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-CITE-
28 USC APPENDIX TITLE 28 - APPENDIX 01/03/2007

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TITLE 28 - APPENDIX

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TITLE 28 - APPENDIX

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Item
Page

Judicial Personnel Financial Disclosure Requirements (Repealed) 1
Development of Mechanisms for Resolving Minor Disputes (Omitted) 2
Federal Rules of Appellate Procedure 3
Federal Rules of Civil Procedure 76
Federal Rules of Evidence 314


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28 USC APPENDIX JUDICIAL PERSONNEL FINANCIAL
DISCLOSURE REQUIREMENTS 01/03/2007

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TITLE 28 - APPENDIX
JUDICIAL PERSONNEL FINANCIAL DISCLOSURE REQUIREMENTS

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JUDICIAL PERSONNEL FINANCIAL DISCLOSURE REQUIREMENTS

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[Title III (Secs. 301-309) of Pub. L. 95-521, Oct. 26, 1978, 92
Stat. 1851-1861, as amended by Pub. L. 96-19, Secs. 2(a)(3),
(c)(3), 3(a)(3), (b), 4(c), 6, 7(a)-(c), (d)(2), (e), (f), 8(c),
9(c)(3), (d), (j), (p)-(r), June 13, 1979, 93 Stat. 37-43; Pub. L.
96-417, title VI, Sec. 601(9), Oct. 10, 1980, 94 Stat. 1744; Pub.
L. 96-579, Sec. 12(c), Dec. 23, 1980, 94 Stat. 3369; Pub. L. 97-
164, title I, Sec. 163(a)(6), Apr. 2, 1982, 96 Stat. 49; Pub. L.
98-150, Sec. 10, Nov. 11, 1983, 97 Stat. 962; Pub. L. 99-514, Sec.
2, Oct. 22, 1986, 100 Stat. 2095; Pub. L. 99-573, Sec. 6, Oct. 28,
1986, 100 Stat. 3231; Pub. L. 101-237, title VI, Sec. 602(a)(1),
Dec. 18, 1989, 103 Stat. 2094, which related to judicial personnel
financial disclosure requirements, was repealed by Pub. L. 101-194,
title II, Sec. 201, Nov. 30, 1989, 103 Stat. 1724. See title I of
the Ethics in Government Act of 1978, Pub. L. 95-521, as amended,
relating to financial disclosure requirements of Federal personnel,
set out in the Appendix to Title 5, Government Organization and
Employees.]

EFFECTIVE DATE OF REPEAL
Repeal effective Jan. 1, 1991, see section 204 of Pub. L. 101-
194, set out as an Effective Date of 1989 Amendment note under
section 101 of Pub. L. 95-521 in the Appendix to Title 5,
Government Organization and Employees.
Provisions of title III of Pub. L. 95-521, as in effect prior to
Nov. 30, 1989, effective until Jan. 1, 1991, as if Pub. L. 101-194
had not been enacted, and nothing in title II of Pub. L. 101-194 to
be construed to prevent prosecution of civil actions against
individuals for violations of title III of Pub. L. 95-521 before
Jan. 1, 1991, see section 3(10)(C), (D) of Pub. L. 101-280, set out
as an Effective Date of 1989 Amendment note under section 101 of
Pub. L. 95-521 in the Appendix to Title 5.
TITLE 28, APPENDIX - DEVELOPMENT OF MECHANISMS FOR RESOLVING MINOR DISPUTES

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-CITE-
28 USC APPENDIX DEVELOPMENT OF MECHANISMS FOR
RESOLVING MINOR DISPUTES 01/03/2007

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TITLE 28 - APPENDIX
DEVELOPMENT OF MECHANISMS FOR RESOLVING MINOR DISPUTES

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DEVELOPMENT OF MECHANISMS FOR RESOLVING MINOR DISPUTES


-MISC1-


-COD-
CODIFICATION
Pub. L. 96-190, Feb. 12, 1980, 94 Stat. 17, known as the Dispute
Resolution Act, provided for the establishment and maintenance of
mechanisms for resolving minor disputes, established the Dispute
Resolution Resource Center and Dispute Resolution Advisory Board,
prescribed duties for the Center and Board, authorized
appropriations for the Center and Board of $1,000,000 for each of
the fiscal years 1980, 1981, 1982, 1983, and 1984, directed that
financial assistance to eligible applicants be in the form of
grants, prescribed conditions for such grants, authorized
appropriations for such grants of $10,000,000 for each of the
fiscal years 1981, 1982, 1983, and 1984, and required an annual
report by the Attorney General to the President and Congress
relating to the administration of Pub. L. 96-190.
TITLE 28, APPENDIX - RULES OF APPELLATE PROCEDURE

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28 USC APPENDIX FEDERAL RULES OF APPELLATE
PROCEDURE 01/03/2007

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TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE

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FEDERAL RULES OF APPELLATE PROCEDURE


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(AS AMENDED TO JANUARY 3, 2007)



HISTORICAL NOTE
The Federal Rules of Appellate Procedure were adopted by order of
the Supreme Court on Dec. 4, 1967, transmitted to Congress by the
Chief Justice on Jan. 15, 1968, and became effective on July 1,
1968.
The Rules have been amended Mar. 30, 1970, eff. July 1, 1970;
Mar. 1, 1971, eff. July 1, 1971; Apr. 24, 1972, eff. Oct. 1, 1972;
Apr. 30, 1979, eff. Aug. 1, 1979; Oct. 12, 1984, Pub. L. 98-473,
title II, Sec. 210, 98 Stat 1987; Mar. 10, 1986, eff. July 1, 1986;
Nov. 18, 1988, Pub. L. 100-690, title VII, Sec. 7111, 102 Stat.
4419; Apr. 25, 1989, eff. Dec. 1, 1989; Apr. 30, 1991, eff. Dec. 1,
1991; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 29, 1994, eff. Dec. 1,
1994; Apr. 27, 1995, eff. Dec. 1, 1995; Apr. 23, 1996, eff. Dec. 1,
1996; Apr. 24, 1996, Pub. L. 104-132, title I, Sec. 103, 110 Stat.
1218; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1,
2002; Mar. 27, 2003, eff. Dec. 1, 2003; Apr. 25, 2005, eff. Dec. 1,
2005; Apr. 12, 2006, eff. Dec. 1, 2006.

TITLE I. APPLICABILITY OF RULES
Rule
1. Scope of Rules; Title.
2. Suspension of Rules.

TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT
3. Appeal as of Right - How Taken.
[3.1. Abrogated.]
4. Appeal as of Right - When Taken.
5. Appeal by Permission.
[5.1. Abrogated.]
6. Appeal in a Bankruptcy Case from a Final Judgment,
Order, or Decree of a District Court or Bankruptcy
Appellate Panel.
7. Bond for Costs on Appeal in a Civil Case.
8. Stay or Injunction Pending Appeal.
9. Release in a Criminal Case.
10. The Record on Appeal.
11. Forwarding the Record.
12. Docketing the Appeal; Filing a Representation
Statement; Filing the Record.

TITLE III. REVIEW OF A DECISION OF THE UNITED STATES TAX COURT
13. Review of a Decision of the Tax Court.
14. Applicability of Other Rules to the Review of a Tax
Court Decision.

TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER
15. Review or Enforcement of an Agency Order - How
Obtained; Intervention.
15.1. Briefs and Oral Argument in a National Labor Relations
Board Proceeding.
16. The Record on Review or Enforcement.
17. Filing the Record.
18. Stay Pending Review.
19. Settlement of a Judgment Enforcing an Agency Order in
Part.
20. Applicability of Rules to the Review or Enforcement of
an Agency Order.

TITLE V. EXTRAORDINARY WRITS
21. Writs of Mandamus and Prohibition, and Other
Extraordinary Writs.

TITLE VI. HABEAS CORPUS; PROCEEDINGS IN FORMA PAUPERIS
22. Habeas Corpus and Section 2255 Proceedings.
23. Custody or Release of a Prisoner in a Habeas Corpus
Proceeding.
24. Proceeding in Forma Pauperis.

TITLE VII. GENERAL PROVISIONS
25. Filing and Service.
26. Computing and Extending Time.
26.1. Corporate Disclosure Statement.
27. Motions.
28. Briefs.
28.1. Cross-Appeals.
29. Brief of an Amicus Curiae.
30. Appendix to the Briefs.
31. Serving and Filing Briefs.
32. Form of Briefs, Appendices, and Other Papers.
32.1. Citing Judicial Dispositions.
33. Appeal Conferences.
34. Oral Argument.
35. En Banc Determination.
36. Entry of Judgment; Notice.
37. Interest on Judgment.
38. Frivolous Appeal - Damages and Costs.
39. Costs.
40. Petition for Panel Rehearing.
41. Mandate: Contents; Issuance and Effective Date; Stay.
42. Voluntary Dismissal.
43. Substitution of Parties.
44. Case Involving a Constitutional Question When the
United States or the Relevant State is Not a Party.
45. Clerk's Duties.
46. Attorneys.
47. Local Rules by Courts of Appeals.
48. Masters.

APPENDIX OF FORMS
Form
1. Notice of Appeal to a Court of Appeals From a Judgment
or Order of a District Court.
2. Notice of Appeal to a Court of Appeals From a Decision
of the United States Tax Court.
3. Petition for Review of Order of an Agency, Board,
Commission or Officer.
4. Affidavit to Accompany Motion for Leave to Appeal in
Forma Pauperis.
5. Notice of Appeal to a Court of Appeals from a Judgment
or Order of a District Court or a Bankruptcy
Appellate Panel.
6. Certificate of Compliance With Rule 32(a).

EFFECTIVE DATE AND APPLICATION OF RULES
Section 2 of the Order of the Supreme Court, dated Dec. 4, 1967,
provided: "That the foregoing rules shall take effect on July 1,
1968, and shall govern all proceedings in appeals and petitions for
review or enforcement of orders thereafter brought in and in all
such proceedings then pending, except to the extent that in the
opinion of the court of appeals their application in a particular
proceeding then pending would not be feasible or would work
injustice, in which case the former procedure may be followed."

EFFECTIVE DATE OF 1970 AMENDMENT; TRANSMISSION TO CONGRESS
Sections 2 and 3 of the Order of the Supreme Court, dated Mar.
30, 1970, provided:
"2. That the foregoing amendments to the Federal Rules of
Appellate Procedure shall take effect on July 1, 1970, and shall
govern all proceedings in actions brought thereafter and also in
all further proceedings in actions then pending, except to the
extent that in the opinion of the court their application in a
particular action then pending would not be feasible or would work
injustice, in which event the former procedure applies.
"3. That the Chief Justice be, and he hereby is, authorized to
transmit to the Congress the foregoing amendments to existing
rules, in accordance with the provisions of Title 18, U.S.C., Sec.
3372, and Title 28, U.S.C., Secs. 2072 and 2075."

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28 USC APPENDIX TITLE I. APPLICABILITY OF RULES 01/03/2007

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TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE I. APPLICABILITY OF RULES

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TITLE I. APPLICABILITY OF RULES

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-CITE-
28 USC APPENDIX Rule 1 01/03/2007

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TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE I. APPLICABILITY OF RULES

-HEAD-
Rule 1. Scope of Rules; Title

-STATUTE-
(a) Scope of Rules.
(1) These rules govern procedure in the United States courts of
appeals.
(2) When these rules provide for filing a motion or other
document in the district court, the procedure must comply with
the practice of the district court.

(b) [Abrogated.]
(c) Title. These rules are to be known as the Federal Rules of
Appellate Procedure.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Apr. 25, 1989, eff.
Dec. 1, 1989; Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
These rules are drawn under the authority of 28 U.S.C. Sec. 2072,
as amended by the Act of November 6, 1966, 80 Stat. 1323 (1 U.S.
Code Cong. & Ad. News, p. 1546 (1966)) (Rules of Civil Procedure);
28 U.S.C. Sec. 2075 (Bankruptcy Rules); and 18 U.S.C. Secs. 3771
(Procedure to and including verdict) and 3772 (Procedure after
verdict). Those statutes combine to give to the Supreme Court power
to make rules of practice and procedure for all cases within the
jurisdiction of the courts of appeals. By the terms of the
statutes, after the rules have taken effect all laws in conflict
with them are of no further force or effect. Practice and procedure
in the eleven courts of appeals are now regulated by rules
promulgated by each court under the authority of 28 U.S.C. Sec.
2071. Rule 47 expressly authorizes the courts of appeals to make
rules of practice not inconsistent with these rules.
As indicated by the titles under which they are found, the
following rules are of special application: Rules 3 through 12
apply to appeals from judgments and orders of the district courts;
Rules 13 and 14 apply to appeals from decisions of the Tax Court
(Rule 13 establishes an appeal as the mode of review of decisions
of the Tax Court in place of the present petition for review);
Rules 15 through 20 apply to proceedings for review or enforcement
of orders of administrative agencies, boards, commissions and
officers. Rules 22 through 24 regulate habeas corpus proceedings
and appeals in forma pauperis. All other rules apply to all
proceedings in the courts of appeals.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The Federal Rules of Appellate Procedure were designed as an
integrated set of rules to be followed in appeals to the courts of
appeals, covering all steps in the appellate process, whether they
take place in the district court or in the court of appeals, and
with their adoption Rules 72-76 of the F.R.C.P. were abrogated. In
some instances, however, the F.R.A.P. provide that a motion or
application for relief may, or must, be made in the district court.
See Rules 4(a), 10(b), and 24. The proposed amendment would make it
clear that when this is so the motion or application is to be made
in the form and manner prescribed by the F.R.C.P. or F.R.Cr.P. and
local rules relating to the form and presentation of motions and is
not governed by Rule 27 of the F.R.A.P. See Rule 7(b) of the
F.R.C.P. and Rule 47 of the F.R.Cr.P.

NOTES OF ADVISORY COMMITTEE ON RULES - 1989 AMENDMENT
The amendment is technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (c). A new subdivision is added to the rule. The text
of new subdivision (c) has been moved from Rule 48 to Rule 1 to
allow the addition of new rules at the end of the existing set of
appellate rules without burying the title provision among other
rules. In a similar fashion the Bankruptcy Rules combine the
provisions governing the scope of the rules and the title in the
first rule.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only. The
Advisory Committee recommends deleting the language in subdivision
(a) that describes the different types of proceedings that may be
brought in a court of appeals. The Advisory Committee believes that
the language is unnecessary and that its omission does not work any
substantive change.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (b). Two recent enactments make it likely that, in
the future, one or more of the Federal Rules of Appellate Procedure
("FRAP") will extend or limit the jurisdiction of the courts of
appeals. In 1990, Congress amended the Rules Enabling Act to give
the Supreme Court authority to use the federal rules of practice
and procedure to define when a ruling of a district court is final
for purposes of 28 U.S.C. Sec. 1291. See 28 U.S.C. Sec. 2072(c). In
1992, Congress amended 28 U.S.C. Sec. 1292 to give the Supreme
Court authority to use the federal rules of practice and procedure
to provide for appeals of interlocutory decisions that are not
already authorized by 28 U.S.C. Sec. 1292. See 28 U.S.C. Sec.
1292(e). Both Sec. 1291 and Sec. 1292 are unquestionably
jurisdictional statutes, and thus, as soon as FRAP is amended to
define finality for purposes of the former or to authorize
interlocutory appeals not provided for by the latter, FRAP will
"extend or limit the jurisdiction of the courts of appeals," and
subdivision (b) will become obsolete. For that reason, subdivision
(b) has been abrogated.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

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-CITE-
28 USC APPENDIX Rule 2 01/03/2007

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TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE I. APPLICABILITY OF RULES

-HEAD-
Rule 2. Suspension of Rules

-STATUTE-
On its own or a party's motion, a court of appeals may - to
expedite its decision or for other good cause - suspend any
provision of these rules in a particular case and order proceedings
as it directs, except as otherwise provided in Rule 26(b).

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The primary purpose of this rule is to make clear the power of
the courts of appeals to expedite the determination of cases of
pressing concern to the public or to the litigants by prescribing a
time schedule other than that provided by the rules. The rule also
contains a general authorization to the courts to relieve litigants
of the consequences of default where manifest injustice would
otherwise result. Rule 26(b) prohibits a court of appeals from
extending the time for taking appeal or seeking review.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

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-CITE-
28 USC APPENDIX TITLE II. APPEAL FROM A JUDGMENT
OR ORDER OF A DISTRICT COURT 01/03/2007

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TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

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-CITE-
28 USC APPENDIX Rule 3 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 3. Appeal as of Right - How Taken

-STATUTE-
(a) Filing the Notice of Appeal.
(1) An appeal permitted by law as of right from a district
court to a court of appeals may be taken only by filing a notice
of appeal with the district clerk within the time allowed by Rule
4. At the time of filing, the appellant must furnish the clerk
with enough copies of the notice to enable the clerk to comply
with Rule 3(d).
(2) An appellant's failure to take any step other than the
timely filing of a notice of appeal does not affect the validity
of the appeal, but is ground only for the court of appeals to act
as it considers appropriate, including dismissing the appeal.
(3) An appeal from a judgment by a magistrate judge in a civil
case is taken in the same way as an appeal from any other
district court judgment.
(4) An appeal by permission under 28 U.S.C. Sec. 1292(b) or an
appeal in a bankruptcy case may be taken only in the manner
prescribed by Rules 5 and 6, respectively.

(b) Joint or Consolidated Appeals.
(1) When two or more parties are entitled to appeal from a
district-court judgment or order, and their interests make
joinder practicable, they may file a joint notice of appeal. They
may then proceed on appeal as a single appellant.
(2) When the parties have filed separate timely notices of
appeal, the appeals may be joined or consolidated by the court of
appeals.

(c) Contents of the Notice of Appeal.
(1) The notice of appeal must:
(A) specify the party or parties taking the appeal by naming
each one in the caption or body of the notice, but an attorney
representing more than one party may describe those parties
with such terms as "all plaintiffs," "the defendants," "the
plaintiffs A, B, et al.," or "all defendants except X";
(B) designate the judgment, order, or part thereof being
appealed; and
(C) name the court to which the appeal is taken.

