Counsel was not deficient, and Defendant was not prejudiced.

 

Additionally, to the extent Defendant asserts that the State committed a Brady violation, Defendant contradicts himself by asserting that his attorney was in fact aware of the treatment provided by Dr. Waris … Thus, the State did not commit a Brady violation … Moreover, even if counsel was not aware of Dr. Waris’ treatment, Defendant’s exhibit establishes the information would not have been exculpatory and potentially could have been inculpatory.

 

(Ex. H at 112.)

 

Consequently, Brady does not apply because Defendant’s counsel was aware of the examination by Dr. Waris. And even if counsel was not aware of Dr. Waris’ examination the results of the examination were inculpatory and thus the failure to disclose the evidence would not does not violate due process.   Weatherford v. Bursey, 429 U.S. 545, 97 S.Ct. 837, 51 L.Ed.2d 30 (1977). Accordingly, Petitioner has not established that the state court’s rejection of this claim provides a basis for federal habeas relief.

 

Ground 4: Ineffective Assistance—Failure to Object to Trial Court’s JOA

Petitioner alleges that counsel was ineffective for failing to object “to the trial judge putting in his own motion for judgment of acquittal.” Petitioner contends that because the “trial court on its own motion sua sponte entered and denied a Motion for Judgment of Acquittal,” that Petitioner suffered “grave and substantial prejudice where counsel failing to object to the Court’s sua sponte filing and ruling on a Motion for Judgment of Acquittal precluded trial counsel from adequately and effectively setting forth legally sufficient motion in which to refute the State’s allegations.” (Doc. 1 at 36.)

 

*10 Petitioner raised this claim in his first state postconviction motion, and it was denied by the state court. (Doc. 36, Ex. H at 112–14.) The First DCA affirmed without opinion. (Ex. I.) In denying this claim, the state court explained that

 

Before the State rested its case, the judge stated, “Presuming there is—the judgment of acquittal, the motion is made and denied.” The State then called its final witness. After the State rested, a bench conference was held, and the judge requested the court reporter as well. Due to an error, the court reporter was unable to transcribe the mid-trial discussion. However, the transcript later established that counsel did in fact make a mid-trial motion for JOA, and he renewed the motion after the defense rested. Thus, Defendant’s claim that counsel failed to renew the motion at the end of trial or within 10 days is refuted by the record. In response to counsel’s renewed motion for JOA the judge stated that he was reiterating the prior ruling that the State presented a prima facie case which, if believed by the jury, would provide sufficient evidence for a finding of guilt. The judge then denied the renewed motion for JOA. Counsel was not deficient.

 

Moreover, regardless of the issue of deficiency, Defendant cannot establish prejudice. As the judge determined, the State did present a prima facie case of Lewd or Lascivious Molestation. The elements of Lewd or Lascivious Molestation under Florida Statute section 800.045(5)(c)(2) are: the intentional touching, by a perpetrator 18 years of age or older, in a lewd or lascivious manner, of the breasts, genitals, genital area, or buttocks, or the clothing covering them, of a person 12 years of age or older but less than 16 years of age, or the forcing or enticing of the victim to so touch the perpetrator. The State presented evidence of each element. Specifically, the State presented evidence that the Defendant, the victim’s father, was over the age of 18 when he, on multiple occasions, forced or enticed his 12 year old daughter to undress, watch pornographic videos with him, start to have sex with him, and masturbate him. Importantly, Lewd or Lascivious Molestation requires only touching and does not require proof of penetration or intercourse. Thus, Defendant’s assertion that the State failed to prove the victim had sexual intercourse is irrelevant. Because the State did in fact present a prima facie case of Lewd and Lascivious Molestation, different action by counsel regarding the motion for JOA would not have caused the judge to grant the motion and would not have ultimately resulted in a reversal of Defendant’s conviction on direct appeal.

 

(Ex. H at 112–114.) (Internal citations omitted.)

 

Petitioner’s counsel cannot be found ineffective for failing to make an objection that would have been meritless, and Petitioner has not established any prejudice, considering that the motion for JOA was made and renewed by counsel, and denied because the state had presented a prima facie case. On this record, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of Strickland, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

Ground 5: Ineffective Assistance—Failure to Present Charlie Walker as a Witness and Failure to Suppress Taped Statements from Voice Stress Test

*11 In this ground Petitioner asserts two different claims of ineffective assistance. First, Petitioner contends that his trial counsel was ineffective for failing to call Charlie Walker, owner of C.J.W. Trucking Company, as a defense witness. Second, Petitioner argues that counsel was ineffective for not suppressing “taped statements and results form the voice stress test taken on October 25, 2010, and the violations of the “No Contact” order that was give by Children Affairs.” (Sic.) (Doc. 1 at 38.)

 

With respect to his first claim, Petitioner asserts that Walker would have been able to produce driving records and logs, which allegedly would have shown that the victim’s testimony was false.

 

With respect to the second claim, It is unclear why Petitioner is arguing that counsel was ineffective for not suppressing the tape, when he goes on to state that “The tape was never put into evidence. The trial judge had made a stipulation on using the tape, but counsel and state disregarded the stipulation order.” And then, confusingly, Petitioner seems to argue that defense counsel should have introduced the tape, stating, “[t]he tape was another valuable part of Petitioner’s defense strategy. The tape could have showed that the case should have been closed for the lack of evidence.” (Sic.) (Doc. 1 at 38.)

 

Petitioner presented both parts of this claim as ground 5 in his first postconviction motion. In denying the first part of his claim, the state court concluded as follows:

 

In Ground 5, Defendant presents a multitude of assertions. First, Defendant claims counsel provided ineffective assistance by failing to call Charlie Walker … at trial. Defendant claims that Walker … would have testified that he was only employed with CJW trucking company until May 26, 2005. For the reasons and attachments identified in the latter part of Ground 2, Defendant cannot demonstrate prejudice, and his claim is without merit. The substance of Walker’s … expected testimony would not have resulted in a different outcome at trial.