(2) A pro se notice of appeal is considered filed on behalf of
the signer and the signer's spouse and minor children (if they
are parties), unless the notice clearly indicates otherwise.
(3) In a class action, whether or not the class has been
certified, the notice of appeal is sufficient if it names one
person qualified to bring the appeal as representative of the
class.
(4) An appeal must not be dismissed for informality of form or
title of the notice of appeal, or for failure to name a party
whose intent to appeal is otherwise clear from the notice.
(5) Form 1 in the Appendix of Forms is a suggested form of a
notice of appeal.

(d) Serving the Notice of Appeal.
(1) The district clerk must serve notice of the filing of a
notice of appeal by mailing a copy to each party's counsel of
record - excluding the appellant's - or, if a party is proceeding
pro se, to the party's last known address. When a defendant in a
criminal case appeals, the clerk must also serve a copy of the
notice of appeal on the defendant, either by personal service or
by mail addressed to the defendant. The clerk must promptly send
a copy of the notice of appeal and of the docket entries - and
any later docket entries - to the clerk of the court of appeals
named in the notice. The district clerk must note, on each copy,
the date when the notice of appeal was filed.
(2) If an inmate confined in an institution files a notice of
appeal in the manner provided by Rule 4(c), the district clerk
must also note the date when the clerk docketed the notice.
(3) The district clerk's failure to serve notice does not
affect the validity of the appeal. The clerk must note on the
docket the names of the parties to whom the clerk mails copies,
with the date of mailing. Service is sufficient despite the death
of a party or the party's counsel.

(e) Payment of Fees. Upon filing a notice of appeal, the
appellant must pay the district clerk all required fees. The
district clerk receives the appellate docket fee on behalf of the
court of appeals.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 25, 1989, eff. Dec. 1, 1989; Apr. 22, 1993, eff.
Dec. 1, 1993; Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
General Note. Rule 3 and Rule 4 combine to require that a notice
of appeal be filed with the clerk of the district court within the
time prescribed for taking an appeal. Because the timely filing of
a notice of appeal is "mandatory and jurisdictional," United States
v. Robinson, 361 U.S. 220, 224, 80 S.Ct. 282, 4 L.Ed.2d 259 (1960),
compliance with the provisions of those rules is of the utmost
importance. But the proposed rules merely restate, in modified
form, provisions now found in the civil and criminal rules (FRCP
5(e), 73; FRCrP 37), and decisions under the present rules which
dispense with literal compliance in cases in which it cannot fairly
be exacted should control interpretation of these rules.
Illustrative decisions are: Fallen v. United States, 378 U.S. 139,
84 S.Ct. 1689, 12 L.Ed.2d 760 (1964) (notice of appeal by a
prisoner, in the form of a letter delivered, well within the time
fixed for appeal, to prison authorities for mailing to the clerk of
the district court held timely filed notwithstanding that it was
received by the clerk after expiration of the time for appeal; the
appellant "did all he could" to effect timely filing); Richey v.
Wilkins, 335 F.2d 1 (2d Cir. 1964) (notice filed in the court of
appeals by a prisoner without assistance of counsel held
sufficient); Halfen v. United States, 324 F.2d 52 (10th Cir. 1963)
(notice mailed to district judge in time to have been received by
him in normal course held sufficient); Riffle v. United States, 299
F.2d 802 (5th Cir. 1962) (letter of prisoner to judge of court of
appeals held sufficient). Earlier cases evidencing "a liberal view
of papers filed by indigent and incarcerated defendants" are listed
in Coppedge v. United States, 369 U.S. 438, 442, n. 5, 82 S.Ct.
917, 8 L.Ed.2d 21 (1962).
Subdivision (a). The substance of this subdivision is derived
from FRCP 73(a) and FRCrP 37(a)(1). The proposed rule follows those
rules in requiring nothing other than the filing of a notice of
appeal in the district court for the perfection of the appeal. The
petition for allowance (except for appeals governed by Rules 5 and
6), citations, assignments of error, summons and severance - all
specifically abolished by earlier modern rules - are assumed to be
sufficiently obsolete as no longer to require pointed abolition.
Subdivision (b). The first sentence is derived from FRCP 74. The
second sentence is added to encourage consolidation of appeals
whenever feasible.
Subdivision (c). This subdivision is identical with corresponding
provisions in FRCP 73(b) and FRCrP 37(a)(1).
Subdivision (d). This subdivision is derived from FRCP 73(b) and
FRCrP 37(a)(1). The duty of the clerk to forward a copy of the
notice of appeal and of the docket entries to the court of appeals
in a criminal case extended to habeas corpus and 28 U.S.C. Sec.
2255 proceedings.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Subdivision (c). The proposed amendment would add the last
sentence. Because of the fact that the timely filing of the notice
of appeal has been characterized as jurisdictional (See, e.g.,
Brainerd v. Beal (C.A. 7th, 1974) 498 F.2d 901, in which the filing
of a notice of appeal one day late was fatal), it is important that
the right to appeal not be lost by mistakes of mere form. In a
number of decided cases it has been held that so long as the
function of notice is met by the filing of a paper indicating an
intention to appeal, the substance of the rule has been complied
with. See, e.g., Cobb v. Lewis (C.A. 5th, 1974) 488 F.2d 41; Holley
v. Capps (C.A. 5th, 1972) 468 F.2d 1366. The proposed amendment
would give recognition to this practice.
When a notice of appeal is filed, the clerk should ascertain
whether any judgment designated therein has been entered in
compliance with Rules 58 and 79(a) of the F.R.C.P. See Note to Rule
4(a)(6), infra.
Subdivision (d). The proposed amendment would extend to civil
cases the present provision applicable to criminal cases, habeas
corpus cases, and proceedings under 28 U.S.C. Sec. 2255, requiring
the clerk of the district court to transmit to the clerk of the
court of appeals a copy of the notice of appeal and of the docket
entries, which should include reference to compliance with the
requirements for payment of fees. See Note to (e), infra.
This requirement is the initial step in proposed changes in the
rules to place in the court of appeals an increased practical
control over the early steps in the appeal.
Subdivision (e). Proposed new Rule 3(e) represents the second
step in shifting to the court of appeals the control of the early
stages of an appeal. See Note to Rule 3(d) above. Under the present
rules the payment of the fee prescribed by 28 U.S.C. 1917 is not
covered. Under the statute, however, this fee is paid to the clerk
of the district court at the time the notice of appeal is filed.
Under present Rule 12, the "docket fee" fixed by the Judicial
Conference of the United States under 28 U.S.C. Sec. 1913 must be
paid to the clerk of the court of appeals within the time fixed for
transmission of the record, ". . . and the clerk shall thereupon
enter the appeal upon the docket."
Under the proposed new Rule 3(e) both fees would be paid to the
clerk of the district court at the time the notice of appeal is
filed, the clerk of the district court receiving the docket fee on
behalf of the court of appeals.
In view of the provision in Rule 3(a) that "[f]ailure of an
appellant to take any step other than the timely filing of a notice
of appeal does not affect the validity of the appeal, but is ground
only for such action as the court of appeals deems appropriate,
which may include dismissal of the appeal," the case law indicates
that the failure to prepay the statutory filing fee does not
constitute a jurisdictional defect. See Parissi v. Telechron, 349
U.S. 46 (1955); Gould v. Members of N. J. Division of Water Policy
& Supply, 555 F.2d 340 (3d Cir. 1977). Similarly, under present
Rule 12, failure to pay the docket fee within the time prescribed
may be excused by the court of appeals. See, e. g., Walker v.
Mathews, 546 F.2d 814 (9th Cir. 1976). Proposed new Rule 3(e)
adopts the view of these cases, requiring that both fees be paid at
the time the notice of appeal is filed, but subject to the
provisions of Rule 26(b) preserving the authority of the court of
appeals to permit late payment.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rule 3(d) are technical. No substantive change
is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1989 AMENDMENT
The amendment is technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Note to subdivision (c). The amendment is intended to reduce the
amount of satellite litigation spawned by the Supreme Court's
decision in Torres v. Oakland Scavenger Co., 487 U.S. 312 (1988).
In Torres the Supreme Court held that the language in Rule 3(c)
requiring a notice of appeal to "specify the party or parties
taking the appeal" is a jurisdictional requirement and that naming
the first named party and adding "et al.," without any further
specificity is insufficient to identify the appellants. Since the
Torres decision, there has been a great deal of litigation
regarding whether a notice of appeal that contains some indication
of the appellants' identities but does not name the appellants is
sufficiently specific.
The amendment states a general rule that specifying the parties
should be done by naming them. Naming an appellant in an otherwise
timely and proper notice of appeal ensures that the appellant has
perfected an appeal. However, in order to prevent the loss of a
right to appeal through inadvertent omission of a party's name or
continued use of such terms as "et al.," which are sufficient in
all district court filings after the complaint, the amendment
allows an attorney representing more than one party the flexibility
to indicate which parties are appealing without naming them
individually. The test established by the rule for determining
whether such designations are sufficient is whether it is
objectively clear that a party intended to appeal. A notice of
appeal filed by a party proceeding pro se is filed on behalf of the
party signing the notice and the signer's spouse and minor
children, if they are parties, unless the notice clearly indicates
a contrary intent.
In class actions, naming each member of a class as an appellant
may be extraordinarily burdensome or even impossible. In class
actions if class certification has been denied, named plaintiffs
may appeal the order denying the class certification on their own
behalf and on behalf of putative class members, United States
Parole Comm'n v. Geraghty, 445 U.S. 388 (1980); or if the named
plaintiffs choose not to appeal the order denying the class
certification, putative class members may appeal, United Airlines,
Inc. v. McDonald, 432 U.S. 385 (1977). If no class has been
certified, naming each of the putative class members as an
appellant would often be impossible. Therefore the amendment
provides that in class actions, whether or not the class has been
certified, it is sufficient for the notice to name one person
qualified to bring the appeal as a representative of the class.
Finally, the rule makes it clear that dismissal of an appeal
should not occur when it is otherwise clear from the notice that
the party intended to appeal. If a court determines it is
objectively clear that a party intended to appeal, there are
neither administrative concerns nor fairness concerns that should
prevent the appeal from going forward.
Note to subdivision (d). The amendment requires the district
court clerk to send to the clerk of the court of appeals a copy of
every docket entry in a case after the filing of a notice of
appeal. This amendment accompanies the amendment to Rule 4(a)(4),
which provides that when one of the posttrial motions enumerated in
Rule 4(a)(4) is filed, a notice of appeal filed before the
disposition of the motion becomes effective upon disposition of the
motion. The court of appeals needs to be advised that the filing of
a posttrial motion has suspended a notice of appeal. The court of
appeals also needs to know when the district court has ruled on the
motion. Sending copies of all docket entries after the filing of a
notice of appeal should provide the courts of appeals with the
necessary information.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). The amendment requires a party filing a notice
of appeal to provide the court with sufficient copies of the notice
for service on all other parties.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are generally intended to be stylistic only;
in this rule, however, substantive changes are made in subdivisions
(a), (b), and (d).
Subdivision (a). The provision in paragraph (a)(3) is transferred
from former Rule 3.1(b). The Federal Courts Improvement Act of
1996, Pub. L. No. 104-317, repealed paragraphs (4) and (5) of 28
U.S.C. Sec. 636(c). That statutory change made the continued
separate existence of Rule 3.1 unnecessary. New paragraph (a)(3) of
this rule simply makes it clear that an appeal from a judgment by a
magistrate judge is taken in identical fashion to any other appeal
from a district-court judgment.
Subdivision (b). A joint appeal is authorized only when two or
more persons may appeal from a single judgment or order. A joint
appeal is treated as a single appeal and the joint appellants file
a single brief. Under existing Rule 3(b) parties decide whether to
join their appeals. They may do so by filing a joint notice of
appeal or by joining their appeals after filing separate notices of
appeal.
In consolidated appeals the separate appeals do not merge into
one. The parties do not proceed as a single appellant. Under
existing Rule 3(b) it is unclear whether appeals may be
consolidated without court order if the parties stipulate to
consolidation. The language resolves that ambiguity by requiring
court action.
The language also requires court action to join appeals after
separate notices of appeal have been filed.
Subdivision (d). Paragraph (d)(2) has been amended to require
that when an inmate files a notice of appeal by depositing the
notice in the institution's internal mail system, the clerk must
note the docketing date - rather than the receipt date - on the
notice of appeal before serving copies of it. This change conforms
to a change in Rule 4(c). Rule 4(c) is amended to provide that when
an inmate files the first notice of appeal in a civil case by
depositing the notice in an institution's internal mail system, the
time for filing a cross-appeal runs from the date the district
court dockets the inmate's notice of appeal. Existing Rule 4(c)
says that in such a case the time for filing a cross-appeal runs
from the date the district court receives the inmate's notice of
appeal. A court may "receive" a paper when its mail is delivered to
it even if the mail is not processed for a day or two, making the
date of receipt uncertain. "Docketing" is an easily identified
event. The change is made to eliminate the uncertainty.

-End-



-CITE-
28 USC APPENDIX Rule 3.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
[Rule 3.1. Appeal from a Judgment of a Magistrate Judge in a Civil
Case] (Abrogated Apr. 24, 1998, eff. Dec. 1, 1998)


-STATUTE-

-MISC1-
COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The Federal Courts Improvement Act of 1996, Pub. L. No. 104-317,
repealed paragraphs (4) and (5) of 28 U.S.C. Sec. 636(c). That
statutory change means that when parties consent to trial before a
magistrate judge, appeal lies directly, and as a matter of right,
to the court of appeals under Sec. 636(c)(3). The parties may not
choose to appeal first to a district judge and thereafter seek
discretionary review in the court of appeals.
As a result of the statutory amendments, subdivision (a) of Rule
3.1 is no longer necessary. Since Rule 3.1 existed primarily
because of the provisions in subdivision (a), subdivision (b) has
been moved to Rule 3(a)(3) and Rule 3.1 has been abrogated.

-End-



-CITE-
28 USC APPENDIX Rule 4 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 4. Appeal as of Right - When Taken

-STATUTE-
(a) Appeal in a Civil Case.
(1) Time for Filing a Notice of Appeal.
(A) In a civil case, except as provided in Rules 4(a)(1)(B),
4(a)(4), and 4(c), the notice of appeal required by Rule 3 must
be filed with the district clerk within 30 days after the
judgment or order appealed from is entered.
(B) When the United States or its officer or agency is a
party, the notice of appeal may be filed by any party within 60
days after the judgment or order appealed from is entered.
(C) An appeal from an order granting or denying an
application for a writ of error coram nobis is an appeal in a
civil case for purposes of Rule 4(a).

(2) Filing Before Entry of Judgment. A notice of appeal filed
after the court announces a decision or order - but before the
entry of the judgment or order - is treated as filed on the date
of and after the entry.
(3) Multiple Appeals. If one party timely files a notice of
appeal, any other party may file a notice of appeal within 14
days after the date when the first notice was filed, or within
the time otherwise prescribed by this Rule 4(a), whichever period
ends later.
(4) Effect of a Motion on a Notice of Appeal.
(A) If a party timely files in the district court any of the
following motions under the Federal Rules of Civil Procedure,
the time to file an appeal runs for all parties from the entry
of the order disposing of the last such remaining motion:
(i) for judgment under Rule 50(b);
(ii) to amend or make additional factual findings under
Rule 52(b), whether or not granting the motion would alter
the judgment;
(iii) for attorney's fees under Rule 54 if the district
court extends the time to appeal under Rule 58;
(iv) to alter or amend the judgment under Rule 59;
(v) for a new trial under Rule 59; or
(vi) for relief under Rule 60 if the motion is filed no
later than 10 days after the judgment is entered.

(B)(i) If a party files a notice of appeal after the court
announces or enters a judgment - but before it disposes of any
motion listed in Rule 4(a)(4)(A) - the notice becomes effective
to appeal a judgment or order, in whole or in part, when the
order disposing of the last such remaining motion is entered.
(ii) A party intending to challenge an order disposing of any
motion listed in Rule 4(a)(4)(A), or a judgment altered or
amended upon such a motion, must file a notice of appeal, or an
amended notice of appeal - in compliance with Rule 3(c) -
within the time prescribed by this Rule measured from the entry
of the order disposing of the last such remaining motion. -
(iii) No additional fee is required to file an amended
notice.

(5) Motion for Extension of Time.
(A) The district court may extend the time to file a notice
of appeal if:
(i) a party so moves no later than 30 days after the time
prescribed by this Rule 4(a) expires; and
(ii) regardless of whether its motion is filed before or
during the 30 days after the time prescribed by this Rule
4(a) expires, that party shows excusable neglect or good
cause.

(B) A motion filed before the expiration of the time
prescribed in Rule 4(a)(1) or (3) may be ex parte unless the
court requires otherwise. If the motion is filed after the
expiration of the prescribed time, notice must be given to the
other parties in accordance with local rules.
(C) No extension under this Rule 4(a)(5) may exceed 30 days
after the prescribed time or 10 days after the date when the
order granting the motion is entered, whichever is later.

(6) Reopening the Time to File an Appeal. The district court
may reopen the time to file an appeal for a period of 14 days
after the date when its order to reopen is entered, but only if
all the following conditions are satisfied:
(A) the court finds that the moving party did not receive
notice under Federal Rule of Civil Procedure 77(d) of the entry
of the judgment or order sought to be appealed within 21 days
after entry;
(B) the motion is filed within 180 days after the judgment or
order is entered or within 7 days after the moving party
receives notice under Federal Rule of Civil Procedure 77(d) of
the entry, whichever is earlier; and
(C) the court finds that no party would be prejudiced.

(7) Entry Defined.
(A) A judgment or order is entered for purposes of this Rule
4(a):
(i) if Federal Rule of Civil Procedure 58(a)(1) does not
require a separate document, when the judgment or order is
entered in the civil docket under Federal Rule of Civil
Procedure 79(a); or
(ii) if Federal Rule of Civil Procedure 58(a)(1) requires a
separate document, when the judgment or order is entered in
the civil docket under Federal Rule of Civil Procedure 79(a)
and when the earlier of these events occurs:
-- the judgment or order is set forth on a separate
document, or
-- 150 days have run from entry of the judgment or order
in the civil docket under Federal Rule of Civil Procedure
79(a).

(B) A failure to set forth a judgment or order on a separate
document when required by Federal Rule of Civil Procedure
58(a)(1) does not affect the validity of an appeal from that
judgment or order.

(b) Appeal in a Criminal Case.
(1) Time for Filing a Notice of Appeal.
(A) In a criminal case, a defendant's notice of appeal must
be filed in the district court within 10 days after the later
of:
(i) the entry of either the judgment or the order being
appealed; or
(ii) the filing of the government's notice of appeal.

(B) When the government is entitled to appeal, its notice of
appeal must be filed in the district court within 30 days after
the later of:
(i) the entry of the judgment or order being appealed; or
(ii) the filing of a notice of appeal by any defendant.

(2) Filing Before Entry of Judgment. A notice of appeal filed
after the court announces a decision, sentence, or order - but
before the entry of the judgment or order - is treated as filed
on the date of and after the entry.
(3) Effect of a Motion on a Notice of Appeal.
(A) If a defendant timely makes any of the following motions
under the Federal Rules of Criminal Procedure, the notice of
appeal from a judgment of conviction must be filed within 10
days after the entry of the order disposing of the last such
remaining motion, or within 10 days after the entry of the
judgment of conviction, whichever period ends later. This
provision applies to a timely motion:
(i) for judgment of acquittal under Rule 29;
(ii) for a new trial under Rule 33, but if based on newly
discovered evidence, only if the motion is made no later than
10 days after the entry of the judgment; or
(iii) for arrest of judgment under Rule 34.

(B) A notice of appeal filed after the court announces a
decision, sentence, or order - but before it disposes of any of
the motions referred to in Rule 4(b)(3)(A) - becomes effective
upon the later of the following:
(i) the entry of the order disposing of the last such
remaining motion; or
(ii) the entry of the judgment of conviction.

(C) A valid notice of appeal is effective - without amendment
- to appeal from an order disposing of any of the motions
referred to in Rule 4(b)(3)(A).

(4) Motion for Extension of Time. Upon a finding of excusable
neglect or good cause, the district court may - before or after
the time has expired, with or without motion and notice - extend
the time to file a notice of appeal for a period not to exceed 30
days from the expiration of the time otherwise prescribed by this
Rule 4(b).
(5) Jurisdiction. The filing of a notice of appeal under this
Rule 4(b) does not divest a district court of jurisdiction to
correct a sentence under Federal Rule of Criminal Procedure
35(a), nor does the filing of a motion under 35(a) affect the
validity of a notice of appeal filed before entry of the order
disposing of the motion. The filing of a motion under Federal
Rule of Criminal Procedure 35(a) does not suspend the time for
filing a notice of appeal from a judgment of conviction.
(6) Entry Defined. A judgment or order is entered for purposes
of this Rule 4(b) when it is entered on the criminal docket.

(c) Appeal by an Inmate Confined in an Institution.
(1) If an inmate confined in an institution files a notice of
appeal in either a civil or a criminal case, the notice is timely
if it is deposited in the institution's internal mail system on
or before the last day for filing. If an institution has a system
designed for legal mail, the inmate must use that system to
receive the benefit of this rule. Timely filing may be shown by a
declaration in compliance with 28 U.S.C. Sec. 1746 or by a
notarized statement, either of which must set forth the date of
deposit and state that first-class postage has been prepaid.
(2) If an inmate files the first notice of appeal in a civil
case under this Rule 4(c), the 14-day period provided in Rule
4(a)(3) for another party to file a notice of appeal runs from
the date when the district court dockets the first notice.
(3) When a defendant in a criminal case files a notice of
appeal under this Rule 4(c), the 30-day period for the government
to file its notice of appeal runs from the entry of the judgment
or order appealed from or from the district court's docketing of
the defendant's notice of appeal, whichever is later.

(d) Mistaken Filing in the Court of Appeals. If a notice of
appeal in either a civil or a criminal case is mistakenly filed in
the court of appeals, the clerk of that court must note on the
notice the date when it was received and send it to the district
clerk. The notice is then considered filed in the district court on
the date so noted.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Nov. 18, 1988, Pub.
L. 100-690, title VII, Sec. 7111, 102 Stat. 4419; Apr. 30, 1991,
eff. Dec. 1, 1991; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 27, 1995,
eff. Dec. 1, 1995; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002,
eff. Dec. 1, 2002; Apr. 25, 2005, eff. Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). This subdivision is derived from FRCP 73(a)
without any change of substance. The requirement that a request for
an extension of time for filing the notice of appeal made after
expiration of the time be made by motion and on notice codifies the
result reached under the present provisions of FRCP 73(a) and 6(b).
North Umberland Mining Co. v. Standard Accident Ins. Co., 193 F.2d
951 (9th Cir., 1952); Cohen v. Plateau Natural Gas Co., 303 F.2d
273 (10th Cir., 1962); Plant Economy, Inc. v. Mirror Insulation
Co., 308 F.2d 275 (3d Cir., 1962).
Since this subdivision governs appeals in all civil cases, it
supersedes the provisions of section 25 of the Bankruptcy Act (11
U.S.C. Sec. 48). Except in cases to which the United States or an
officer or agency thereof is a party, the change is a minor one,
since a successful litigant in a bankruptcy proceeding may, under
section 25, oblige an aggrieved party to appeal within 30 days
after entry of judgment - the time fixed by this subdivision in
cases involving private parties only - by serving him with notice
of entry on the day thereof, and by the terms of section 25 an
aggrieved party must in any event appeal within 40 days after entry
of judgment. No reason appears why the time for appeal in
bankruptcy should not be the same as that in civil cases generally.
Furthermore, section 25 is a potential trap for the uninitiated.
The time for appeal which it provides is not applicable to all
appeals which may fairly be termed appeals in bankruptcy. Section
25 governs only those cases referred to in section 24 as
"proceedings in bankruptcy" and "controversies arising in
proceedings in bankruptcy." Lowenstein v. Reikes, 54 F.2d 481 (2d
Cir., 1931), cert. den., 285 U.S. 539, 52 S.Ct. 311, 76 L.Ed. 932
(1932). The distinction between such cases and other cases which
arise out of bankruptcy is often difficult to determine. See 2
Moore's Collier on Bankruptcy ¶ 24.12 through ¶ 24.36
(1962). As a result it is not always clear whether an appeal is
governed by section 25 or by FRCP 73(a), which is applicable to
such appeals in bankruptcy as are not governed by section 25.
In view of the unification of the civil and admiralty procedure
accomplished by the amendments of the Federal Rules of Civil
Procedure effective July 1, 1966, this subdivision governs appeals
in those civil actions which involve admiralty or maritime claims
and which prior to that date were known as suits in admiralty.
The only other change possibly effected by this subdivision is in
the time for appeal from a decision of a district court on a
petition for impeachment of an award of a board of arbitration
under the Act of May 20, 1926, c. 347, Sec. 9 (44 Stat. 585), 45
U.S.C. Sec. 159. The act provides that a notice of appeal from such
a decision shall be filed within 10 days of the decision. This
singular provision was apparently repealed by the enactment in 1948
of 28 U.S.C. Sec. 2107, which fixed 30 days from the date of entry
of judgment as the time for appeal in all actions of a civil nature
except actions in admiralty or bankruptcy matters or those in which
the United States is a party. But it was not expressly repealed,
and its status is in doubt. See 7 Moore's Federal Practice ¶
73.09[2] (1966). The doubt should be resolved, and no reason
appears why appeals in such cases should not be taken within the
time provided for civil cases generally.
Subdivision (b). This subdivision is derived from FRCrP 37(a)(2)
without change of substance.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Subdivision (a)(1). The words "(including a civil action which
involves an admiralty or maritime claim and a proceeding in
bankruptcy or a controversy arising therein)," which appear in the
present rule are struck out as unnecessary and perhaps misleading
in suggesting that there may be other categories that are not
either civil or criminal within the meaning of Rule 4(a) and (b).
The phrases "within 30 days of such entry" and "within 60 days of
such entry" have been changed to read "after" instead of "or." The
change is for clarity only, since the word "of" in the present rule
appears to be used to mean "after." Since the proposed amended rule
deals directly with the premature filing of a notice of appeal, it
was thought useful to emphasize the fact that except as provided,
the period during which a notice of appeal may be filed is the 30
days, or 60 days as the case may be, following the entry of the
judgment or order appealed from. See Notes to Rule 4(a)(2) and (4),
below.
Subdivision (a)(2). The proposed amendment to Rule 4(a)(2) would
extend to civil cases the provisions of Rule 4(b), dealing with
criminal cases, designed to avoid the loss of the right to appeal
by filing the notice of appeal prematurely. Despite the absence of
such a provision in Rule 4(a) the courts of appeals quite generally
have held premature appeals effective. See, e. g., Matter of Grand
Jury Empanelled Jan. 21, 1975, 541 F.2d 373 (3d Cir. 1976); Hodge
v. Hodge, 507 F.2d 87 (3d Cir. 1976); Song Jook Suh v. Rosenberg,
437 F.2d 1098 (9th Cir. 1971); Ruby v. Secretary of the Navy, 365
F.2d 385 (9th Cir. 1966); Firchau v. Diamond Nat'l Corp., 345 F.2d
469 (9th Cir. 1965).
The proposed amended rule would recognize this practice but make
an exception in cases in which a post trial motion has destroyed
the finality of the judgment. See Note to Rule 4(a)(4) below.
Subdivision (a)(4). The proposed amendment would make it clear
that after the filing of the specified post trial motions, a notice
of appeal should await disposition of the motion. Since the
proposed amendments to Rules 3, 10, and 12 contemplate that
immediately upon the filing of the notice of appeal the fees will
be paid and the case docketed in the court of appeals, and the
steps toward its disposition set in motion, it would be undesirable
to proceed with the appeal while the district court has before it a
motion the granting of which would vacate or alter the judgment
appealed from. See, e. g., Kieth v. Newcourt, 530 F.2d 826 (8th
Cir. 1976). Under the present rule, since docketing may not take
place until the record is transmitted, premature filing is much
less likely to involve waste effort. See, e. g., Stokes v. Peyton's
Inc., 508 F.2d 1287 (5th Cir. 1975). Further, since a notice of
appeal filed before the disposition of a post trial motion, even if
it were treated as valid for purposes of jurisdiction, would not
embrace objections to the denial of the motion, it is obviously
preferable to postpone the notice of appeal until after the motion
is disposed of.
The present rule, since it provides for the "termination" of the
"running" of the appeal time, is ambiguous in its application to a
notice of appeal filed prior to a post trial motion filed within
the 10 day limit. The amendment would make it clear that in such
circumstances the appellant should not proceed with the appeal
during pendency of the motion but should file a new notice of
appeal after the motion is disposed of.
Subdivision (a)(5). Under the present rule it is provided that
upon a showing of excusable neglect the district court at any time
may extend the time for the filing of a notice of appeal for a
period not to exceed 30 days from the expiration of the time
otherwise prescribed by the rule, but that if the application is
made after the original time has run, the order may be made only on
motion with such notice as the court deems appropriate.
A literal reading of this provision would require that the
extension be ordered and the notice of appeal filed within the 30
day period, but despite the surface clarity of the rule, it has
produced considerable confusion. See the discussion by Judge
Friendly in In re Orbitek, 520 F.2d 358 (2d Cir. 1975). The
proposed amendment would make it clear that a motion to extend the
time must be filed no later than 30 days after the expiration of
the original appeal time, and that if the motion is timely filed
the district court may act upon the motion at a later date, and may
extend the time not in excess of 10 days measured from the date on
which the order granting the motion is entered.
Under the present rule there is a possible implication that prior
to the time the initial appeal time has run, the district court may
extend the time on the basis of an informal application. The
amendment would require that the application must be made by
motion, though the motion may be made ex parte. After the
expiration of the initial time a motion for the extension of the
time must be made in compliance with the F.R.C.P. and local rules
of the district court. See Note to proposed amended Rule 1, supra.
And see Rules 6(d), 7(b) of the F.R.C.P.
The proposed amended rule expands to some extent the standard for
the grant of an extension of time. The present rule requires a
"showing of excusable neglect." While this was an appropriate
standard in cases in which the motion is made after the time for
filing the notice of appeal has run, and remains so, it has never
fit exactly the situation in which the appellant seeks an extension
before the expiration of the initial time. In such a case "good
cause," which is the standard that is applied in the granting of
other extensions of time under Rule 26(b) seems to be more
appropriate.
Subdivision (a)(6). The proposed amendment would call attention
to the requirement of Rule 58 of the F.R.C.P. that the judgment
constitute a separate document. See United States v. Indrelunas,
411 U.S. 216 (1973). When a notice of appeal is filed, the clerk
should ascertain whether any judgment designated therein has been
entered in compliance with Rules 58 and 79(a) and if not, so advise
all parties and the district judge. While the requirement of Rule
48 is not jurisdictional (see Bankers Trust Co. v. Mallis, 431 U.S.
928 (1977)), compliance is important since the time for the filing
of a notice of appeal by other parties is measured by the time at
which the judgment is properly entered.

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
The amendment provides a limited opportunity for relief in
circumstances where the notice of entry of a judgment or order,
required to be mailed by the clerk of the district court pursuant
to Rule 77(d) of the Federal Rules of Civil Procedure, is either
not received by a party or is received so late as to impair the
opportunity to file a timely notice of appeal. The amendment adds a
new subdivision (6) allowing a district court to reopen for a brief
period the time for appeal upon a finding that notice of entry of a
judgment or order was not received from the clerk or a party within
21 days of its entry and that no party would be prejudiced. By
"prejudice" the Committee means some adverse consequence other than
the cost of having to oppose the appeal and encounter the risk of
reversal, consequences that are present in every appeal. Prejudice
might arise, for example, if the appellee had taken some action in
reliance on the expiration of the normal time period for filing a
notice of appeal.
Reopening may be ordered only upon a motion filed within 180 days
of the entry of a judgment or order or within 7 days of receipt of
notice of such entry, whichever is earlier. This provision
establishes an outer time limit of 180 days for a party who fails
to receive timely notice of entry of a judgment to seek additional
time to appeal and enables any winning party to shorten the 180-day
period by sending (and establishing proof of receipt of) its own
notice of entry of a judgment, as authorized by Fed. R. Civ. P.
77(d). Winning parties are encouraged to send their own notice in
order to lessen the chance that a judge will accept a claim of non-
receipt in the face of evidence that notices were sent by both the
clerk and the winning party. Receipt of a winning party's notice
will shorten only the time for reopening the time for appeal under
this subdivision, leaving the normal time periods for appeal
unaffected.
If the motion is granted, the district court may reopen the time
for filing a notice of appeal only for a period of 14 days from the
date of entry of the order reopening the time for appeal.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Note to Paragraph (a)(1). The amendment is intended to alert
readers to the fact that paragraph (a)(4) extends the time for
filing an appeal when certain posttrial motions are filed. The
Committee hopes that awareness of the provisions of paragraph
(a)(4) will prevent the filing of a notice of appeal when a
posttrial tolling motion is pending.
Note to Paragraph (a)(2). The amendment treats a notice of appeal
filed after the announcement of a decision or order, but before its
formal entry, as if the notice had been filed after entry. The
amendment deletes the language that made paragraph (a)(2)
inapplicable to a notice of appeal filed after announcement of the
disposition of a posttrial motion enumerated in paragraph (a)(4)
but before the entry of the order, see Acosta v. Louisiana Dep't of
Health & Human Resources, 478 U.S. 251 (1986) (per curiam); Alerte
v. McGinnis, 898 F.2d 69 (7th Cir. 1990). Because the amendment of
paragraph (a)(4) recognizes all notices of appeal filed after
announcement or entry of judgment - even those that are filed while
the posttrial motions enumerated in paragraph (a)(4) are pending -
the amendment of this paragraph is consistent with the amendment of
paragraph (a)(4).
Note to Paragraph (a)(3). The amendment is technical in nature;
no substantive change is intended.
Note to Paragraph (a)(4). The 1979 amendment of this paragraph
created a trap for an unsuspecting litigant who files a notice of
appeal before a posttrial motion, or while a posttrial motion is
pending. The 1979 amendment requires a party to file a new notice
of appeal after the motion's disposition. Unless a new notice is
filed, the court of appeals lacks jurisdiction to hear the appeal.
Griggs v. Provident Consumer Discount Co., 459 U.S. 56 (1982). Many
litigants, especially pro se litigants, fail to file the second
notice of appeal, and several courts have expressed dissatisfaction
with the rule. See, e.g., Averhart v. Arrendondo, 773 F.2d 919 (7th
Cir. 1985); Harcon Barge Co. v. D & G Boat Rentals, Inc., 746 F.2d
278 (5th Cir. 1984), cert. denied, 479 U.S. 930 (1986).
The amendment provides that a notice of appeal filed before the
disposition of a specified posttrial motion will become effective
upon disposition of the motion. A notice filed before the filing of
one of the specified motions or after the filing of a motion but
before disposition of the motion is, in effect, suspended until the
motion is disposed of, whereupon, the previously filed notice
effectively places jurisdiction in the court of appeals.
Because a notice of appeal will ripen into an effective appeal
upon disposition of a posttrial motion, in some instances there
will be an appeal from a judgment that has been altered
substantially because the motion was granted in whole or in part.
Many such appeals will be dismissed for want of prosecution when
the appellant fails to meet the briefing schedule. But, the
appellee may also move to strike the appeal. When responding to
such a motion, the appellant would have an opportunity to state
that, even though some relief sought in a posttrial motion was
granted, the appellant still plans to pursue the appeal. Because
the appellant's response would provide the appellee with sufficient
notice of the appellant's intentions, the Committee does not
believe that an additional notice of appeal is needed.
The amendment provides that a notice of appeal filed before the
disposition of a posttrial tolling motion is sufficient to bring
the underlying case, as well as any orders specified in the
original notice, to the court of appeals. If the judgment is
altered upon disposition of a posttrial motion, however, and if a
party wishes to appeal from the disposition of the motion, the
party must amend the notice to so indicate. When a party files an
amended notice, no additional fees are required because the notice
is an amendment of the original and not a new notice of appeal.
Paragraph (a)(4) is also amended to include, among motions that
extend the time for filing a notice of appeal, a Rule 60 motion
that is served within 10 days after entry of judgment. This
eliminates the difficulty of determining whether a posttrial motion
made within 10 days after entry of a judgment is a Rule 59(e)
motion, which tolls the time for filing an appeal, or a Rule 60
motion, which historically has not tolled the time. The amendment
comports with the practice in several circuits of treating all
motions to alter or amend judgments that are made within 10 days
after entry of judgment as Rule 59(e) motions for purposes of Rule
4(a)(4). See, e.g., Finch v. City of Vernon, 845 F.2d 256 (11th
Cir. 1988); Rados v. Celotex Corp., 809 F.2d 170 (2d Cir. 1986);
Skagerberg v. Oklahoma, 797 F.2d 881 (10th Cir. 1986). To conform
to a recent Supreme Court decision, however - Budinich v. Becton
Dickinson and Co., 486 U.S. 196 (1988) - the amendment excludes
motions for attorney's fees from the class of motions that extend
the filing time unless a district court, acting under Rule 58,
enters an order extending the time for appeal. This amendment is to
be read in conjunction with the amendment of Fed. R. Civ. P. 58.
Note to subdivision (b). The amendment grammatically restructures
the portion of this subdivision that lists the types of motions
that toll the time for filing an appeal. This restructuring is
intended to make the rule easier to read. No substantive change is
intended other than to add a motion for judgment of acquittal under
Criminal Rule 29 to the list of tolling motions. Such a motion is
the equivalent of a Fed. R. Civ. P. 50(b) motion for judgment
notwithstanding the verdict, which tolls the running of time for an
appeal in a civil case.
The proposed amendment also eliminates an ambiguity from the
third sentence of this subdivision. Prior to this amendment, the
third sentence provided that if one of the specified motions was
filed, the time for filing an appeal would run from the entry of an
order denying the motion. That sentence, like the parallel
provision in Rule 4(a)(4), was intended to toll the running of time
for appeal if one of the posttrial motions is timely filed. In a
criminal case, however, the time for filing the motions runs not
from entry of judgment (as it does in civil cases), but from the
verdict or finding of guilt. Thus, in a criminal case, a posttrial
motion may be disposed of more than 10 days before sentence is
imposed, i.e. before the entry of judgment. United States v.
Hashagen, 816 F.2d 899, 902 n.5 (3d Cir. 1987). To make it clear
that a notice of appeal need not be filed before entry of judgment,
the amendment states that an appeal may be taken within 10 days
after the entry of an order disposing of the motion, or within 10
days after the entry of judgment, whichever is later. The amendment
also changes the language in the third sentence providing that an
appeal may be taken within 10 days after the entry of an order
denying the motion; the amendment says instead that an appeal may
be taken within 10 days after the entry of an order disposing of
the last such motion outstanding. (Emphasis added) The change
recognizes that there may be multiple posttrial motions filed and
that, although one or more motions may be granted in whole or in
part, a defendant may still wish to pursue an appeal.
The amendment also states that a notice of appeal filed before
the disposition of any of the posttrial tolling motions becomes
effective upon disposition of the motions. In most circuits this
language simply restates the current practice. See United States v.
Cortes, 895 F.2d 1245 (9th Cir.), cert. denied, 495 U.S. 939
(1990). Two circuits, however, have questioned that practice in
light of the language of the rule, see United States v. Gargano,
826 F.2d 610 (7th Cir. 1987), and United States v. Jones, 669 F.2d
559 (8th Cir. 1982), and the Committee wishes to clarify the rule.
The amendment is consistent with the proposed amendment of Rule
4(a)(4).
Subdivision (b) is further amended in light of new Fed. R. Crim.
P. 35(c), which authorizes a sentencing court to correct any
arithmetical, technical, or other clear errors in sentencing within
7 days after imposing the sentence. The Committee believes that a
sentencing court should be able to act under Criminal Rule 35(c)
even if a notice of appeal has already been filed; and that a
notice of appeal should not be affected by the filing of a Rule
35(c) motion or by correction of a sentence under Rule 35(c).
Note to subdivision (c). In Houston v. Lack, 487 U.S. 266 (1988),
the Supreme Court held that a pro se prisoner's notice of appeal is
"filed" at the moment of delivery to prison authorities for
forwarding to the district court. The amendment reflects that
decision. The language of the amendment is similar to that in
Supreme Court Rule 29.2.
Permitting an inmate to file a notice of appeal by depositing it
in an institutional mail system requires adjustment of the rules
governing the filing of cross-appeals. In a civil case, the time
for filing a cross-appeal ordinarily runs from the date when the
first notice of appeal is filed. If an inmate's notice of appeal is
filed by depositing it in an institution's mail system, it is
possible that the notice of appeal will not arrive in the district
court until several days after the "filing" date and perhaps even
after the time for filing a cross-appeal has expired. To avoid that
problem, subdivision (c) provides that in a civil case when an
institutionalized person files a notice of appeal by depositing it
in the institution's mail system, the time for filing a cross-
appeal runs from the district court's receipt of the notice. The
amendment makes a parallel change regarding the time for the
government to appeal in a criminal case.