 

(Ex. H at 114.) (Internal citations omitted.)

 

In the habeas corpus context, “[c]omplaints concerning uncalled witnesses impose a heavy showing since the presentation of testimonial evidence is a matter of trial strategy and often allegations of what a witness would have testified to are largely speculative.” United States v. Guerra, 628 F.2d 410, 413 (5th Cir.1980).

 

In view of the heavy showing necessary to succeed on a claim that counsel performed deficiently with respect to an uncalled witness, and the deference that must be afforded to counsel’s strategic decisions, on this record the Court concludes that Plaintiff has failed to establish that the state court unreasonably concluded that defense counsel did not perform deficiently. There is at least a “reasonable argument that counsel satisfied Strickland’s deferential standard,” with respect to his trial strategy. See Harrington, 131 S.Ct. at 785. Thus, Petitioner has not established that the state court’s rejection of this claim provides a basis for federal habeas relief.

 

*12 In denying the second part of this claim, the state court held:

 

Defendant next asserts counsel was ineffective for failing to suppress the “taped statement and resulted from the voice stress test taken on 10/2505.” Defendant was not prejudiced, however, because neither that tape nor any other tape was used at trial. Accordingly, the outcome would not have been any different if counsel had moved to suppress the tape. Defendant then asserts that his attorney and the State both discussed the contents of the 10/25/05 tape during their opening statements. This claim is refuted by the record. During their opening statements, both attorneys referred to the interview conducted on 10/25/05; however, neither attorney mentioned the existence of a tape or voice stress analysis. The attorneys did discuss, in their opening statements, a tape in the context of a 10/20/05 controlled phone call. They explained that a controlled call was made on 10/20/05 but that the tape is not available due to a recording malfunction. Importantly, the 10/20/05 phone call and the 10/25/05 interview were entirely separate events. The judge and attorneys discussed the 10/25/05 interview at length, and the Court set parameters for testimony about the interview. The Court also determined that testimony regarding the voice stress analysis would not be admissible. Neither attorney violated that ruling.

 

To the extent Defendant claims his attorney should have used the tape to “prove that the case was closed because of the [lack] of evidence,” the claim is without merit because the tape was deemed inadmissible. Even if the tape and voice stress analysis results had been admissible, the contents of the tape would have been adverse to Defenant, because it contains Investigator Jenkins determination that Defendant was not being truthful in his claims of innocence. Counsel was not deficient for protecting his client from potentially incriminating evidence.

 

(Ex. H at 115–16.)

 

Petitioner’s counsel cannot be found ineffective for protecting his client from potentially incriminatory evidence. Even assuming, arguendo, that counsel was deficient, Petitioner has not shown prejudice. Given the deference that is afforded to trial counsel’s strategic decisions, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of Strickland.

 

Ground 11: Ineffective Assistance—Failure to Request Trial Court to Charge Jury With Precautionary Instructions

Petitioner contends that his trial counsel rendered ineffective assistance in failing to request the trial court to give the jury cautionary instructions as to the testimony on collateral crimes. (Doc. 1 at 54.) Petitioner presented this claim as ground 6 in his second postconviction motion, and it was denied by the state court and affirmed without written opinion by the First DCA. (Doc. 36, Exs.K, N.)

 

In rejecting this claim on postconviction review, the state court wrote:

 

*13 This was not Williams Rule Evidence that typically triggers the standard instruction. Moreover, the testimony itself was not of the quality or nature to risk a conviction for a crime not charged in the information. The absence of a cautionary instruction does not undermine confidence in the outcome of this case. The defense theory was Victim was lying about sexual activity, regardless of when it occurred. The jury found the 14–year–old victim credible and her testimony was not otherwise rebutted or internally inconsistent as to the sex crimes inflicted upon her.

 

(Ex. K at 28.)

 

In Florida, “[i]t is well settled law that the defense is entitled to jury instructions on his theory of defense if evidence has been introduced to support those instructions.” Cooper, 573 So.2d at 76. The state court determined that the facts of Petitioner’s case did not support the type of jury instruction Petitioner alleges his trial counsel should have requested. Furthermore, Petitioner cannot demonstrate that but for the failure to request this instruction, the outcome of the trial would have been different. On this record, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of Strickland, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

Grounds 12 and 13: Ineffective Assistance—Failure to Request Court to Weigh Probative Value and Potential Prejudice and Failure to Object to Evidence of Other Crimes or Acts Becoming Feature of the Trial

In ground 12, Petitioner argues that “because counsel failed in his duty to provide effective trial advocacy, and permitted the introduction of prejudicial evidence without an objection and or request for cautionary instructions, Petitioner suffered substantial prejudice in the jury receiving the prejudicial testimony as a feature of the trial instead of an incident of the charged offense.” (Doc. 1 at 59.) Petitioner presented this claim as ground 7 in his second postconviction motion, and it was denied by the state court and affirmed without written opinion by the First DCA. (Doc. 36, Ex. K, N.)

 

The state court denied this claim, writing:

 

This evidence was inextricably intertwined with the charges in that evidence of the sexual and emotional relationship between Defendant and his daughter was necessary to fully and fairly place in context the sex crimes he was charged with committing in 2005. The evidence was highly probative, and “fairly” prejudicial. No motion in limine would have been granted, even had Defense counsel requested the Court to conduct a weighing analysis.

 

(Ex. K at 28.)

 

In ground 13, Petitioner alleges that defense counsel should have objected to evidence of other crimes or acts becoming the feature of the trial. (Doc. 1 at 60.) Petitioner presented this claim as ground 8 in his second postconviction motion, and it was denied by the state court and affirmed without written opinion by the First DCA. (Doc. 36, Exs.K, N.) In denying this claim, the state court wrote “[t]his is essentially a restatement of the above grounds.” (Ex. K at 28.)