NOTES OF ADVISORY COMMITTEE ON RULES - 1995 AMENDMENT
Subdivision (a). Fed. R. Civ. P. 50, 52, and 59 were previously
inconsistent with respect to whether certain postjudgment motions
had to be filed or merely served no later than 10 days after entry
of judgment. As a consequence Rule 4(a)(4) spoke of making or
serving such motions rather than filing them. Civil Rules 50, 52,
and 59, are being revised to require filing before the end of the
10-day period. As a consequence, this rule is being amended to
provide that "filing" must occur within the 10 day period in order
to affect the finality of the judgment and extend the period for
filing a notice of appeal.
The Civil Rules require the filing of postjudgment motions "no
later than 10 days after entry of judgment" - rather than "within"
10 days - to include postjudgment motions that are filed before
actual entry of the judgment by the clerk. This rule is amended,
therefore, to use the same terminology.
The rule is further amended to clarify the fact that a party who
wants to obtain review of an alteration or amendment of a judgment
must file a notice of appeal or amend a previously filed notice to
indicate intent to appeal from the altered judgment.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; in this
rule, however, substantive changes are made in paragraphs (a)(6)
and (b)(4), and in subdivision (c).
Subdivision (a), paragraph (1). Although the Advisory Committee
does not intend to make any substantive changes in this paragraph,
cross-references to Rules 4(a)(1)(B) and 4(c) have been added to
subparagraph (a)(1)(A).
Subdivision (a), paragraph (4). Item (vi) in subparagraph (A) of
Rule 4(a)(4) provides that filing a motion for relief under Fed. R.
Civ. P. 60 will extend the time for filing a notice of appeal if
the Rule 60 motion is filed no later than 10 days after judgment is
entered. Again, the Advisory Committee does not intend to make any
substantive change in this paragraph. But because Fed. R. Civ. P.
6(a) and Fed. R. App. P. 26(a) have different methods for computing
time, one might be uncertain whether the 10-day period referred to
in Rule 4(a)(4) is computed using Civil Rule 6(a) or Appellate Rule
26(a). Because the Rule 60 motion is filed in the district court,
and because Fed. R. App. P. 1(a)(2) says that when the appellate
rules provide for filing a motion in the district court, "the
procedure must comply with the practice of the district court," the
rule provides that the 10-day period is computed using Fed. R. Civ.
P. 6(a).
Subdivision (a), paragraph (6). Paragraph (6) permits a district
court to reopen the time for appeal if a party has not received
notice of the entry of judgment and no party would be prejudiced by
the reopening. Before reopening the time for appeal, the existing
rule requires the district court to find that the moving party was
entitled to notice of the entry of judgment and did not receive it
"from the clerk or any party within 21 days of its entry." The
Advisory Committee makes a substantive change. The finding must be
that the movant did not receive notice "from the district court or
any party within 21 days after entry." This change broadens the
type of notice that can preclude reopening the time for appeal. The
existing rule provides that only notice from a party or from the
clerk bars reopening. The new language precludes reopening if the
movant has received notice from "the court."
Subdivision (b). Two substantive changes are made in what will be
paragraph (b)(4). The current rule permits an extension of time to
file a notice of appeal if there is a "showing of excusable
neglect." First, the rule is amended to permit a court to extend
the time for "good cause" as well as for excusable neglect. Rule
4(a) permits extensions for both reasons in civil cases and the
Advisory Committee believes that "good cause" should be sufficient
in criminal cases as well. The amendment does not limit extensions
for good cause to instances in which the motion for extension of
time is filed before the original time has expired. The rule gives
the district court discretion to grant extensions for good cause
whenever the court believes it appropriate to do so provided that
the extended period does not exceed 30 days after the expiration of
the time otherwise prescribed by Rule 4(b). Second, paragraph
(b)(4) is amended to require only a "finding" of excusable neglect
or good cause and not a "showing" of them. Because the rule
authorizes the court to provide an extension without a motion, a
"showing" is obviously not required; a "finding" is sufficient.
Subdivision (c). Substantive amendments are made in this
subdivision. The current rule provides that if an inmate confined
in an institution files a notice of appeal by depositing it in the
institution's internal mail system, the notice is timely filed if
deposited on or before the last day for filing. Some institutions
have special internal mail systems for handling legal mail; such
systems often record the date of deposit of mail by an inmate, the
date of delivery of mail to an inmate, etc. The Advisory Committee
amends the rule to require an inmate to use the system designed for
legal mail, if there is one, in order to receive the benefit of
this subdivision.
When an inmate uses the filing method authorized by subdivision
(c), the current rule provides that the time for other parties to
appeal begins to run from the date the district court "receives"
the inmate's notice of appeal. The rule is amended so that the time
for other parties begins to run when the district court "dockets"
the inmate's appeal. A court may "receive" a paper when its mail is
delivered to it even if the mail is not processed for a day or two,
making the date of receipt uncertain. "Docketing" is an easily
identified event. The change eliminates uncertainty. Paragraph
(c)(3) is further amended to make it clear that the time for the
government to file its appeal runs from the later of the entry of
the judgment or order appealed from or the district court's
docketing of a defendant's notice filed under this paragraph (c).

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (a)(1)(C). The federal courts of appeals have reached
conflicting conclusions about whether an appeal from an order
granting or denying an application for a writ of error coram nobis
is governed by the time limitations of Rule 4(a) (which apply in
civil cases) or by the time limitations of Rule 4(b) (which apply
in criminal cases). Compare United States v. Craig, 907 F.2d 653,
655-57, amended 919 F.2d 57 (7th Cir. 1990); United States v.
Cooper, 876 F.2d 1192, 1193-94 (5th Cir. 1989); and United States
v. Keogh, 391 F.2d 138, 140 (2d Cir. 1968) (applying the time
limitations of Rule 4(a)); with Yasui v. United States, 772 F.2d
1496, 1498-99 (9th Cir. 1985); and United States v. Mills, 430 F.2d
526, 527-28 (8th Cir. 1970) (applying the time limitations of Rule
4(b)). A new part (C) has been added to Rule 4(a)(1) to resolve
this conflict by providing that the time limitations of Rule 4(a)
will apply.
Subsequent to the enactment of Fed. R. Civ. P. 60(b) and 28
U.S.C. Sec. 2255, the Supreme Court has recognized the continued
availability of a writ of error coram nobis in at least one narrow
circumstance. In 1954, the Court permitted a litigant who had been
convicted of a crime, served his full sentence, and been released
from prison, but who was continuing to suffer a legal disability on
account of the conviction, to seek a writ of error coram nobis to
set aside the conviction. United States v. Morgan, 346 U.S. 502
(1954). As the Court recognized, in the Morgan situation an
application for a writ of error coram nobis "is of the same general
character as [a motion] under 28 U.S.C. Sec. 2255." Id. at 506 n.4.
Thus, it seems appropriate that the time limitations of Rule 4(a),
which apply when a district court grants or denies relief under 28
U.S.C. Sec. 2255, should also apply when a district court grants or
denies a writ of error coram nobis. In addition, the strong public
interest in the speedy resolution of criminal appeals that is
reflected in the shortened deadlines of Rule 4(b) is not present in
the Morgan situation, as the party seeking the writ of error coram
nobis has already served his or her full sentence.
Notwithstanding Morgan, it is not clear whether the Supreme Court
continues to believe that the writ of error coram nobis is
available in federal court. In civil cases, the writ has been
expressly abolished by Fed. R. Civ. P. 60(b). In criminal cases,
the Supreme Court has recently stated that it has become "
'difficult to conceive of a situation' " in which the writ " 'would
be necessary or appropriate.' " Carlisle v. United States, 517 U.S.
416, 429 (1996) (quoting United States v. Smith, 331 U.S. 469, 475
n.4 (1947)). The amendment to Rule 4(a)(1) is not intended to
express any view on this issue; rather, it is merely meant to
specify time limitations for appeals.
Rule 4(a)(1)(C) applies only to motions that are in substance,
and not merely in form, applications for writs of error coram
nobis. Litigants may bring and label as applications for a writ of
error coram nobis what are in reality motions for a new trial under
Fed. R. Crim. P. 33 or motions for correction or reduction of a
sentence under Fed. R. Crim. P. 35. In such cases, the time
limitations of Rule 4(b), and not those of Rule 4(a), should be
enforced.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
Subdivision (a)(4)(A)(vi). Rule 4(a)(4)(A)(vi) has been amended
to remove a parenthetical that directed that the 10-day deadline be
"computed using Federal Rule of Civil Procedure 6(a)." That
parenthetical has become superfluous because Rule 26(a)(2) has been
amended to require that all deadlines under 11 days be calculated
as they are under Fed. R. Civ. P. 6(a).
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
Subdivision (a)(5)(A)(ii). Rule 4(a)(5)(A) permits the district
court to extend the time to file a notice of appeal if two
conditions are met. First, the party seeking the extension must
file its motion no later than 30 days after the expiration of the
time originally prescribed by Rule 4(a). Second, the party seeking
the extension must show either excusable neglect or good cause. The
text of Rule 4(a)(5)(A) does not distinguish between motions filed
prior to the expiration of the original deadline and those filed
after the expiration of the original deadline. Regardless of
whether the motion is filed before or during the 30 days after the
original deadline expires, the district court may grant an
extension if a party shows either excusable neglect or good cause.
Despite the text of Rule 4(a)(5)(A), most of the courts of
appeals have held that the good cause standard applies only to
motions brought prior to the expiration of the original deadline
and that the excusable neglect standard applies only to motions
brought during the 30 days following the expiration of the original
deadline. See Pontarelli v. Stone, 930 F.2d 104, 109-10 (1st Cir.
1991) (collecting cases from the Second, Fifth, Sixth, Seventh,
Eighth, Ninth, and Eleventh Circuits). These courts have relied
heavily upon the Advisory Committee Note to the 1979 amendment to
Rule 4(a)(5). But the Advisory Committee Note refers to a draft of
the 1979 amendment that was ultimately rejected. The rejected draft
directed that the good cause standard apply only to motions filed
prior to the expiration of the original deadline. Rule 4(a)(5), as
actually amended, did not. See 16A Charles Alan Wright, et al.,
Federal Practice and Procedure Sec. 3950.3, at 148-49 (2d ed.
1996).
The failure of the courts of appeals to apply Rule 4(a)(5)(A) as
written has also created tension between that rule and Rule
4(b)(4). As amended in 1998, Rule 4(b)(4) permits the district
court to extend the time for filing a notice of appeal in a
criminal case for an additional 30 days upon a finding of excusable
neglect or good cause. Both Rule 4(b)(4) and the Advisory Committee
Note to the 1998 amendment make it clear that an extension can be
granted for either excusable neglect or good cause, regardless of
whether a motion for an extension is filed before or during the 30
days following the expiration of the original deadline.
Rule 4(a)(5)(A)(ii) has been amended to correct this
misunderstanding and to bring the rule in harmony in this respect
with Rule 4(b)(4). A motion for an extension filed prior to the
expiration of the original deadline may be granted if the movant
shows either excusable neglect or good cause. Likewise, a motion
for an extension filed during the 30 days following the expiration
of the original deadline may be granted if the movant shows either
excusable neglect or good cause.
The good cause and excusable neglect standards have "different
domains." Lorenzen v. Employees Retirement Plan, 896 F.2d 228, 232
(7th Cir. 1990). They are not interchangeable, and one is not
inclusive of the other. The excusable neglect standard applies in
situations in which there is fault; in such situations, the need
for an extension is usually occasioned by something within the
control of the movant. The good cause standard applies in
situations in which there is no fault - excusable or otherwise. In
such situations, the need for an extension is usually occasioned by
something that is not within the control of the movant.
Thus, the good cause standard can apply to motions brought during
the 30 days following the expiration of the original deadline. If,
for example, the Postal Service fails to deliver a notice of
appeal, a movant might have good cause to seek a post-expiration
extension. It may be unfair to make such a movant prove that its
"neglect" was excusable, given that the movant may not have been
neglectful at all. Similarly, the excusable neglect standard can
apply to motions brought prior to the expiration of the original
deadline. For example, a movant may bring a pre-expiration motion
for an extension of time when an error committed by the movant
makes it unlikely that the movant will be able to meet the original
deadline.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment. The stylistic changes to the
Committee Note suggested by Judge Newman were adopted. In addition,
two paragraphs were added at the end of the Committee Note to
clarify the difference between the good cause and excusable neglect
standards.
Subdivision (a)(7). Several circuit splits have arisen out of
uncertainties about how Rule 4(a)(7)'s definition of when a
judgment or order is "entered" interacts with the requirement in
Fed. R. Civ. P. 58 that, to be "effective," a judgment must be set
forth on a separate document. Rule 4(a)(7) and Fed. R. Civ. P. 58
have been amended to resolve those splits.
1. The first circuit split addressed by the amendments to Rule
4(a)(7) and Fed. R. Civ. P. 58 concerns the extent to which orders
that dispose of post-judgment motions must be set forth on separate
documents. Under Rule 4(a)(4)(A), the filing of certain post-
judgment motions tolls the time to appeal the underlying judgment
until the "entry" of the order disposing of the last such remaining
motion. Courts have disagreed about whether such an order must be
set forth on a separate document before it is treated as "entered."
This disagreement reflects a broader dispute among courts about
whether Rule 4(a)(7) independently imposes a separate document
requirement (a requirement that is distinct from the separate
document requirement that is imposed by the Federal Rules of Civil
Procedure ("FRCP")) or whether Rule 4(a)(7) instead incorporates
the separate document requirement as it exists in the FRCP. Further
complicating the matter, courts in the former "camp" disagree among
themselves about the scope of the separate document requirement
that they interpret Rule 4(a)(7) as imposing, and courts in the
latter "camp" disagree among themselves about the scope of the
separate document requirement imposed by the FRCP.
Rule 4(a)(7) has been amended to make clear that it simply
incorporates the separate document requirement as it exists in Fed.
R. Civ. P. 58. If Fed. R. Civ. P. 58 does not require that a
judgment or order be set forth on a separate document, then neither
does Rule 4(a)(7); the judgment or order will be deemed entered for
purposes of Rule 4(a) when it is entered in the civil docket. If
Fed. R. Civ. P. 58 requires that a judgment or order be set forth
on a separate document, then so does Rule 4(a)(7); the judgment or
order will not be deemed entered for purposes of Rule 4(a) until it
is so set forth and entered in the civil docket (with one important
exception, described below).
In conjunction with the amendment to Rule 4(a)(7), Fed. R. Civ.
P. 58 has been amended to provide that orders disposing of the post-
judgment motions listed in new Fed. R. Civ. P. 58(a)(1) (which
post-judgment motions include, but are not limited to, the post-
judgment motions that can toll the time to appeal under Rule
4(a)(4)(A)) do not have to be set forth on separate documents. See
Fed. R. Civ. P. 58(a)(1). Thus, such orders are entered for
purposes of Rule 4(a) when they are entered in the civil docket
pursuant to Fed. R. Civ. P. 79(a). See Rule 4(a)(7)(A)(1).
2. The second circuit split addressed by the amendments to Rule
4(a)(7) and Fed. R. Civ. P. 58 concerns the following question:
When a judgment or order is required to be set forth on a separate
document under Fed. R. Civ. P. 58 but is not, does the time to
appeal the judgment or order - or the time to bring post-judgment
motions, such as a motion for a new trial under Fed. R. Civ. P. 59 -
ever begin to run? According to every circuit except the First
Circuit, the answer is "no." The First Circuit alone holds that
parties will be deemed to have waived their right to have a
judgment or order entered on a separate document three months after
the judgment or order is entered in the civil docket. See Fiore v.
Washington County Community Mental Health Ctr., 960 F.2d 229, 236
(1st Cir. 1992) (en banc). Other circuits have rejected this cap as
contrary to the relevant rules. See, e.g., United States v. Haynes,
158 F.3d 1327, 1331 (D.C. Cir. 1998); Hammack v. Baroid Corp., 142
F.3d 266, 269-70 (5th Cir. 1998); Rubin v. Schottenstein, Zox &
Dunn, 110 F.3d 1247, 1253 n.4 (6th Cir. 1997), vacated on other
grounds, 143 F.3d 263 (6th Cir. 1998) (en banc). However, no court
has questioned the wisdom of imposing such a cap as a matter of
policy.
Both Rule 4(a)(7)(A) and Fed. R. Civ. P. 58 have been amended to
impose such a cap. Under the amendments, a judgment or order is
generally treated as entered when it is entered in the civil docket
pursuant to Fed. R. Civ. P. 79(a). There is one exception: When
Fed. R. Civ. P. 58(a)(1) requires the judgment or order to be set
forth on a separate document, that judgment or order is not treated
as entered until it is set forth on a separate document (in
addition to being entered in the civil docket) or until the
expiration of 150 days after its entry in the civil docket,
whichever occurs first. This cap will ensure that parties will not
be given forever to appeal (or to bring a post-judgment motion)
when a court fails to set forth a judgment or order on a separate
document in violation of Fed. R. Civ. P. 58(a)(1).
3. The third circuit split - this split addressed only by the
amendment to Rule 4(a)(7) - concerns whether the appellant may
waive the separate document requirement over the objection of the
appellee. In Bankers Trust Co. v. Mallis, 435 U.S. 381, 387 (1978)
(per curiam), the Supreme Court held that the "parties to an appeal
may waive the separate-judgment requirement of Rule 58."
Specifically, the Supreme Court held that when a district court
enters an order and "clearly evidence[s] its intent that the . . .
order . . . represent[s] the final decision in the case," the order
is a "final decision" for purposes of 28 U.S.C. Sec. 1291, even if
the order has not been set forth on a separate document for
purposes of Fed. R. Civ. P. 58. Id. Thus, the parties can choose to
appeal without waiting for the order to be set forth on a separate
document.
Courts have disagreed about whether the consent of all parties is
necessary to waive the separate document requirement. Some circuits
permit appellees to object to attempted Mallis waivers and to force
appellants to return to the trial court, request that judgment be
set forth on a separate document, and appeal a second time. See,
e.g., Selletti v. Carey, 173 F.3d 104, 109-10 (2d Cir. 1999);
Williams v. Borg, 139 F.3d 737, 739-40 (9th Cir. 1998); Silver Star
Enters., Inc. v. M/V Saramacca, 19 F.3d 1008, 1013 (5th Cir. 1994).
Other courts disagree and permit Mallis waivers even if the
appellee objects. See, e.g., Haynes, 158 F.3d at 1331; Miller v.
Artistic Cleaners, 153 F.3d 781, 783-84 (7th Cir. 1998); Alvord-
Polk, Inc. v. F. Schumacher & Co., 37 F.3d 996, 1006 n.8 (3d Cir.
1994).
New Rule 4(a)(7)(B) is intended both to codify the Supreme
Court's holding in Mallis and to make clear that the decision
whether to waive the requirement that the judgment or order be set
forth on a separate document is the appellant's alone. It is, after
all, the appellant who needs a clear signal as to when the time to
file a notice of appeal has begun to run. If the appellant chooses
to bring an appeal without waiting for the judgment or order to be
set forth on a separate document, then there is no reason why the
appellee should be able to object. All that would result from
honoring the appellee's objection would be delay.
4. The final circuit split addressed by the amendment to Rule
4(a)(7) concerns the question whether an appellant who chooses to
waive the separate document requirement must appeal within 30 days
(60 days if the government is a party) from the entry in the civil
docket of the judgment or order that should have been set forth on
a separate document but was not. In Townsend v. Lucas, 745 F.2d 933
(5th Cir. 1984), the district court dismissed a 28 U.S.C. Sec. 2254
action on May 6, 1983, but failed to set forth the judgment on a
separate document. The plaintiff appealed on January 10, 1984. The
Fifth Circuit dismissed the appeal, reasoning that, if the
plaintiff waived the separate document requirement, then his appeal
would be from the May 6 order, and if his appeal was from the May 6
order, then it was untimely under Rule 4(a)(1). The Fifth Circuit
stressed that the plaintiff could return to the district court,
move that the judgment be set forth on a separate document, and
appeal from that judgment within 30 days. Id. at 934. Several other
cases have embraced the Townsend approach. See, e.g., Armstrong v.
Ahitow, 36 F.3d 574, 575 (7th Cir. 1994) (per curiam); Hughes v.
Halifax County Sch. Bd., 823 F.2d 832, 835-36 (4th Cir. 1987);
Harris v. McCarthy, 790 F.2d 753, 756 n.1 (9th Cir. 1986).
Those cases are in the distinct minority. There are numerous
cases in which courts have heard appeals that were not filed within
30 days (60 days if the government was a party) from the judgment
or order that should have been set forth on a separate document but
was not. See, e.g., Haynes, 158 F.3d at 1330-31; Clough v. Rush,
959 F.2d 182, 186 (10th Cir. 1992); McCalden v. California Library
Ass'n, 955 F.2d 1214, 1218-19 (9th Cir. 1990). In the view of these
courts, the remand in Townsend was "precisely the purposeless
spinning of wheels abjured by the Court in the [Mallis] case." 15B
Charles Alan Wright et al., Federal Practice and Procedure Sec.
3915, at 259 n.8 (3d ed. 1992).
The Committee agrees with the majority of courts that have
rejected the Townsend approach. In drafting new Rule 4(a)(7)(B),
the Committee has been careful to avoid phrases such as "otherwise
timely appeal" that might imply an endorsement of Townsend.
Changes Made After Publication and Comments. No changes were made
to the text of proposed Rule 4(a)(7)(B) or to the third or fourth
numbered sections of the Committee Note, except that, in several
places, references to a judgment being "entered" on a separate
document were changed to references to a judgment being "set forth"
on a separate document. This was to maintain stylistic consistency.
The appellate rules and the civil rules consistently refer to
"entering" judgments on the civil docket and to "setting forth"
judgments on separate documents.
Two major changes were made to the text of proposed Rule
4(a)(7)(A) - one substantive and one stylistic. The substantive
change was to increase the "cap" from 60 days to 150 days. The
Appellate Rules Committee and the Civil Rules Committee had to
balance two concerns that are implicated whenever a court fails to
enter its final decision on a separate document. On the one hand,
potential appellants need a clear signal that the time to appeal
has begun to run, so that they do not unknowingly forfeit their
rights. On the other hand, the time to appeal cannot be allowed to
run forever. A party who receives no notice whatsoever of a
judgment has only 180 days to move to reopen the time to appeal
from that judgment. See Rule 4(a)(6)(A). It hardly seems fair to
give a party who does receive notice of a judgment an unlimited
amount of time to appeal, merely because that judgment was not set
forth on a separate piece of paper. Potential appellees and the
judicial system need some limit on the time within which appeals
can be brought.
The 150-day cap properly balances these two concerns. When an
order is not set forth on a separate document, what signals
litigants that the order is final and appealable is a lack of
further activity from the court. A 60-day period of inactivity is
not sufficiently rare to signal to litigants that the court has
entered its last order. By contrast, 150 days of inactivity is much
less common and thus more clearly signals to litigants that the
court is done with their case.
The major stylistic change to Rule 4(a)(7) requires some
explanation. In the published draft, proposed Rule 4(a)(7)(A)
provided that "[a] judgment or order is entered for purposes of
this Rule 4(a) when it is entered for purposes of Rule 58(b) of the
Federal Rules of Civil Procedure." In other words, Rule 4(a)(7)(A)
told readers to look to FRCP 58(b) to ascertain when a judgment is
entered for purposes of starting the running of time to appeal.
Sending appellate lawyers to the civil rules to discover when time
began to run for purposes of the appellate rules was itself
somewhat awkward, but it was made more confusing by the fact that,
when readers went to proposed FRCP 58(b), they found this
introductory clause: "Judgment is entered for purposes of Rules 50,
52, 54(d)(2)(B), 59, 60, and 62 when . . ."
This introductory clause was confusing for both appellate lawyers
and trial lawyers. It was confusing for appellate lawyers because
Rule 4(a)(7) informed them that FRCP 58(b) would tell them when the
time begins to run for purposes of the appellate rules, but when
they got to FRCP 58(b) they found a rule that, by its terms,
dictated only when the time begins to run for purposes of certain
civil rules. The introductory clause was confusing for trial
lawyers because FRCP 58(b) described when judgment is entered for
some purposes under the civil rules, but then was completely silent
about when judgment is entered for other purposes.
To avoid this confusion, the Civil Rules Committee, on the
recommendation of the Appellate Rules Committee, changed the
introductory clause in FRCP 58(b) to read simply: "Judgment is
entered for purposes of these Rules when . . . ." In addition, Rule
4(a)(7)(A) was redrafted [A redraft of Rule 4(a)(7) was faxed to
members of the Appellate Rules Committee two weeks after our
meeting in New Orleans. The Committee consented to the redraft
without objection.] so that the triggering events for the running
of the time to appeal (entry in the civil docket, and being set
forth on a separate document or passage of 150 days) were
incorporated directly into Rule 4(a)(7), rather than indirectly
through a reference to FRCP 58(b). This eliminates the need for
appellate lawyers to examine Rule 58(b) and any chance that Rule
58(b)'s introductory clause (even as modified) might confuse them.
We do not believe that republication of Rule 4(a)(7) or FRCP 58
is necessary. In substance, rewritten Rule 4(a)(7)(A) and FRCP
58(b) operate identically to the published versions, except that
the 60-day cap has been replaced with a 150-day cap - a change that
was suggested by some of the commentators and that makes the cap
more forgiving.
Subdivision (b)(5). Federal Rule of Criminal Procedure 35(a)
permits a district court, acting within 7 days after the imposition
of sentence, to correct an erroneous sentence in a criminal case.
Some courts have held that the filing of a motion for correction of
a sentence suspends the time for filing a notice of appeal from the
judgment of conviction. See, e.g., United States v. Carmouche, 138
F.3d 1014, 1016 (5th Cir. 1998) (per curiam); United States v.
Morillo, 8 F.3d 864, 869 (1st Cir. 1993). Those courts establish
conflicting timetables for appealing a judgment of conviction after
the filing of a motion to correct a sentence. In the First Circuit,
the time to appeal is suspended only for the period provided by
Fed. R. Crim. P. 35(a) for the district court to correct a
sentence; the time to appeal begins to run again once 7 days have
passed after sentencing, even if the motion is still pending. By
contrast, in the Fifth Circuit, the time to appeal does not begin
to run again until the district court actually issues an order
disposing of the motion.
Rule 4(b)(5) has been amended to eliminate the inconsistency
concerning the effect of a motion to correct a sentence on the time
for filing a notice of appeal. The amended rule makes clear that
the time to appeal continues to run, even if a motion to correct a
sentence is filed. The amendment is consistent with Rule
4(b)(3)(A), which lists the motions that toll the time to appeal,
and notably omits any mention of a Fed. R. Crim. P. 35(a) motion.
The amendment also should promote certainty and minimize the
likelihood of confusion concerning the time to appeal a judgment of
conviction.
If a district court corrects a sentence pursuant to Fed. R. Crim.
P. 35(a), the time for filing a notice of appeal of the corrected
sentence under Rule 4(b)(1) would begin to run when the court
enters a new judgment reflecting the corrected sentence.
Changes Made After Publication and Comments. The reference to
Federal Rule of Criminal Procedure 35(c) was changed to Rule 35(a)
to reflect the pending amendment of Rule 35. The proposed amendment
to Criminal Rule 35, if approved, will take effect at the same time
that the proposed amendment to Appellate Rule 4 will take effect,
if approved.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Rule 4(a)(6) has permitted a district court to reopen the time to
appeal a judgment or order upon finding that four conditions were
satisfied. First, the district court had to find that the appellant
did not receive notice of the entry of the judgment or order from
the district court or any party within 21 days after the judgment
or order was entered. Second, the district court had to find that
the appellant moved to reopen the time to appeal within 7 days
after the appellant received notice of the entry of the judgment or
order. Third, the district court had to find that the appellant
moved to reopen the time to appeal within 180 days after the
judgment or order was entered. Finally, the district court had to
find that no party would be prejudiced by the reopening of the time
to appeal.
Rule 4(a)(6) has been amended to specify more clearly what type
of "notice" of the entry of a judgment or order precludes a party
from later moving to reopen the time to appeal. In addition, Rule
4(a)(6) has been amended to address confusion about what type of
"notice" triggers the 7-day period to bring a motion to reopen.
Finally, Rule 4(a)(6) has been reorganized to set forth more
logically the conditions that must be met before a district court
may reopen the time to appeal.
Subdivision (a)(6)(A). Former subdivision (a)(6)(B) has been
redesignated as subdivision (a)(6)(A), and one substantive change
has been made. As amended, the subdivision will preclude a party
from moving to reopen the time to appeal a judgment or order only
if the party receives (within 21 days) formal notice of the entry
of that judgment or order under Civil Rule 77(d). No other type of
notice will preclude a party.
The reasons for this change take some explanation. Prior to 1998,
former subdivision (a)(6)(B) permitted a district court to reopen
the time to appeal if it found "that a party entitled to notice of
the entry of a judgment or order did not receive such notice from
the clerk or any party within 21 days of its entry." The rule was
clear that the "notice" to which it referred was the notice
required under Civil Rule 77(d), which must be served by the clerk
pursuant to Civil Rule 5(b) and may also be served by a party
pursuant to that same rule. In other words, prior to 1998, former
subdivision (a)(6)(B) was clear that, if a party did not receive
formal notice of the entry of a judgment or order under Civil Rule
77(d), that party could later move to reopen the time to appeal
(assuming that the other requirements of subdivision (a)(6) were
met).
In 1998, former subdivision (a)(6)(B) was amended to change the
description of the type of notice that would preclude a party from
moving to reopen. As a result of the amendment, former subdivision
(a)(6)(B) no longer referred to the failure of the moving party to
receive "such notice" - that is, the notice required by Civil Rule
77(d) - but instead referred to the failure of the moving party to
receive "the notice." And former subdivision (a)(6)(B) no longer
referred to the failure of the moving party to receive notice from
"the clerk or any party," both of whom are explicitly mentioned in
Civil Rule 77(d). Rather, former subdivision (a)(6)(B) referred to
the failure of the moving party to receive notice from "the
district court or any party."
The 1998 amendment meant, then, that the type of notice that
precluded a party from moving to reopen the time to appeal was no
longer limited to Civil Rule 77(d) notice. Under the 1998
amendment, some type of notice, in addition to Civil Rule 77(d)
notice, precluded a party. But the text of the amended rule did not
make clear what type of notice qualified. This was an invitation
for litigation, confusion, and possible circuit splits.
To avoid such problems, former subdivision (a)(6)(B) - new
subdivision (a)(6)(A) - has been amended to restore its pre-1998
simplicity. Under new subdivision (a)(6)(A), if the court finds
that the moving party was not notified under Civil Rule 77(d) of
the entry of the judgment or order that the party seeks to appeal
within 21 days after that judgment or order was entered, then the
court is authorized to reopen the time to appeal (if all of the
other requirements of subdivision (a)(6) are met). Because Civil
Rule 77(d) requires that notice of the entry of a Judgment or order
be formally served under Civil Rule 5(b), any notice that is not so
served will not operate to preclude the reopening of the time to
appeal under new subdivision (a)(6)(A).
Subdivision (a)(6)(B). Former subdivision (a)(6)(A) required a
party to move to reopen the time to appeal "within 7 days after the
moving party receives notice of the entry [of the judgment or order
sought to be appealed]." Former subdivision (a)(6)(A) has been
redesignated as subdivision (a)(6)(B), and one important
substantive change has been made: The subdivision now makes clear
that only formal notice of the entry of a judgment or order under
Civil Rule 77(d) will trigger the 7-day period to move to reopen
the time to appeal.
The circuits have been split over what type of "notice" is
sufficient to trigger the 7-day period. The majority of circuits
that addressed the question held that only written notice was
sufficient, although nothing in the text of the rule suggested such
a limitation. See, e.g., Bass v. United States Dep't of Agric., 211
F.3d 959, 963 (5th Cir. 2000). By contrast, the Ninth Circuit held
that while former subdivision (a)(6)(A) did not require written
notice, "the quality of the communication [had to] rise to the
functional equivalent of written notice." Nguyen v. Southwest
Leasing & Rental, Inc., 282 F.3d 1061, 1066 (9th Cir. 2002). Other
circuits suggested in dicta that former subdivision (a)(6)(A)
required only "actual notice," which, presumably, could have
included oral notice that was not "the functional equivalent of
written notice." See, e.g., Lowry v. McDonnell Douglas Corp., 211
F.3d 457, 464 (8th Cir. 2000). And still other circuits read into
former subdivision (a)(6)(A) restrictions that appeared only in
former subdivision (a)(6)(B) (such as the requirement that notice
be received "from the district court or any party," see Benavides
v. Bureau of Prisons, 79 F.3d 1211, 1214 (D.C. Cir. 1996)) or that
appeared in neither former subdivision (a)(6)(A) nor former
subdivision (a)(6)(B) (such as the requirement that notice be
served in the manner prescribed by Civil Rule 5, see Ryan v. First
Unum Life Ins. Co., 174 F.3d 302, 304-05 (2d Cir. 1999)).
Former subdivision (a)(6)(A) - new subdivision (a)(6)(B) - has
been amended to resolve this circuit split by providing that only
formal notice of the entry of a judgment or order under Civil Rule
77(d) will trigger the 7-day period. Using Civil Rule 77(d) notice
as the trigger has two advantages: First, because Civil Rule 77(d)
is clear and familiar, circuit splits are unlikely to develop over
its meaning. Second, because Civil Rule 77(d) notice must be served
under Civil Rule 5(b), establishing whether and when such notice
was provided should generally not be difficult.
Using Civil Rule 77(d) notice to trigger the 7-day period will
not unduly delay appellate proceedings. Rule 4(a)(6) applies to
only a small number of cases - cases in which a party was not
notified of a judgment or order by either the clerk or another
party within 21 days after entry. Even with respect to those cases,
an appeal cannot be brought more than 180 days after entry, no
matter what the circumstances. In addition, Civil Rule 77(d)
permits parties to serve notice of the entry of a judgment or
order. The winning party can prevent Rule 4(a)(6) from even coming
into play simply by serving notice of entry within 21 days. Failing
that, the winning party can always trigger the 7-day deadline to
move to reopen by serving belated notice.
Changes Made After Publication and Comments. No change was made
to the text of subdivision (A) - regarding the type of notice that
precludes a party from later moving to reopen the time to appeal -
and only minor stylistic changes were made to the Committee Note to
subdivision (A).
A substantial change was made to subdivision (B) - regarding the
type of notice that triggers the 7-day deadline for moving to
reopen the time to appeal. Under the published version of
subdivision (B), the 7-day deadline would have been triggered when
"the moving party receives or observes written notice of the entry
from any source." The Committee was attempting to implement an
"eyes/ears" distinction: The 7-day period was triggered when a
party learned of the entry of a judgment or order by reading about
it (whether on a piece of paper or a computer screen), but was not
triggered when a party merely heard about it.
Above all else, subdivision (B) should be clear and easy to
apply; it should neither risk opening another circuit split over
its meaning nor create the need for a lot of factfinding by
district courts. After considering the public comments - and, in
particular, the comments of two committees of the California bar -
the Committee decided that subdivision (B) could do better on both
counts. The published standard - "receives or observes written
notice of the entry from any source" - was awkward and, despite the
guidance of the Committee Note, was likely to give courts problems.
Even if the standard had proved to be sufficiently clear, district
courts would still have been left to make factual findings about
whether a particular attorney or party "received" or "observed"
notice that was written or electronic.
The Committee concluded that the solution suggested by the
California bar - using Civil Rule 77(d) notice to trigger the 7-day
period - made a lot of sense. The standard is clear; no one doubts
what it means to be served with notice of the entry of judgment
under Civil Rule 77(d). The standard is also unlikely to give rise
to many factual disputes. Civil Rule 77(d) notice must be formally
served under Civil Rule 5(b), so establishing the presence or
absence of such notice should be relatively easy. And, for the
reasons described in the Committee Note, using Civil Rule 77(d) as
the trigger will not unduly delay appellate proceedings.
For these reasons, the Committee amended subdivision (B) so that
the 7-day deadline will be triggered only by notice of the entry of
a judgment or order that is served under Civil Rule 77(d).
(Corresponding changes were made to the Committee Note.) The
Committee does not believe that the amendment needs to be published
again for comment, as the issue of what type of notice should
trigger the 7-day deadline has already been addressed by
commentators, the revised version of subdivision (B) is far more
forgiving than the published version, and it is highly unlikely
that the revised version will be found ambiguous in any respect.