 

*14 The record discloses that the testimony presented to the jury was entirely relevant to the charged crime. Petitioner’s counsel cannot be found ineffective for failing to make a request that would have been meritless. Furthermore, Petitioner cannot demonstrate that but for the failure to request the court to conduct a weighing analysis, the outcome of the trial would have been different. Petitioner’s speculative argument regarding prejudice is not enough to carry his burden of proof and persuasion as to the prejudice prong of Strickland. On this record, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of Strickland, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

Ground 14: Ineffective Assistance—Failure to Challenge Juror for Cause

Petitioner agues that counsel should have moved to strike juror Golden because Golden’s sister was a victim of a sex crime and because Golden worked as a correctional officer. (Doc. 1 at 63–65.) Petitioner presented this claim as ground 9 in his second postconviction motion, and it was denied by the state court and affirmed without written opinion by the First DCA. (Doc. 36, Ex. K, N.) In denying this claim, the state court wrote

 

The colloquy quoted by Defendant does not state any ground for challenge for cause of Golden. In fact, Golden stated nothing about the crime against his sister would affect him as a juror in this case. Moreover, Golden was in the first round of peremptory strikes. Defendant was present at all times. He could see the jurors, and hear their voice inflections when they responded to questions. None of this shows up on a cold record. The record does show Defendant consulted with counsel regarding strikes. The defense used only 5 of its 6 peremptory strikes. Therefore, Golden could have been struck early for any reason, and Defendant was consulted before “no more strikes” was announced by Defense counsel. Finally, there is nothing in the record to show that juror Golden was in fact unfair or biased. There is no prejudice under the Strickland standard.

 

(Ex. K at 29.) (Internal citations omitted.)

 

The state court correctly identified the Strickland standard and determined that there was no prejudice. Even if counsel did err, Petitioner has failed to show that the result of the trial would have been different but for counsel’s failure to challenge juror Golden. Other than his conclusory allegations that juror Golden was biased because of the crime committed against his sister and his employment as a correctional officer, Petitioner has not demonstrated a reasonable probability that but for counsel’s failure to strike juror Golden the outcome of the trial would have been different. On this record, Petitioner has failed to show that the state court’s rejection of this ineffective-assistance claim regarding striking juror Golden was contrary to, or an unreasonable application of, Strickland

 

III. Petitioner’s Other Claims

 

Grounds 8 and 9: Failure to Weigh Probative Value of Evidence of Uncharged Crimes Against Potential for Unfair Prejudice, and Fundamental Error in Allowing Evidence of other Acts of Child Molestation to Become a Feature of the Trial

 

*15 Petitioner contends in ground 8 that “the testimony of the crimes occurring outside of Gadsden County, Florida [the incidents that took place in Petitioner’s truck] only mislead the juror by distracting them form [sic] the cental issue of the trial and considering the additional fact that no limiting instructions were provided, these crimes, in the jury’s mind, became the feature instead of the incident.” (Doc. 1 at 47.)

 

In ground 9, Petitioner contends that “the record also reflects that a substantial amount of testimony of crimes occurring outside the County of Gadsden and the State of Florida were proffered to the jury. So much so that it became a feature of the trial.” (Doc. 1 at 49.) Petitioner presented these claim as grounds 3 and 4 in his second postconviction motion, and they were denied by the state court and affirmed without written opinion by the First DCA. (Doc. 36, Exs.K, N.)

 

Respondent contends that these two grounds were not presented to the Florida state courts as properly federalized claims and, therefore, are not cognizable on Federal habeas review. (Doc. 36 at 68, 73.) The Court disagrees. In Petitioner’s second motion for postconviction relief, he alleges that “Due Process Clause guarantees the fundamental elements of fairness in a criminal trial.” (Doc. 36, Ex. K at 15.) Although Petitioner does not specifically cite the United States Constitution, he does raise an argument under the “Due Process Clause,” not simply an argument that “due process” rights were violated. Thus, this was sufficient to raise the federal claim. Accordingly, the Court will evaluate the claims on the merits.

 

In denying ground 8 of the instant petition on postconviction review, the state court wrote

 

Defendant alleges unfair prejudice in that the testimony of the 14–year–old victim (Defendant’s daughter) described sexual activity and abuse on many occasions. She described when it would begin and how it would typically occur, and included the time period of the charge. Defendant was charged by Amended Information with Lewd and Lascivious Molestation occurring between January 1, 2005 and October 17, 2005. The record conclusively demonstrates the sexual relationship of the Defendant with his daughter was inextricably intertwined with the offense charged. Clearly, specific other criminal acts were not the feature of the trial. The evidence simply gave the charges on trial a context. Any motion to keep this evidence out would have been denied as frivolous. The victim’s testimony makes this particularly obvious. The context of this testimony within the trial also supports this conclusion.

 

(Ex. K at 27.)

 

The record discloses that the testimony presented to the jury was entirely relevant to the charged crime. All of the testimony concerned the sex acts that Petitioner committed with his daughter, whether they occurred at his home in Gadsden county or in his truck while Petitioner was making runs. On this record, Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of federal law, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

*16 With respect to ground 9, the state court explained

 

This ground is not “fundamental error.” Moreover, the victim’s testimony within the context of the trial, while highly relevant and argued appropriately, refutes that the “other acts” were a feature of the trial. Otherwise, Defendant’s claim is a restatement of ground 3.

 

(Ex. K at 28.)

 

This claim is repetitive of Petitioner’s prior claims and does not merit further discussion.

 

Ground 10: State’s Failure to Provide Written Statement of Acts or Offenses Intended to be Used at Trial Violated Due Process

Petitioner argues that his due process rights were violated because the information charged him with offenses occurring in Gadsden county, but there was testimony during the trial about crimes that occurred outside of Gadsden county.

 

Petitioner presented this claim as ground 5 in his second postconviction motion, and it was denied by the state court and affirmed without written opinion by the First DCA. (Doc. 36, Exs.K, N.) In denying this claim, the state court held:

 

There is no due process duty to provide notice of collateral crimes. At most, it could be a rule or statutory violation, which applies when there is Williams rule evidence. However, evidence is not under Williams rule procedures when the evidence of the defendant’s acts or behavior is inextricably intertwined with the crime charged. Finally, the record refutes Defendant’s claim of surprise and inability to prepare. Defendant was asked during the investigation about any truck trips with Victim and he denied them. He denied all sexual activity with his daughter. This occurred long before trial. Defense counsel had also taken Victims’ deposition.

 

(Doc. 36, Ex. K at 28.)

 

As discussed above in connection with Petitioner’s other grounds, there was no collateral crimes evidence. All of the testimony concerned the sex acts that Petitioner committed with his daughter, whether they occurred at his home in Gadsden county or in his truck while Petitioner was making runs. Consequently, on this record Petitioner has failed to show that the state court’s rejection of this claim was contrary to, or an unreasonable application of federal law, or an unreasonable determination of the facts in light of the evidence adduced in state court.

 

Certificate of Appealability

Section 2254 Rule 11(a) provides that “[t]he district court must issue or deny a certificate of appealability when it enters a final order adverse to the applicant,” and if a certificate is issued “the court must state the specific issue or issues that satisfy the showing required by 28 U.S.C. § 2253(c)(2).” A timely notice of appeal must still be filed, even if the court issues a certificate of appealability. Rule 11(b), Rules Governing Section 2254 Cases.

 

The undersigned finds no substantial showing of the denial of a constitutional right. 28 U.S.C. § 2253(c)(2); Slack v. McDaniel, 529 U.S. 473, 483–84, 120 S.Ct. 1595, 146 L.Ed.2d 542 (2000). Therefore, the undersigned recommends that the district court deny a certificate of appealability in its final order.

 

*17 Rule 11(a) also provides: “Before entering the final order, the court may direct the parties to submit arguments on whether a certificate should issue.” Thus, if there is an objection to this recommendation by either party, that party may bring this argument to the attention of the district judge in the objections permitted to this report and recommendation.

 

Accordingly, in light of the foregoing, it is respectfully RECOMMENDED:

 

1. The petition for writ of habeas corpus (Doc. 1) should be DENIED.

 

2. A certificate of appealability should be DENIED.

 

IN CHAMBERS this 13th day of February 2014.

Colony Nat. Ins. Co. v. DeAngelo Bros., Inc.

United States District Court,

M.D. Pennsylvania.

COLONY NATIONAL INSURANCE CO. and American Home Assurance Co., Plaintiffs,

v.

DeANGELO BROTHERS, INC. and Union Pacific Railroad Co., Defendants.

 

No. 3:13–CV–00401.

Filed March 28, 2014.

 

Michael Murphy, Nancy Stuart Portney, William F. Stewart, Stewart Bernstiel Rebar & Smith, Blue Bell, PA, for Plaintiffs.

 

Joseph G. Ferguson, De Angelo Brothers, Inc., Hazleton, PA, Anne Marie O’Brien, Gage R Cobb, Omaha, NE, Peter D. Laun, Roy A. Powell, Jones Day, Pittsburgh, PA, for Defendants.

 

MEMORANDUM OPINION

ROBERT D. MARIANI, District Judge.

I. Introduction

*1 Presently before the Court is a Motion to Dismiss for Lack of Personal Jurisdiction (Doc. 15), filed by Defendant Union Pacific Railroad in this declaratory judgment action. For the reasons discussed below, the Court will deny the Motion without prejudice, with leave to be resubmitted following the completion of jurisdictional discovery.

 

II. Factual Allegations and Procedural History

The factual background of this case was discussed in the Court’s Memorandum Opinion of March 21, 2014, in which the Court denied Defendant DeAngelo’s Brothers’ Motion to Dismiss or to Drop a Party. (See generally Doc. 53 at 1–6.) That background discussion is incorporated herein.

 

In the present Motion, Defendant Union Pacific Railroad seeks dismissal on the grounds that it is not subject to personal jurisdiction in Pennsylvania. It argues that there “is no basis for general or specific personal jurisdiction” in Pennsylvania, (see Def. Union Pac. R.R. Co.’s Reformatted Brief in Supp. of Mot. to Dismiss, Doc. 33, at 19), and, therefore, “[e]xercising personal jurisdiction over Union Pacific Railroad in this case would be unconstitutional,” (id. at 5).

 

In support, Union Pacific provides a sworn affidavit stating that it is a corporation hincorporated in Delaware with a primary place of business in Nebraska. (See Aff. of Maureen Fong Hinners, Doc. 15–1, at ¶ 2.) Moreover, as it argues in its supporting brief,

 

Union Pacific has no offices in Pennsylvania. It does not run its trains through Pennsylvania. It does not pay corporate income or franchise tax to Pennsylvania. It does not advertise specifically to Pennsylvania citizens or corporations. It does not maintain an agent in Pennsylvania. In summary, Union Pacific Railroad does not “continuously and systematically” conduct any business in Pennsylvania.

 

(Doc. 33 at 9–10 (internal citations omitted).) According to Hinners, “Union Pacific Railroad’s rail network covers 23 states in the western two-thirds of the United States.” (Doc. 15–1 at ¶ 3.) A map provided with Hinners’ declaration shows no Union Pacific rail routes east of Chicago. (See id., Ex. 1, at 4.) And while Union Pacific did enter into a hcontract with DeAngelo Brothers, a Pennsylvania company, to do work implicated in this lawsuit, according to a sworn affidavit by DeAngelo Brothers’ President Paul DeAngelo,

[t]his agreement was the result of a national on-line bidding process through which [DeAngelo Brothers] submitted the winning bid. Union Pacific had placed its request for bids for vegetation services on the internet. My company submitted a bid to Union Pacific after seeing this online request for proposal. In submitting our bid [DeAngelo Brothers] reached out to Union Pacific in Nebraska. Union Pacific did not approach [DeAngelo Brothers] in Pennsylvania.