-REFTEXT-
REFERENCES IN TEXT
The Federal Rules of Civil Procedure, referred to in subd.
(a)(4), (6), and (7), are set out in this Appendix.
The Federal Rules of Criminal Procedure, referred to in subd.
(b)(3), (5), are set out in the Appendix to Title 18, Crimes and
Criminal Procedure.


-MISC2-
AMENDMENT BY PUBLIC LAW
1988 - Subd. (b). Pub. L. 100-690 inserted "(i)" and "or (ii) a
notice of appeal by the Government" in first sentence, and "(i)"
and "or (ii) a notice of appeal by any defendant" in fifth
sentence.

-End-



-CITE-
28 USC APPENDIX Rule 5 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 5. Appeal by Permission

-STATUTE-
(a) Petition for Permission to Appeal.
(1) To request permission to appeal when an appeal is within
the court of appeals' discretion, a party must file a petition
for permission to appeal. The petition must be filed with the
circuit clerk with proof of service on all other parties to the
district-court action.
(2) The petition must be filed within the time specified by the
statute or rule authorizing the appeal or, if no such time is
specified, within the time provided by Rule 4(a) for filing a
notice of appeal.
(3) If a party cannot petition for appeal unless the district
court first enters an order granting permission to do so or
stating that the necessary conditions are met, the district court
may amend its order, either on its own or in response to a
party's motion, to include the required permission or statement.
In that event, the time to petition runs from entry of the
amended order.

(b) Contents of the Petition; Answer or Cross-Petition; Oral
Argument.
(1) The petition must include the following:
(A) the facts necessary to understand the question presented;
(B) the question itself;
(C) the relief sought;
(D) the reasons why the appeal should be allowed and is
authorized by a statute or rule; and
(E) an attached copy of:
(i) the order, decree, or judgment complained of and any
related opinion or memorandum, and
(ii) any order stating the district court's permission to
appeal or finding that the necessary conditions are met.

(2) A party may file an answer in opposition or a cross-
petition within 7 days after the petition is served.
(3) The petition and answer will be submitted without oral
argument unless the court of appeals orders otherwise.

(c) Form of Papers; Number of Copies. All papers must conform to
Rule 32(c)(2). Except by the court's permission, a paper must not
exceed 20 pages, exclusive of the disclosure statement, the proof
of service, and the accompanying documents required by Rule
5(b)(1)(E). An original and 3 copies must be filed unless the court
requires a different number by local rule or by order in a
particular case.
(d) Grant of Permission; Fees; Cost Bond; Filing the Record.
(1) Within 10 days after the entry of the order granting
permission to appeal, the appellant must:
(A) pay the district clerk all required fees; and
(B) file a cost bond if required under Rule 7.

(2) A notice of appeal need not be filed. The date when the
order granting permission to appeal is entered serves as the date
of the notice of appeal for calculating time under these rules.
(3) The district clerk must notify the circuit clerk once the
petitioner has paid the fees. Upon receiving this notice, the
circuit clerk must enter the appeal on the docket. The record
must be forwarded and filed in accordance with Rules 11 and
12(c).

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule is derived in the main from Third Circuit Rule 11(2),
which is similar to the rule governing appeals under 28 U.S.C. Sec.
1292(b) in a majority of the circuits. The second sentence of
subdivision (a) resolves a conflict over the question of whether
the district court can amend an order by supplying the statement
required by Sec. 1292(b) at any time after entry of the order, with
the result that the time fixed by the statute commences to run on
the date of entry of the order as amended. Compare Milbert v. Bison
Laboratories, 260 F.2d 431 (3d Cir., 1958) with Sperry Rand
Corporation v. Bell Telephone Laboratories, 272 F.2d (2d Cir.,
1959), Hadjipateras v. Pacifica, S.A., 290 F.2d 697 (5th Cir.,
1961), and Houston Fearless Corporation v. Teter, 313 F.2d 91 (10th
Cir., 1962). The view taken by the Second, Fifth and Tenth Circuits
seems theoretically and practically sound, and the rule adopts it.
Although a majority of the circuits now require the filing of a
notice of appeal following the grant of permission to appeal,
filing of the notice serves no function other than to provide a
time from which the time for transmitting the record and docketing
the appeal begins to run.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment adapts to the practice in appeals from
interlocutory orders under 28 U.S.C. Sec. 1292(b) the provisions of
proposed Rule 3(e) above, requiring payment of all fees in the
district court upon the filing of the notice of appeal. See Note to
proposed amended Rule 3(e), supra.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (c). The amendment makes it clear that a court may
require a different number of copies either by rule or by order in
an individual case. The number of copies of any document that a
court of appeals needs varies depending upon the way in which the
court conducts business. The internal operation of the courts of
appeals necessarily varies from circuit to circuit because of
differences in the number of judges, the geographic area included
within the circuit, and other such factors. Uniformity could be
achieved only by setting the number of copies artificially high so
that parties in all circuits file enough copies to satisfy the
needs of the court requiring the greatest number. Rather than do
that, the Committee decided to make it clear that local rules may
require a greater or lesser number of copies and that, if the
circumstances of a particular case indicate the need for a
different number of copies in that case, the court may so order.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
In 1992 Congress added subsection (e) to 28 U.S.C. Sec. 1292.
Subsection (e) says that the Supreme Court has power to prescribe
rules that "provide for an appeal of an interlocutory decision to
the courts of appeals that is not otherwise provided for" in
section 1292. The amendment of Rule 5 was prompted by the
possibility of new rules authorizing additional interlocutory
appeals. Rather than add a separate rule governing each such
appeal, the Committee believes it is preferable to amend Rule 5 so
that is will govern all such appeals.
In addition the Federal Courts Improvement Act of 1996, Pub. L.
104-317, abolished appeals by permission under 28 U.S.C. Sec.
636(c)(5), making Rule 5.1 obsolete.
This new Rule 5 is intended to govern all discretionary appeals
from district-court orders, judgments, or decrees. At this time
that includes interlocutory appeals under 28 U.S.C. Sec. 1292(b),
(c)(1), and (d)(1) & (2). If additional interlocutory appeals are
authorized under Sec. 1292(e), the new Rule is intended to govern
them if the appeals are discretionary.
Subdivision (a). Paragraph (a)(1) says that when granting an
appeal is within a court of appeals' discretion, a party may file a
petition for permission to appeal. The time for filing provision
states only that the petition must be filed within the time
provided in the statute or rule authorizing the appeal or, if no
such time is specified, within the time provided by Rule 4(a) for
filing a notice of appeal.
Section 1292(b), (c), and (d) provide that the petition must be
filed within 10 days after entry of the order containing the
statement prescribed in the statute. Existing Rule 5(a) provides
that if a district court amends an order to contain the prescribed
statement, the petition must be filed within 10 days after entry of
the amended order. The new rule similarly says that if a party
cannot petition without the district court's permission or
statement that necessary circumstances are present, the district
court may amend its order to include such a statement and the time
to petition runs from the entry of the amended order.
The provision that the Rule 4(a) time for filing a notice of
appeal should apply if the statute or rule is silent about the
filing time was drawn from existing Rule 5.1.
Subdivision (b). The changes made in the provisions in paragraph
(b)(1) are intended only to broaden them sufficiently to make them
appropriate for all discretionary appeals.
In paragraph (b)(2) a uniform time - 7 days - is established for
filing an answer in opposition or cross-petition. Seven days is the
time for responding under existing Rule 5 and is an appropriate
length of time when dealing with an interlocutory appeal. Although
existing Rule 5.1 provides 14 days for responding, the Committee
does not believe that the longer response time is necessary.
Subdivision (c). Subdivision (c) is substantively unchanged.
Subdivision (d). Paragraph (d)(2) is amended to state that "the
date when the order granting permission to appeal is entered serves
as the date of the notice of appeal" for purposes of calculating
time under the rules. That language simply clarifies existing
practice.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (c). A petition for permission to appeal, a cross-
petition for permission to appeal, and an answer to a petition or
cross-petition for permission to appeal are all "other papers" for
purposes of Rule 32(c)(2), and all of the requirements of Rule
32(a) apply to those papers, except as provided in Rule 32(c)(2).
During the 1998 restyling of the Federal Rules of Appellate
Procedure, Rule 5(c) was inadvertently changed to suggest that only
the requirements of Rule 32(a)(1) apply to such papers. Rule 5(c)
has been amended to correct that error.
Rule 5(c) has been further amended to limit the length of papers
filed under Rule 5.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 5.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
[Rule 5.1. Appeal by Leave under 28 U.S.C. Sec. 636(c)(5)]
(Abrogated Apr. 24, 1998, eff. Dec. 1, 1998)


-STATUTE-

-MISC1-
COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The Federal Courts Improvement Act of 1996, Pub. L. No. 104-317,
abolished appeals by permission under 28 U.S.C. Sec. 636(c)(5),
making Rule 5.1 obsolete. Rule 5.1 is, therefore, abrogated.

-End-



-CITE-
28 USC APPENDIX Rule 6 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 6. Appeal in a Bankruptcy Case from a Final Judgment, Order,
or Decree of a District Court or Bankruptcy Appellate Panel

-STATUTE-
(a) Appeal From a Judgment, Order, or Decree of a District Court
Exercising Original Jurisdiction in a Bankruptcy Case. An appeal to
a court of appeals from a final judgment, order, or decree of a
district court exercising jurisdiction under 28 U.S.C. Sec. 1334 is
taken as any other civil appeal under these rules.
(b) Appeal From a Judgment, Order, or Decree of a District Court
or Bankruptcy Appellate Panel Exercising Appellate Jurisdiction in
a Bankruptcy Case.
(1) Applicability of Other Rules. These rules apply to an
appeal to a court of appeals under 28 U.S.C. Sec. 158(d) from a
final judgment, order, or decree of a district court or
bankruptcy appellate panel exercising appellate jurisdiction
under 28 U.S.C. Sec. 158(a) or (b). But there are 3 exceptions:
(A) Rules 4(a)(4), 4(b), 9, 10, 11, 12(b), 13-20, 22-23, and
24(b) do not apply;
(B) the reference in Rule 3(c) to "Form 1 in the Appendix of
Forms" must be read as a reference to Form 5; and
(C) when the appeal is from a bankruptcy appellate panel, the
term "district court," as used in any applicable rule, means
"appellate panel."

(2) Additional Rules. In addition to the rules made applicable
by Rule 6(b)(1), the following rules apply:
(A) Motion for Rehearing.
(i) If a timely motion for rehearing under Bankruptcy Rule
8015 is filed, the time to appeal for all parties runs from
the entry of the order disposing of the motion. A notice of
appeal filed after the district court or bankruptcy appellate
panel announces or enters a judgment, order, or decree - but
before disposition of the motion for rehearing - becomes
effective when the order disposing of the motion for
rehearing is entered.
(ii) Appellate review of the order disposing of the motion
requires the party, in compliance with Rules 3(c) and
6(b)(1)(B), to amend a previously filed notice of appeal. A
party intending to challenge an altered or amended judgment,
order, or decree must file a notice of appeal or amended
notice of appeal within the time prescribed by Rule 4 -
excluding Rules 4(a)(4) and 4(b) - measured from the entry of
the order disposing of the motion.
(iii) No additional fee is required to file an amended
notice.

(B) The Record on Appeal.
(i) Within 10 days after filing the notice of appeal, the
appellant must file with the clerk possessing the record
assembled in accordance with Bankruptcy Rule 8006 - and serve
on the appellee - a statement of the issues to be presented
on appeal and a designation of the record to be certified and
sent to the circuit clerk.
(ii) An appellee who believes that other parts of the
record are necessary must, within 10 days after being served
with the appellant's designation, file with the clerk and
serve on the appellant a designation of additional parts to
be included.
(iii) The record on appeal consists of:
-- the redesignated record as provided above;
-- the proceedings in the district court or bankruptcy
appellate panel; and
-- a certified copy of the docket entries prepared by the
clerk under Rule 3(d).

(C) Forwarding the Record.
(i) When the record is complete, the district clerk or
bankruptcy appellate panel clerk must number the documents
constituting the record and send them promptly to the circuit
clerk together with a list of the documents correspondingly
numbered and reasonably identified. Unless directed to do so
by a party or the circuit clerk, the clerk will not send to
the court of appeals documents of unusual bulk or weight,
physical exhibits other than documents, or other parts of the
record designated for omission by local rule of the court of
appeals. If the exhibits are unusually bulky or heavy, a
party must arrange with the clerks in advance for their
transportation and receipt.
(ii) All parties must do whatever else is necessary to
enable the clerk to assemble and forward the record. The
court of appeals may provide by rule or order that a
certified copy of the docket entries be sent in place of the
redesignated record, but any party may request at any time
during the pendency of the appeal that the redesignated
record be sent.