 

(Aff. of Paul D. DeAngelo, Doc. 15–2, at ¶ 2.) Moreover, to the best of affiant Paul DeAngelo’s knowledge, “Union Pacific signed the contract in Omaha, Nebraska. [The affiant has] no knowledge that Union Pacific executed the contract in Pennsylvania.” (Id. at ¶ 4). Moreover, DeAngelo Brothers’ “performance under the agreement takes place wholly houtside the Commonwealth of Pennsylvania. No part of the agreement is performed in Pennsylvania. [DeAngelo Brothers] does not provide services to Union Pacific in Pennsylvania.” (Id. at ¶ 5).

 

*2 Union Pacific acknowledges “three employees located in Pennsylvania, who work out of their homes.” (Doc. 33 at 10.) However, according to affiant Hinners,

 

[t]hese employees do not work exclusively in Pennsylvania. Rather, they travel throughout the Eastern United States. Their job tasks are to coordinate with Union Pacific Railroad’s customers and with other carriers in order to arrange interchange of the customers’ goods from eastern railroads to Union Pacific Railroad’s western rail system.

 

These employees only perform a marketing function for Union Pacific Railroad. None holds a position with the authority to make management or executive decision on behalf of Union Pacific Railroad. These employees do not maintain the main business records and the files of Union Pacific Railroad, which are kept in Nebraska. These employees are not designated or authorized to accept service of process nor are they registered as agents for Union Pacific Railroad in the Commonwealth of Pennsylvania.

 

(Doc. 15–1 at ¶¶ 7–8.) These employees, who make up 0.0065% of Union Pacific’s 45,928–employee workforce, (see id. at ¶ 4), “played absolutely no role in the negotiations between [DeAngelo Brothers] and Union Pacific Railroad,” (id. at ¶ 16).

 

In response, Colony FN1 argues that jurisdiction exists for several reasons. First, Union Pacific entered into a “five-year, multi-million dollar contract with” DeAngelo Brothers, a Pennsylvania corporation. (See Pl. Colony Nat’l Ins. Co.’s Brief in Opp. to Union Pac. R.R. Co.’s Mot. to Dismiss, Doc. 37, at 9.) This contract, it is reasonable to assume, was signed by DeAngelo Brothers in Pennsylvania and would have required significant correspondence between Union Pacific’s Nebraska offices and DeAngelo’s Pennsylvania offices. (See id. at 10–12.) Colony concludes that, through these acts, Union Pacific willing subjected itself to jurisdiction in Pennsylvania. (See id. at 15.)

 

FN1. American Home intervened as a Plaintiff later in this case, (see Doc. 44), and filed a Brief in Opposition to Union Pacific’s Motion to Dismiss, (see Doc. 45). The arguments in that brief closely match those raised in Colony’s brief, discussed herein.

 

Second, Colony points to several documents which it believes “demonstrate unequivocally that Union Pacific engages in economic activity in, and has continuous and systematic contacts with, various states east of the Mississippi [River] including Pennsylvania.” (Id. at 17.) To this end, it provides a screenshot from Union Pacific’s website, which advertises under the heading “Where Can I Ship?” that

 

Union Pacific operates 32,000 miles of track covering 23 states in the western two-thirds of the country. And w hen we can’t transport your products on our own tracks, we have relationships with nearly 200 shortline and other Class I railroads, as well as trucking companies, to make sure our customers are covered coast-to coast…. Factor in ocean carriers and you can use UP to ship to virtually any destination worldwide.

 

(Id., Ex. D, at 1.) Likewise, a Form 10–K report filed by Union Pacific with the Securities and Exchange Commission describes its railroad routes as “linking Pacific Coast and Gulf Coast ports with the Midwest and eastern U.S. gateways.” (Id., Ex. E, at 6). The report adds that Union Pacific “serve[s] the western two-thirds of the country and maintain[s] coordinated schedules with other rail carriers to move freight to and from the Atlantic Coast” and other regions across North America. (Id.)

 

*3 “With respect to Union Pacific’s activities as a transporter of freight in states like Pennsylvania where it does not operate trains or own rails,” Colony also provides the Court with the case numbers of three actions in the federal district courts of Pennsylvania “where Union Pacific has filed suit … against a Pennsylvania corporation or limited liability company based on its alleged failure to pay Union Pacific’s freight charges w hen due.” (Id. at 18.) FN2 Colony argues that “[b]ased solely on Union Pacific’s own allegations in these lawsuits, this Court has a reasonable basis for concluding that Union Pacific routinely engages in commerce in the Commonwealth.” (Id. at 19.) As noted in American Home’s brief, the purpose of disclosing these cases is not to argue that Union Pacific has waived jurisdictional objections; it is only to show, by Union Pacific’s own previously sworn admissions, that Union Pacific continuously transacts business in Pennsylvania. (See Am. Home Assurance Co.’s Brief in Opp. to Union Pac. R.R. Co.’s Mot. to Dismiss, Doc. 45, at 7.)

 

FN2. These cases, as verified through PACER, are: Union Pacific Railroad Co. v. Produce Services and Logistics, Inc., 2:12–cv–00050 (W. D.Pa.2012); Union Pacific Railroad Co. v. USB Group, LLC, 2:09–cv–01499 (W.D.Pa.2009); and Union Pacific Railroad Co. v. Mich–Kim, Inc., 2:08–cv–03766 (E.D.Pa.2008).

 

Colony also notes two antitrust actions filed in the Eastern District of Pennsylvania, in which Union Pacific, among other defendants, was alleged to have engaged in price-fixing. (See Doc. 37 at 19 n. 7.) These cases, again verified through PACER, are: Quality Refractories Installation, Inc. v. Association of American Railroads, 2:07–cv–02657 (E.D.Pa.2007); and Nizhnekamskneftekhim USA, Inc. v. CSX Transportation, Inc., 2:07–cv–02809 (E.D.Pa.2007). However, the probative value of the antitrust cases is low given that, as Colony states, in those cases Union Pacific only “does not appear to have contested” jurisdiction as a defendant in the case. (See Doc. 37 at 19 n. 7.) But the negative act of failing to contest jurisdiction is qualitatively different from the positive act of asserting that jurisdiction does indeed exist.

 

Finally, Colony argues that the fact that three Union Pacific employees live in Pennsylvania is likewise sufficient to establish contacts supporting jurisdiction. (See Doc. 37 at 19–20.) In screenshots from the Union Pacific website, dated April 19, 2013, Union Pacific was soliciting job applications for two apparently additional positions located in Philadelphia, Pennsylvania: an administrative assistant and a control-systems engineer. (Id., Ex. K, at 5–8.) As of the date of this Opinion, a job seeker can still access the Union Pacific website to search for jobs in Pennsylvania (and, indeed, for jobs in all states except West Virginia), but there are no Pennsylvania openings posted. See UNION PACIFIC, Careers, https://up.jobs/index.html (click “Search Jobs;” then choose “Pennsylvania—PA” from the dropdown menu entitled “State Only;” then click “Add”).

 

III. Standard of Review

Under Federal Rule of Civil Procedure 12(b)(2), a defendant may move to dismiss a complaint for lack of personal jurisdiction over itself. Fed.R.Civ.P. 12(b)(2). “In deciding a motion to dismiss for lack of personal jurisdiction, we take the allegations of the complaint as true. But once a defendant has raised a jurisdictional defense, a plaintiff bears the burden of proving by affidavits or other competent evidence that jurisdiction is proper.” Dayhoff, Inc. v. H.J. Heinz Co., 86 F.3d 1287, 1302 (3d Cir.1996) (internal citations omitted). Because a 12(b)(2) motion “is inherently a matter which requires resolution of factual issues outside the pleadings,” once the defense has been raised, the plaintiff must rely on “competent evidence” and not merely “rely on the bare pleadings alone in order to withstand a defendant’s Rule 12(b)(2) motion to dismiss for lack of in personam jurisdiction.” Time Share Vacation Club v. Atlantic Resorts, Ltd., 735 F.2d 61, 66 n. 9 (3d Cir.1984). However, if “the district court does not hold an evidentiary hearing, ‘the plaintiff[s] need only establish a prima facie case of personal jurisdiction.’ ” Metcalfe v. Renaissance Marine, Inc., 566 F.3d 324, 330 (3d Cir.2009) (quoting O’Connor v. Sandy Lane Hotel Co., Ltd., 496 F.3d 312, 316 (3rd Cir.2007)).

 

IV. Analysis

 

a. In General

 

*4 “A federal district court may assert personal jurisdiction over a nonresident of the state in which the court sits to the extent authorized by the law of that state.” Provident Nat’l Bank v. California Federal Sav. & Loan Ass’n, 819 F.2d 434, 436 (3d Cir.1987). United States Supreme Court decisions in the past several decades “have differentiated between general or all-purpose jurisdiction, and specific or case-linked jurisdiction.”   Goodyear Dunlop Tires Operations, S.A. v. Brown, ––– U.S. ––––, 131 S.Ct. 2846,2851,180 L.Ed.2d 796 (2011). Pennsylvania law authorizes general personal jurisdiction over a corporation when the corporation carries on “a continuous and systematic part of its general business within this Commonwealth,” 42 Pa. Cons.Stat. Ann. § 5301(a)(2)(iii), and authorizes specific jurisdiction over “all persons [including corporations] who are not within the scope of section 5301 … to the fullest extent allowed under the Constitution of the United States [which] may be based on the most minimum contact with this Commonwealth allowed under the Constitution of the United States,” 42 Pa. Cons.Stat. Ann. § 5322(b).

 

The existence of both general and specific jurisdiction is in dispute in the present case. Accordingly, the Court shall now turn to an analysis of both types.

 

b. General Jurisdiction

“When a State exercises personal jurisdiction over a defendant in a suit not arising out of or related to the defendant’s contacts with the forum, the State has been said to be exercising ‘general jurisdiction’ over the defendant.”   Helicopteros Nacionales de Colombia, S.A. v. Hall, 466 U.S. 408, 414 n. 9, 104 S.Ct. 1868, 1872, 80 L.Ed.2d 404 (1984). All such exercises of jurisdiction over a nonresident defendant (including a corporation) must comport with the Due Process Clause of the Fourteenth Amendment, which requires that a defendant have “certain minimum contacts with [the forum state] such that the maintenance of the suit does not offend traditional notions of fair play and substantial justice.” Int’l Shoe Co. v. Washington, 326 U.S. 310, 316, 66 S.Ct. 154, 158, 90 L.Ed. 95 (1945) (internal quotation marks omitted). “Even when the cause of action does not arise out of or relate to the foreign corporation’s activities in the forum State, due process is not offended by a State’s subjecting the corporation to its in personam jurisdiction w hen there are sufficient contacts between the State and the foreign corporation.” Helicopteros, 446 U.S. at 414, 104 S.Ct. at 1872.