(D) Filing the Record. Upon receiving the record - or a
certified copy of the docket entries sent in place of the
redesignated record - the circuit clerk must file it and
immediately notify all parties of the filing date.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Apr. 25, 1989, eff.
Dec. 1, 1989; Apr. 30, 1991, eff. Dec. 1, 1991; Apr. 22, 1993, eff.
Dec. 1, 1993; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule is substantially a restatement of present procedure.
See D.C. Cir. Rule 34; 6th Cir. Rule 11; 7th Cir. Rule 10(d); 10th
Cir. Rule 13.
Present circuit rules commonly provide that the petition for
allowance of an appeal shall be filed within the time allowed by
Section 25 of the Bankruptcy Act for taking appeals of right. For
the reasons explained in the Note accompanying Rule 4, that rule
makes the time for appeal in bankruptcy cases the same as that
which obtains in other civil cases and thus supersedes Section 25.
Thus the present rule simply continues the former practice of
making the time for filing the petition in appeals by allowance the
same as that provided for filing the notice of appeal in appeals of
right.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment adapts to the practice in appeals by
allowance in bankruptcy proceedings the provisions of proposed Rule
3(e) above, requiring payment of all fees in the district court at
the time of the filing of the notice of appeal. See Note to Rule
3(e), supra.

NOTES OF ADVISORY COMMITTEE ON RULES - 1989 AMENDMENT
A new Rule 6 is proposed. The Bankruptcy Reform Act of 1978, Pub.
L. No. 95-598, 92 Stat. 2549, the Supreme Court decision in
Northern Pipeline Construction Co. v. Marathon Pipe Line Co., 458
U.S. 50 (1982), and the Bankruptcy Amendments and Federal Judgeship
Act of 1984, Pub. L. No. 98-353, 98 Stat. 333, have made the
existing Rule 6 obsolete.
Subdivision (a). Subdivision (a) provides that when a district
court exercises original jurisdiction in a bankruptcy matter,
rather than referring it to a bankruptcy judge for a final
determination, the appeal should be taken in identical fashion as
appeals from district court decisions in other civil actions. A
district court exercises original jurisdiction and this subdivision
applies when the district court enters a final order or judgment
upon consideration of a bankruptcy judge's proposed findings of
fact and conclusions of law in a non-core proceeding pursuant to 28
U.S.C. Sec. 157(c)(1) or when a district court withdraws a
proceeding pursuant to 28 U.S.C. Sec. 157(d). This subdivision is
included to avoid uncertainty arising from the question of whether
a bankruptcy case is a civil case. The rules refer at various
points to the procedure "in a civil case", see, e.g. Rule 4(a)(1).
Subdivision (a) makes it clear that such rules apply to an appeal
from a district court bankruptcy decision.
Subdivision (b). Subdivision (b) governs appeals that follow
intermediate review of a bankruptcy judge's decision by a district
court or a bankruptcy appellate panel.
Subdivision (b)(1). Subdivision (b)(1) provides for the general
applicability of the Federal Rules of Appellate Procedure, with
specified exceptions, to appeals covered by subdivision (b) and
makes necessary word adjustments.
Subdivision (b)(2). Paragraph (i) provides that the time for
filing a notice of appeal shall begin to run anew from the entry of
an order denying a rehearing or from the entry of a subsequent
judgment. The Committee deliberately omitted from the rule any
provision governing the validity of a notice of appeal filed prior
to the entry of an order denying a rehearing; the Committee
intended to leave undisturbed the current state of the law on that
issue. Paragraph (ii) calls for a redesignation of the appellate
record assembled in the bankruptcy court pursuant to Rule 8006 of
the Rules of Bankruptcy Procedure. After an intermediate appeal, a
party may well narrow the focus of its efforts on the second appeal
and a redesignation of the record may eliminate unnecessary
material. The proceedings during the first appeal are included to
cover the possibility that independent error in the intermediate
appeal, for example failure to follow appropriate procedures, may
be assigned in the court of appeals. Paragraph (iii) provides for
the transmission of the record and tracks the appropriate
subsections of Rule 11. Paragraph (iv) provides for the filing of
the record and notices to the parties. Paragraph (ii) and Paragraph
(iv) both refer to "a certified copy of the docket entries". The
"docket entries" referred to are the docket entries in the district
court or the bankruptcy appellate panel, not the entire docket in
the bankruptcy court.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Note to Subparagraph (b)(2)(i). The amendment accompanies
concurrent changes to Rule 4(a)(4). Although Rule 6 never included
language such as that being changed in Rule 4(a)(4), language that
made a notice of appeal void if it was filed before, or during the
pendency of, certain posttrial motions, courts have found that a
notice of appeal is premature if it is filed before the court
disposes of a motion for rehearing. See, e.g., In re X-Cel, Inc.,
823 F.2d 192 (7th Cir. 1987); In re Shah, 859 F.2d 1463 (10th Cir.
1988). The Committee wants to achieve the same result here as in
Rule 4, the elimination of a procedural trap.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.
Subdivision (b). Language is added to Rule 6(b)(2)(A)(ii) to
conform with the corresponding provision in Rule 4(a)(4). The new
language is clarifying rather than substantive. The existing rule
states that a party intending to challenge an alteration or
amendment of a judgment must file an amended notice of appeal. Of
course if a party has not previously filed a notice of appeal, the
party would simply file a notice of appeal not an amended one. The
new language states that the party must file "a notice of appeal or
amended notice of appeal."

-REFTEXT-
REFERENCES IN TEXT
The Bankruptcy Rules, referred to in subd. (b)(2)(A)(i), (B)(i),
are set out in the Appendix to Title 11, Bankruptcy.

-End-



-CITE-
28 USC APPENDIX Rule 7 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 7. Bond for Costs on Appeal in a Civil Case

-STATUTE-
In a civil case, the district court may require an appellant to
file a bond or provide other security in any form and amount
necessary to ensure payment of costs on appeal. Rule 8(b) applies
to a surety on a bond given under this rule.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule is derived from FRCP 73(c) without change in substance.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The amendment would eliminate the provision of the present rule
that requires the appellant to file a $250 bond for costs on appeal
at the time of filing his notice of appeal. The $250 provision was
carried forward in the F.R.App.P. from former Rule 73(c) of the
F.R.Civ.P., and the $250 figure has remained unchanged since the
adoption of that rule in 1937. Today it bears no relationship to
actual costs. The amended rule would leave the question of the need
for a bond for costs and its amount in the discretion of the court.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 8 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 8. Stay or Injunction Pending Appeal

-STATUTE-
(a) Motion for Stay.
(1) Initial Motion in the District Court. A party must
ordinarily move first in the district court for the following
relief:
(A) a stay of the judgment or order of a district court
pending appeal;
(B) approval of a supersedeas bond; or
(C) an order suspending, modifying, restoring, or granting an
injunction while an appeal is pending.

(2) Motion in the Court of Appeals; Conditions on Relief. A
motion for the relief mentioned in Rule 8(a)(1) may be made to
the court of appeals or to one of its judges.
(A) The motion must:
(i) show that moving first in the district court would be
impracticable; or
(ii) state that, a motion having been made, the district
court denied the motion or failed to afford the relief
requested and state any reasons given by the district court
for its action.

(B) The motion must also include:
(i) the reasons for granting the relief requested and the
facts relied on;
(ii) originals or copies of affidavits or other sworn
statements supporting facts subject to dispute; and
(iii) relevant parts of the record.

(C) The moving party must give reasonable notice of the
motion to all parties.
(D) A motion under this Rule 8(a)(2) must be filed with the
circuit clerk and normally will be considered by a panel of the
court. But in an exceptional case in which time requirements
make that procedure impracticable, the motion may be made to
and considered by a single judge.
(E) The court may condition relief on a party's filing a bond
or other appropriate security in the district court.

(b) Proceeding Against a Surety. If a party gives security in the
form of a bond or stipulation or other undertaking with one or more
sureties, each surety submits to the jurisdiction of the district
court and irrevocably appoints the district clerk as the surety's
agent on whom any papers affecting the surety's liability on the
bond or undertaking may be served. On motion, a surety's liability
may be enforced in the district court without the necessity of an
independent action. The motion and any notice that the district
court prescribes may be served on the district clerk, who must
promptly mail a copy to each surety whose address is known.
(c) Stay in a Criminal Case. Rule 38 of the Federal Rules of
Criminal Procedure governs a stay in a criminal case.

-SOURCE-
(As amended Mar. 10, 1986, eff. July 1, 1986; Apr. 27, 1995, eff.
Dec. 1, 1995; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). While the power of a court of appeals to stay
proceedings in the district court during the pendency of an appeal
is not explicitly conferred by statute, it exists by virtue of the
all writs statute, 28 U.S.C. Sec. 1651. Eastern Greyhound Lines v.
Fusco, 310 F.2d 632 (6th Cir., 1962); United States v. Lynd, 301
F.2d 818 (5th Cir., 1962); Public Utilities Commission of Dist. of
Col. v. Capital Transit Co., 94 U.S.App.D.C. 140, 214 F.2d 242
(1954). And the Supreme Court has termed the power "inherent" (In
re McKenzie, 180 U.S. 536, 551, 21 S.Ct. 468, 45 L.Ed. 657 (1901))
and "part of its (the court of appeals) traditional equipment for
the administration of justice." (Scripps-Howard Radio v. F.C.C.,
316 U.S. 4, 9-10, 62 S.Ct. 875, 86 L.Ed. 1229 (1942)). The power of
a single judge of the court of appeals to grant a stay pending
appeal was recognized in In re McKenzie, supra. Alexander v. United
States, 173 F.2d 865 (9th Cir., 1949) held that a single judge
could not stay the judgment of a district court, but it noted the
absence of a rule of court authorizing the practice. FRCP 62(g)
adverts to the grant of a stay by a single judge of the appellate
court. The requirement that application be first made to the
district court is the case law rule. Cumberland Tel. & Tel. Co. v.
Louisiana Public Service Commission, 260 U.S. 212, 219, 43 S.Ct.
75, 67 L.Ed. 217 (1922); United States v. El-O-Pathic Pharmacy, 192
F.2d 62 (9th Cir., 1951); United States v. Hansell, 109 F.2d 613
(2d Cir., 1940). The requirement is explicitly stated in FRCrP
38(c) and in the rules of the First, Third, Fourth and Tenth
Circuits. See also Supreme Court Rules 18 and 27.
The statement of the requirement in the proposed rule would work
a minor change in present practice. FRCP 73(e) requires that if a
bond for costs on appeal or a supersedeas bond is offered after the
appeal is docketed, leave to file the bond must be obtained from
the court of appeals. There appears to be no reason why matters
relating to supersedeas and cost bonds should not be initially
presented to the district court whenever they arise prior to the
disposition of the appeal. The requirement of FRCP 73(e) appears to
be a concession to the view that once an appeal is perfected, the
district court loses all power over its judgment. See In re Federal
Facilities Trust, 227 F.2d 651 (7th Cir., 1955) and cases - cited
at 654-655. No reason appears why all questions related to
supersedeas or the bond for costs on appeal should not be presented
in the first instance to the district court in the ordinary case.
Subdivision (b). The provisions respecting a surety upon a bond
or other undertaking are based upon FRCP 65.1.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rule 8(b) are technical. No substantive change
is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1995 AMENDMENT
Subdivision (c). The amendment conforms subdivision (c) to
previous amendments to Fed. R. Crim. P. 38. This amendment strikes
the reference to subdivision (a) of Fed. R. Crim. P. 38 so that
Fed. R. App. P. 8(c) refers instead to all of Criminal Rule 38.
When Rule 8(c) was adopted Fed. R. Crim. P. 38(a) included the
procedures for obtaining a stay of execution when the sentence in
question was death, imprisonment, a fine, or probation. Criminal
Rule 38 was later amended and now addresses those topics in
separate subdivisions. Subdivision 38(a) now addresses only stays
of death sentences. The proper cross reference is to all of
Criminal Rule 38.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-REFTEXT-
REFERENCES IN TEXT
Rule 38 of the Federal Rules of Criminal Procedure, referred to
in subd. (c), are set out in the Appendix to Title 18, Crimes and
Criminal Procedure.

-End-



-CITE-
28 USC APPENDIX Rule 9 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 9. Release in a Criminal Case

-STATUTE-
(a) Release Before Judgment of Conviction.
(1) The district court must state in writing, or orally on the
record, the reasons for an order regarding the release or
detention of a defendant in a criminal case. A party appealing
from the order must file with the court of appeals a copy of the
district court's order and the court's statement of reasons as
soon as practicable after filing the notice of appeal. An
appellant who questions the factual basis for the district
court's order must file a transcript of the release proceedings
or an explanation of why a transcript was not obtained.
(2) After reasonable notice to the appellee, the court of
appeals must promptly determine the appeal on the basis of the
papers, affidavits, and parts of the record that the parties
present or the court requires. Unless the court so orders, briefs
need not be filed.
(3) The court of appeals or one of its judges may order the
defendant's release pending the disposition of the appeal.

(b) Release After Judgment of Conviction. A party entitled to do
so may obtain review of a district-court order regarding release
after a judgment of conviction by filing a notice of appeal from
that order in the district court, or by filing a motion in the
court of appeals if the party has already filed a notice of appeal
from the judgment of conviction. Both the order and the review are
subject to Rule 9(a). The papers filed by the party seeking review
must include a copy of the judgment of conviction.
(c) Criteria for Release. The court must make its decision
regarding release in accordance with the applicable provisions of
18 U.S.C. Secs. 3142, 3143, and 3145(c).

-SOURCE-
(As amended Apr. 24, 1972, eff. Oct. 1, 1972; Pub. L. 98-473, title
II, Sec. 210, Oct. 12, 1984, 98 Stat. 1987; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). The appealability of release orders entered
prior to a judgment of conviction is determined by the provisions
of 18 U.S.C. Sec. 3147, as qualified by 18 U.S.C. Sec. 3148, and by
the rule announced in Stack v. Boyle, 342 U.S. 1, 72 S.Ct. 1, 96
L.Ed. 3 (1951), holding certain orders respecting release
appealable as final orders under 28 U.S.C. Sec. 1291. The language
of the rule, "(an)n appeal authorized by law from an order refusing
or imposing conditions of release," is intentionally broader than
that used in 18 U.S.C. Sec. 3147 in describing orders made
appealable by that section. The summary procedure ordained by the
rule is intended to apply to all appeals from orders respecting
release, and it would appear that at least some orders not made
appealable by 18 U.S.C. Sec. 3147 are nevertheless appealable under
the Stack v. Boyle rationale. See, for example, United States v.
Foster, 278 F.2d 567 (2d Cir., 1960), holding appealable an order
refusing to extend bail limits. Note also the provisions of 18
U.S.C. Sec. 3148, which after withdrawing from persons charged with
an offense punishable by death and from those who have been
convicted of an offense the right of appeal granted by 18 U.S.C.
Sec. 3147, expressly preserves "other rights to judicial review of
conditions of release or orders of detention."
The purpose of the subdivision is to insure the expeditious
determination of appeals respecting release orders, an expedition
commanded by 18 U.S.C. Sec. 3147 and by the Court in Stack v.
Boyle, supra. It permits such appeals to be heard on an informal
record without the necessity of briefs and on reasonable notice.
Equally important to the just and speedy disposition of these
appeals is the requirement that the district court state the
reasons for its decision. See Jones v. United States, 358 F.2d 543
(D.C. Cir., 1966); Rhodes v. United States, 275 F.2d 78 (4th Cir.,
1960); United States v. Williams, 253 F.2d 144 (7th Cir., 1958).
Subdivision (b). This subdivision regulates procedure for review
of an order respecting release at a time when the jurisdiction of
the court of appeals has already attached by virtue of an appeal
from the judgment of conviction. Notwithstanding the fact that
jurisdiction has passed to the court of appeals, both 18 U.S.C.
Sec. 3148 and FRCrP 38(c) contemplate that the initial
determination of whether a convicted defendant is to be released
pending the appeal is to be made by the district court. But at this
point there is obviously no need for a separate appeal from the
order of the district court respecting release. The court of
appeals or a judge thereof has power to effect release on motion as
an incident to the pending appeal. See FRCrP 38(c) and 46(a)(2).
But the motion is functionally identical with the appeal regulated
by subdivision (a) and requires the same speedy determination if
relief is to be effective. Hence the similarity of the procedure
outlined in the two subdivisions.

NOTES OF ADVISORY COMMITTEE ON RULES - 1972 AMENDMENT
Subdivision (c) is intended to bring the rule into conformity
with 18 U.S.C. Sec. 3148 and to allocate to the defendant the
burden of establishing that he will not flee and that he poses no
danger to any other person or to the community. The burden is
placed upon the defendant in the view that the fact of his
conviction justifies retention in custody in situations where doubt
exists as to whether he can be safely released pending disposition
of his appeal. Release pending appeal may also be denied if "it
appears that an appeal is frivolous or taken for delay." 18 U.S.C.
Sec. 3148. The burden of establishing the existence of these
criteria remains with the government.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Rule 9 has been entirely rewritten. The basic structure of the
rule has been retained. Subdivision (a) governs appeals from bail
decisions made before the judgment of conviction is entered at the
time of sentencing. Subdivision (b) governs review of bail
decisions made after sentencing and pending appeal.
Subdivision (a). The subdivision applies to appeals from "an
order regarding release or detention" of a criminal defendant
before judgment of conviction, i.e., before sentencing. See
Fed.R.Crim.P. 32. The old rule applied only to a defendant's appeal
from an order "refusing or imposing conditions of release." The new
broader language is needed because the government is now permitted
to appeal bail decisions in certain circumstances. 18 U.S.C. Secs.
3145 and 3731. For the same reason, the rule now requires a
district court to state reasons for its decision in all instances,
not only when it refuses release or imposes conditions on release.
The rule requires a party appealing from a district court's
decision to supply the court of appeals with a copy of the district
court's order and its statement of reasons. In addition, an
appellant who questions the factual basis for the district court's
decision must file a transcript of the release proceedings, if
possible. The rule also permits a court to require additional
papers. A court must act promptly to decide these appeals; lack of
pertinent information can cause delays. The old rule left the
determination of what should be filed entirely within the party's
discretion; it stated that the court of appeals would hear the
appeal "upon such papers, affidavits, and portions of the record as
the parties shall present."
Subdivision (b). This subdivision applies to review of a district
court's decision regarding release made after judgment of
conviction. As in subdivision (a), the language has been changed to
accommodate the government's ability to seek review.
The word "review" is used in this subdivision, rather than
"appeal" because review may be obtained, in some instances, upon
motion. Review may be obtained by motion if the party has already
filed a notice of appeal from the judgment of conviction. If the
party desiring review of the release decision has not filed such a
notice of appeal, review may be obtained only by filing a notice of
appeal from the order regarding release.
The requirements of subdivision (a) apply to both the order and
the review. That is, the district court must state its reasons for
the order. The party seeking review must supply the court of
appeals with the same information required by subdivision (a). In
addition, the party seeking review must also supply the court with
information about the conviction and the sentence.
Subdivision (c). This subdivision has been amended to include
references to the correct statutory provisions.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

AMENDMENT BY PUBLIC LAW
1984 - Subd. (c). Pub. L. 98-473 substituted "3143" for "3148"
and inserted "and that the appeal is not for purpose of delay and
raises a substantial question of law or fact likely to result in
reversal or in an order for a new trial" after "community".