 

The Supreme Court has long held that, for the exercise of personal jurisdiction to be constitutionally sufficient over a nonresident defendant, such defendant must have “continuous and systematic” contacts with the forum state. See Perkins v. Benguet Consol. Mining Co., 342 U.S. 437, 448, 72 S.Ct. 413, 419–20, 96 L.Ed. 485 (1952); see also Helicopteros, 466 U.S. at 416, 104 S.Ct. at 1873. Exactly how “continuous and systematic” the contacts must be remained unclear for many years. Recently, however, the Supreme Court provided some clarity w hen it held jurisdiction could only attach against an out-of-state corporate defendant w hen that defendant’s contacts were so “ ‘continuous and systematic’ as to render [it] essentially at home in the forum State.” Goodyear, 131 S. Ct at 2851 (emphasis added).FN3

 

FN3. American Home argues, without citation to any authority, that Goodyear and related cases do not “require[ ] a corporation to be ‘at home’ or have its principal place of business in a forum state in order for general jurisdiction to apply. Those circumstances are merely illustrative.” (Doc. 45 at 7.) It is hard to comprehend how this is so, based on a fair reading of the Goodyear opinion. Cf., e.g., Goodyear, 131 S.Ct. at 2857 (“Measured against Helicopteros and Perkins, North Carolina is not a forum in which it would be permissible to subject petitioners to general jurisdiction. Unlike the defendant in Perkins, whose sole wartime business activity was conducted in Ohio, petitioners are in no sense at home in North Carolina.”). Moreover, in the years since Goodyear, Pennsylvania district courts have indeed treated the “at home” language as a precedential requirement, and not illustrative. See, e.g., Cavanaugh v. Norton, 2014 WL 980815, at *3 (M.D.Pa.2014); Xia Zhao v. Skinner Engine Co., 2012 WL 5451817, at *5 (E.D.Pa.2012); Munsif v. Am. Bd. of Internal Med., 2012 WL 3962671, at *6 (E.D.Pa.2012).

 

*5 Here, even if the Court were to find that all of the Plaintiffs’ allegations concerning jurisdiction were true, general jurisdiction could still not apply. The facts that Union Pacific has entered into a series of contracts with Pennsylvania companies (as attested to by its various lawsuits here), that it maintains several employees in Pennsylvania, and that it contracts to ship goods to Pennsylvania, while establishing some consistent contacts with the forum state, are insufficient to render it “essentially at home” here. On this issue, the Helicopteros decision, which was cited heavily by the Goodyear Court, provides a helpful illustration. There, the Supreme Court held that a foreign company which “does not have a place of business in Texas and never has been licensed to do business in the State” could not be subject to general jurisdiction in Texas. Helicopteros, 466 U.S. at 416, 104 S.Ct. at 1873.

 

Basically, Helicol’s [a Colombia corporation] contacts with Texas consisted of sending its chief executive officer to Houston for a contract-negotiation session; accepting into its New York bank account checks drawn on a Houston bank; purchasing helicopters, equipment, and training services from Bell Helicopter [a corporation doing business in Texas] for substantial sums; and sending personnel to Bell’s facilities in Fort Worth for training.

 

Id.

 

Union Pacific’s acts of contracting with Pennsylvania corporations,FN4 whether for services performed inside or outside of Pennsylvania, as well its maintenance of a few low-level employees in Pennsylvania, if accepted as true for purposes of the present Motion, do not appear more “continuous and systematic” than those in Helicopteros, where an out-of-state defendant also negotiated with an in-state plaintiff and also accessed the forum state for certain occasional services. Therefore, the factual allegations laid out in the insurers’ Complaint and Briefs in Opposition to the present Motion do not state a prima facie case for general jurisdiction under Goodyear or Helicopteros.

 

FN4. As discussed above, (see pp. 5–6, supra ), the Court only reads the evidence of Union Pacific’s litigation in Pennsylvania courts to be judicially-noticed evidence of Union Pacific’s contacts with Pennsylvania, and not as evidence of whether Union Pacific has admitted in the past that jurisdiction over it in Pennsylvania is proper. “Because the requirement of personal jurisdiction represents first of all an individual right, it can, like other such rights, be waived.” Ins. Co. of Ireland, Ltd. v. Compagnie des Bauxites de Guinee, 456 U.S. 694, 703, 102 S.Ct. 2099, 2105, 72 L.Ed.2d 492 (1982). Thus, whether Union Pacific waived a personal jurisdiction defense as a plaintiff or defendant in previous Pennsylvania lawsuits is irrelevant here.

 

c. Specific Jurisdiction

Even though general jurisdiction does not exist, specific jurisdiction may still attach. “The Due Process Clause protects an individual’s liberty interest in not being subject to the binding judgments of a forum with which he has established no meaningful ‘contacts, ties, or relations.’ ” Burger King Corp. v. Rudzewicz, 471 U.S. 462, 471–72, 105 S.Ct. 2174, 2181, 85 L.Ed.2d 528 (1985) (quoting Int’l Shoe, 326 U.S. at 319, 66 S.Ct. at 160). A state may “assert specific jurisdiction over an out-of-state defendant who has not consented to suit there” only if “the defendant has purposefully directed his activities at residents of the forum and the litigation results from alleged injuries that arise out of or relate to those activities.” Burger King, 471 U.S. at 472, 105 S.Ct. at 2182 (internal citations and quotation marks omitted). “[T]he defendant’s conduct and connection with the forum State [must be] such that he should reasonably anticipate being haled into court there.”   World–Wide Volkswagen Corp. v. Woodson, 444 U.S. 286, 297, 100 S.Ct. 558, 567, 62 L.Ed.2d 490 (1980).

 

*6 In the case of J. Mclntyre Machinery Ltd. v. Nicastro, ––– U.S. ––––, 131 S.Ct. 2780, 180 L.Ed.2d 765 (2011), decided the same day as Goodyear, supra, a plurality of the Supreme Court elaborated on what connections are necessary to establish specific jurisdiction. The Nicastro Court clarified the meaning of its past use of the “stream of commerce” metaphor—whereby a defendant “plac[es] goods into the stream of commerce with the expectation that they will be purchased by consumers within the forum State”—in determining whether an out-of-state defendant had purposefully availed itself of the laws of a forum state. See id. at 2780 (citing Asahi Metal Indus. Co. v. Superior Court of California, 480 U.S. 102, 111–12, 107 S.Ct. 1026, 94 L.Ed.2d 92 (1987)). The Court stated that so placing goods in the stream of commerce

 

may indicate purposeful availment. But that statement does not amend the general rule of personal jurisdiction. It merely observes that a defendant may in an appropriate case be subject to jurisdiction without entering the forum—itself an unexceptional proposition—as where manufacturers or distributors “seek to serve” a given State’s market. The principal inquiry in cases of this sort is whether the defendant’s activities manifest an intention to submit to the power of a sovereign. In other words, the defendant must purposefully avail itself of the privilege of conducting activities within the forum State, thus invoking the benefits and protections of its laws.

 

Id. at 2788 (internal citations, alterations, and quotation marks omitted).

 

Consistent with the foregoing, the courts in the Third Circuit “undertake a three-part inquiry” in determining whether specific jurisdiction exists

 

First, the defendant must have “purposefully directed [its] activities” at the forum. Burger King[, 471 U.S. at 472, 105 S.Ct. at 2182]. Second, the litigation must “arise out of or relate to” at least one of those activities.   Helicopteros, 466 U.S. at 414, 104 S.Ct. at 1872; O’Connor, 496 F.3d at 317. And third, if the first two requirements have been met, a court may consider whether the exercise of jurisdiction otherwise “comport[s] with ‘fair play and substantial justice.’ ” Burger King, 471 U .S. at 476, 105 S.Ct. at 2184 (quoting Int’l Shoe, 326 U.S. at 320, 66 S.Ct. at 160).

 

D’Jamoos ex rel. Estate of Weingeroff v. Pilatus Aircraft Ltd., 566 F.3d 94, 102 (3d Cir.2009).

 

Here, it is arguable that Union Pacific availed itself of Pennsylvania in several ways. By employing people here, soliciting job applicants here, and contracting with other carriers to ship goods to Pennsylvania, one could plausibly argue that they “deliberately targeted” the Pennsylvania forum. See O’Connor, 496 F.3d at 317 (“[For purposes of showing purposeful availment, physical entrance is not required…. But what is necessary is a deliberate targeting of the forum.”).

 

*7 However, even if this is so, the second prong cannot apply. There is no evidence that the acts constituting the purposeful availment “arise out of relate to” the circumstances underlying this litigation. Instead, the allegations before the Court show that this litigation arises out of an accident in Oklahoma. (Compl., Doc. 1, at ¶ 17.) Moreover, DeAngelo’s contract with Union Pacific was made “to perform certain vegetation control services at public grade crossings throughout [Union Pacific’s] railroad system,” (id. at ¶ 21), which, as discussed above, is based entirely in the western states. (See also Doc. 37 at 10 (noting that “none of the work specified in the contract was performed in Pennsylvania (or Nebraska)”).) While it is true that DeAngelo Brothers is a Pennsylvania corporation, (Compl. at ¶ 5), its president’s sworn affidavit states that DeAngelo only submitted a bid for the Union Pacific contract “after seeing [an] online request for proposal,” (see Doc. 15–2 at ¶ 2). In so doing, he states that DeAngelo Brothers “reached out to Union Pacific in Nebraska. Union Pacific did not approach [DeAngelo Brothers] in Pennsylvania.” (Id.) And while DeAngelo did procure the insurance policies at issue here—presumably from its Pennsylvania offices—to cover Union Pacific as well as itself, these policies solely cover the work that was subject to the contract between Union Pacific and DeAngelo: that is, work done entirely outside of Pennsylvania. (See generally Compl. at ¶¶ 21–43; see also id., Ex. C (American Home policy); id., Ex. D (Colony policy).)

 

Therefore, even if the Court were to agree with Plaintiffs’ factual hypothesis that DeAngelo executed the contract, received payments under it, and/or negotiated its terms by telephone from its Pennsylvania headquarters, (see Doc. 37 at 10–12), the ultimate conclusion would not change. None of these are activities that demonstrate an attempt by Union Pacific to avail itself of the benefits and protections of Pennsylvania law. DeAngelo’s residency would be irrelevant to Union Pacific under such circumstances, given that the contract entirely concerns activities outside of Pennsylvania. Thus, all else being equal, whether DeAngelo was a Pennsylvanian, Floridian, French, or Japanese corporation (or indeed any other kind) would be of no instance to Union Pacific and would not be expected to have any impact on the rights and duties at issue under the contract.

 

d. Jurisdictional Discovery

The Plaintiffs request that, if the Court does not find that Pennsylvania may maintain jurisdiction over Union Pacific, they “should be permitted to conduct jurisdictional discovery in order to refute Union Pacific’s contention that it is not subject to personal jurisdiction in Pennsylvania.” (Doc. 37 at 2; see also Doc. 45 at 12–13.) The Third Circuit has “explained that if ‘the plaintiffs claim is not clearly frivolous [as to the basis for personal jurisdiction], the district court should ordinarily allow discovery on jurisdiction in order to aid the plaintiff in discharging that burden.’ ”   Metcalfe, 566 F.3d at 336 (quoting Compagnie Des Bauxites de Guinee v. L’Union Atlantique S.A. d’Assurances, 723 F.2d 357, 362 (3d Cir.1983)).

 

*8 While the Court does not now believe that personal jurisdiction exists based on the materials provided thus far, it also does not believe that Plaintiffs’ claim is “clearly frivolous.” Therefore, the Court will permit jurisdictional discovery rather than dismiss Union Pacific as a defendant at this time. The parties shall have ninety days to conduct discovery relevant to Union Pacific’s contacts with Pennsylvania, in order to provide a fuller record as to whether general and/or specific jurisdiction exist.

 

In the interim, Union Pacific’s Motion to Dismiss will be denied without prejudice. Union Pacific will be granted leave to resubmit its Motion at the close of jurisdictional discovery in the event that Union Pacific believes, upon the close of jurisdictional discovery, that there has been no material change to the facts discussed in this Opinion.

 

V. Conclusion

Based on the foregoing considerations, Defendant Union Pacific’s Motion to Dismiss for Lack of Personal Jurisdiction (Doc. 15) is DENIED WITHOUT PREJUDICE, with leave to resubmit at the close of jurisdictional discovery. A separate Order follows.

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