-End-



-CITE-
28 USC APPENDIX Rule 10 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 10. The Record on Appeal

-STATUTE-
(a) Composition of the Record on Appeal. The following items
constitute the record on appeal:
(1) the original papers and exhibits filed in the district
court;
(2) the transcript of proceedings, if any; and
(3) a certified copy of the docket entries prepared by the
district clerk.

(b) The Transcript of Proceedings.
(1) Appellant's Duty to Order. Within 10 days after filing the
notice of appeal or entry of an order disposing of the last
timely remaining motion of a type specified in Rule 4(a)(4)(A),
whichever is later, the appellant must do either of the
following:
(A) order from the reporter a transcript of such parts of the
proceedings not already on file as the appellant considers
necessary, subject to a local rule of the court of appeals and
with the following qualifications:
(i) the order must be in writing;
(ii) if the cost of the transcript is to be paid by the
United States under the Criminal Justice Act, the order must
so state; and
(iii) the appellant must, within the same period, file a
copy of the order with the district clerk; or

(B) file a certificate stating that no transcript will be
ordered.

(2) Unsupported Finding or Conclusion. If the appellant intends
to urge on appeal that a finding or conclusion is unsupported by
the evidence or is contrary to the evidence, the appellant must
include in the record a transcript of all evidence relevant to
that finding or conclusion.
(3) Partial Transcript. Unless the entire transcript is
ordered:
(A) the appellant must - within the 10 days provided in Rule
10(b)(1) - file a statement of the issues that the appellant
intends to present on the appeal and must serve on the appellee
a copy of both the order or certificate and the statement;
(B) if the appellee considers it necessary to have a
transcript of other parts of the proceedings, the appellee
must, within 10 days after the service of the order or
certificate and the statement of the issues, file and serve on
the appellant a designation of additional parts to be ordered;
and
(C) unless within 10 days after service of that designation
the appellant has ordered all such parts, and has so notified
the appellee, the appellee may within the following 10 days
either order the parts or move in the district court for an
order requiring the appellant to do so.

(4) Payment. At the time of ordering, a party must make
satisfactory arrangements with the reporter for paying the cost
of the transcript.

(c) Statement of the Evidence When the Proceedings Were Not
Recorded or When a Transcript Is Unavailable. If the transcript of
a hearing or trial is unavailable, the appellant may prepare a
statement of the evidence or proceedings from the best available
means, including the appellant's recollection. The statement must
be served on the appellee, who may serve objections or proposed
amendments within 10 days after being served. The statement and any
objections or proposed amendments must then be submitted to the
district court for settlement and approval. As settled and
approved, the statement must be included by the district clerk in
the record on appeal.
(d) Agreed Statement as the Record on Appeal. In place of the
record on appeal as defined in Rule 10(a), the parties may prepare,
sign, and submit to the district court a statement of the case
showing how the issues presented by the appeal arose and were
decided in the district court. The statement must set forth only
those facts averred and proved or sought to be proved that are
essential to the courts resolution of the issues. If the statement
is truthful, it - together with any additions that the district
court may consider necessary to a full presentation of the issues
on appeal - must be approved by the district court and must then be
certified to the court of appeals as the record on appeal. The
district clerk must then send it to the circuit clerk within the
time provided by Rule 11. A copy of the agreed statement may be
filed in place of the appendix required by Rule 30.
(e) Correction or Modification of the Record.
(1) If any difference arises about whether the record truly
discloses what occurred in the district court, the difference
must be submitted to and settled by that court and the record
conformed accordingly.
(2) If anything material to either party is omitted from or
misstated in the record by error or accident, the omission or
misstatement may be corrected and a supplemental record may be
certified and forwarded:
(A) on stipulation of the parties;
(B) by the district court before or after the record has been
forwarded; or
(C) by the court of appeals.

(3) All other questions as to the form and content of the
record must be presented to the court of appeals.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 30, 1991, eff. Dec. 1, 1991; Apr. 22, 1993, eff.
Dec. 1, 1993; Apr. 27, 1995, eff. Dec. 1, 1995; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule is derived from FRCP 75(a), (b), (c) and (d) and FRCP
76, without change in substance.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendments to Rule 10(b) would require the appellant
to place with the reporter a written order for the transcript of
proceedings and file a copy with the clerk, and to indicate on the
order if the transcript is to be provided under the Criminal
Justice Act. If the appellant does not plan to order a transcript
of any of the proceedings, he must file a certificate to that
effect. These requirements make the appellant's steps in readying
the appeal a matter of record and give the district court notice of
requests for transcripts at the expense of the United States under
the Criminal Justice Act. They are also the third step in giving
the court of appeals some control over the production and
transmission of the record. See Note to Rules 3(d)(e) above and
Rule 11 below.
In the event the appellant orders no transcript, or orders a
transcript of less than all the proceedings, the procedure under
the proposed amended rule remains substantially as before. The
appellant must serve on the appellee a copy of his order or in the
event no order is placed, of the certificate to that effect, and a
statement of the issues he intends to present on appeal, and the
appellee may thereupon designate additional parts of the transcript
to be included, and upon appellant's refusal to order the
additional parts, may either order them himself or seek an order
requiring the appellant to order them. The only change proposed in
this procedure is to place a 10 day time limit on motions to
require the appellant to order the additional portions.
Rule 10(b) is made subject to local rules of the courts of
appeals in recognition of the practice in some circuits in some
classes of cases, e. g., appeals by indigents in criminal cases
after a short trial, of ordering immediate preparation of a
complete transcript, thus making compliance with the rule
unnecessary.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 10(b) and (c) are technical. No
substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
The amendment is technical and no substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1995 AMENDMENT
Subdivision (b)(1). The amendment conforms this rule to
amendments made in Rule 4(a)(4) in 1993. The amendments to Rule
4(a)(4) provide that certain postjudgment motions have the effect
of suspending a filed notice of appeal until the disposition of the
last of such motions. The purpose of this amendment is to suspend
the 10-day period for ordering a transcript if a timely
postjudgment motion is made and a notice of appeal is suspended
under Rule 4(a)(4). The 10-day period set forth in the first
sentence of this rule begins to run when the order disposing of the
last of such postjudgment motions outstanding is entered.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-REFTEXT-
REFERENCES IN TEXT
The Criminal Justice Act, referred to in subd. (b)(1)(A)(ii),
probably means the Criminal Justice Act of 1964, Pub. L. 88-455,
Aug. 20, 1964, 78 Stat. 552, as amended, which enacted section
3006A of Title 18, Crimes and Criminal Procedure, and provisions
set out as notes under section 3006A of Title 18. For complete
classification of this Act to the Code, see Short Title note set
out under section 3006A of Title 18 and Tables.

-End-



-CITE-
28 USC APPENDIX Rule 11 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 11. Forwarding the Record

-STATUTE-
(a) Appellant's Duty. An appellant filing a notice of appeal must
comply with Rule 10(b) and must do whatever else is necessary to
enable the clerk to assemble and forward the record. If there are
multiple appeals from a judgment or order, the clerk must forward a
single record.
(b) Duties of Reporter and District Clerk.
(1) Reporter's Duty to Prepare and File a Transcript. The
reporter must prepare and file a transcript as follows:
(A) Upon receiving an order for a transcript, the reporter
must enter at the foot of the order the date of its receipt and
the expected completion date and send a copy, so endorsed, to
the circuit clerk.
(B) If the transcript cannot be completed within 30 days of
the reporters receipt of the order, the reporter may request
the circuit clerk to grant additional time to complete it. The
clerk must note on the docket the action taken and notify the
parties.
(C) When a transcript is complete, the reporter must file it
with the district clerk and notify the circuit clerk of the
filing.
(D) If the reporter fails to file the transcript on time, the
circuit clerk must notify the district judge and do whatever
else the court of appeals directs.

(2) District Clerk's Duty to Forward. When the record is
complete, the district clerk must number the documents
constituting the record and send them promptly to the circuit
clerk together with a list of the documents correspondingly
numbered and reasonably identified. Unless directed to do so by a
party or the circuit clerk, the district clerk will not send to
the court of appeals documents of unusual bulk or weight,
physical exhibits other than documents, or other parts of the
record designated for omission by local rule of the court of
appeals. If the exhibits are unusually bulky or heavy, a party
must arrange with the clerks in advance for their transportation
and receipt.

(c) Retaining the Record Temporarily in the District Court for
Use in Preparing the Appeal. The parties may stipulate, or the
district court on motion may order, that the district clerk retain
the record temporarily for the parties to use in preparing the
papers on appeal. In that event the district clerk must certify to
the circuit clerk that the record on appeal is complete. Upon
receipt of the appellee's brief, or earlier if the court orders or
the parties agree, the appellant must request the district clerk to
forward the record.
(d) [Abrogated.]
(e) Retaining the Record by Court Order.
(1) The court of appeals may, by order or local rule, provide
that a certified copy of the docket entries be forwarded instead
of the entire record. But a party may at any time during the
appeal request that designated parts of the record be forwarded.
(2) The district court may order the record or some part of it
retained if the court needs it while the appeal is pending,
subject, however, to call by the court of appeals.
(3) If part or all of the record is ordered retained, the
district clerk must send to the court of appeals a copy of the
order and the docket entries together with the parts of the
original record allowed by the district court and copies of any
parts of the record designated by the parties.

(f) Retaining Parts of the Record in the District Court by
Stipulation of the Parties. The parties may agree by written
stipulation filed in the district court that designated parts of
the record be retained in the district court subject to call by the
court of appeals or request by a party. The parts of the record so
designated remain a part of the record on appeal.
(g) Record for a Preliminary Motion in the Court of Appeals. If,
before the record is forwarded, a party makes any of the following
motions in the court of appeals:
-- for dismissal;
-- for release;
-- for a stay pending appeal;
-- for additional security on the bond on appeal or on a
supersedeas bond; or
-- for any other intermediate order -

the district clerk must send the court of appeals any parts of the
record designated by any party.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivisions (a) and (b). These subdivisions are derived from
FRCP 73(g) and FRCP 75(e). FRCP 75(e) presently directs the clerk
of the district court to transmit the record within the time
allowed or fixed for its filing, which, under the provisions of
FRCP 73(g) is within 40 days from the date of filing the notice of
appeal, unless an extension is obtained from the district court.
The precise time at which the record must be transmitted thus
depends upon the time required for delivery of the record from the
district court to the court of appeals, since, to permit its timely
filing, it must reach the court of appeals before expiration of the
40-day period of an extension thereof. Subdivision (a) of this rule
provides that the record is to be transmitted within the 40-day
period, or any extension thereof; subdivision (b) provides that
transmission is effected when the clerk of the district court mails
or otherwise forwards the record to the clerk of the court of
appeals; Rule 12(b) directs the clerk of the court of appeals to
file the record upon its receipt following timely docketing and
transmittal. It can thus be determined with certainty precisely
when the clerk of the district court must forward the record to the
clerk of the court of appeals in order to effect timely filing: the
final day of the 40-day period or of any extension thereof.
Subdivision (c). This subdivision is derived from FRCP 75(e)
without change of substance.
Subdivision (d). This subdivision is derived from FRCP 73(g) and
FRCrP 39(c). Under present rules the district court is empowered to
extend the time for filing the record and docketing the appeal.
Since under the proposed rule timely transmission now insures
timely filing (see note to subdivisions (a) and (b) above) the
power of the district court is expressed in terms of its power to
extend the time for transmitting the record. Restriction of that
power to a period of 90 days after the filing of the notice of
appeal represents a change in the rule with respect to appeals in
criminal cases. FRCrP 39(c) now permits the district court to
extend the time for filing and docketing without restriction. No
good reason appears for a difference between the civil and criminal
rule in this regard, and subdivision (d) limits the power of the
district court to extend the time for transmitting the record in
all cases to 90 days from the date of filing the notice of appeal,
just as its power is now limited with respect to docketing and
filing in civil cases. Subdivision (d) makes explicit the power of
the court of appeals to permit the record to be filed at any time.
See Pyramid Motor Freight Corporation v. Ispass, 330, U.S. 695, 67
S.Ct. 954, 91 L.Ed. 1184 (1947).
Subdivisions (e), (f) and (g). These subdivisions are derived
from FRCP 75(f), (a) and (g), respectively, without change of
substance.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Under present Rule 11(a) it is provided that the record shall be
transmitted to the court of appeals within 40 days after the filing
of the notice of appeal. Under present Rule 11(d) the district
court, on request made during the initial time or any extension
thereof, and cause shown, may extend the time for the transmission
of the record to a point not more than 90 days after the filing of
the first notice of appeal. If the district court is without
authority to grant a request to extend the time, or denies a
request for extension, the appellant may make a motion for
extension of time in the court of appeals. Thus the duty to see
that the record is transmitted is placed on the appellant. Aside
from ordering the transcript within the time prescribed the
appellant has no control over the time at which the record is
transmitted, since all steps beyond this point are in the hands of
the reporter and the clerk. The proposed amendments recognize this
fact and place the duty directly on the reporter and the clerk.
After receiving the written order for the transcript (See Note to
Rule 10(b) above), the reporter must acknowledge its receipt,
indicate when he expects to have it completed, and mail the order
so endorsed to the clerk of the court of appeals. Requests for
extensions of time must be made by the reporter to the clerk of the
court of appeals and action on such requests is entered on the
docket. Thus from the point at which the transcript is ordered the
clerk of the court of appeals is made aware of any delays. If the
transcript is not filed on time, the clerk of the court of appeals
will notify the district judge.
Present Rule 11(b) provides that the record shall be transmitted
when it is "complete for the purposes of the appeal." The proposed
amended rule continues this requirement. The record is complete for
the purposes of the appeal when it contains the original papers on
file in the clerk's office, all necessary exhibits, and the
transcript, if one is to be included. Cf. present Rule 11(c). The
original papers will be in the custody of the clerk of the district
court at the time the notice of appeal is filed. See Rule 5(e) of
the F.R.C.P. The custody of exhibits is often the subject of local
rules. Some of them require that documentary exhibits must be
deposited with the clerk. See Local Rule 13 of the Eastern District
of Virginia. Others leave exhibits with counsel, subject to order
of the court. See Local Rule 33 of the Northern District of
Illinois. If under local rules the custody of exhibits is left with
counsel, the district court should make adequate provision for
their preservation during the time during which an appeal may be
taken, the prompt deposit with the clerk of such as under Rule
11(b) are to be transmitted to the court of appeals, and the
availability of others in the event that the court of appeals
should require their transmission. Cf. Local Rule 11 of the Second
Circuit.
Usually the record will be complete with the filing of the
transcript. While the proposed amendment requires transmission
"forthwith" when the record is complete, it was not designed to
preclude a local requirement by the court of appeals that the
original papers and exhibits be transmitted when complete without
awaiting the filing of the transcript.
The proposed amendments continue the provision in the present
rule that documents of unusual bulk or weight and physical exhibits
other than documents shall not be transmitted without direction by
the parties or by the court of appeals, and the requirement that
the parties make special arrangements for transmission and receipt
of exhibits of unusual bulk or weight. In addition, they give
recognition to local rules that make transmission of other record
items subject to order of the court of appeals. See Local Rule 4 of
the Seventh Circuit.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rule 11(b) are technical. No substantive change
is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 12 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE II. APPEAL FROM A JUDGMENT OR ORDER OF A DISTRICT COURT

-HEAD-
Rule 12. Docketing the Appeal; Filing a Representation Statement;
Filing the Record

-STATUTE-
(a) Docketing the Appeal. Upon receiving the copy of the notice
of appeal and the docket entries from the district clerk under Rule
3(d), the circuit clerk must docket the appeal under the title of
the district-court action and must identify the appellant, adding
the appellant's name if necessary.
(b) Filing a Representation Statement. Unless the court of
appeals designates another time, the attorney who filed the notice
of appeal must, within 10 days after filing the notice, file a
statement with the circuit clerk naming the parties that the
attorney represents on appeal.
(c) Filing the Record, Partial Record, or Certificate. Upon
receiving the record, partial record, or district clerk's
certificate as provided in Rule 11, the circuit clerk must file it
and immediately notify all parties of the filing date.

-SOURCE-
(As amended Apr. 1, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). All that is involved in the docketing of an
appeal is the payment of the docket fee. In practice, after the
clerk of the court of appeals receives the record from the clerk of
the district court he notifies the appellant of its receipt and
requests payment of the fee. Upon receipt of the fee, the clerk
enters the appeal upon the docket and files the record. The
appellant is allowed to pay the fee at any time within the time
allowed or fixed for transmission of the record and thereby to
discharge his responsibility for docketing. The final sentence is
added in the interest of facilitating future reference and citation
and location of cases in indexes. Compare 3d Cir. Rule 10(2); 4th
Cir. Rule 9(8); 6th Cir. Rule 14(1).
Subdivision (c). The rules of the circuits generally permit the
appellee to move for dismissal in the event the appellant fails to
effect timely filing of the record. See 1st Cir. Rule 21(3); 3d
Cir. Rule 21(4); 5th Cir. Rule 16(1); 8th Cir. Rule 7(d).

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Subdivision (a). Under present Rule 12(a) the appellant must pay
the docket fee within the time fixed for the transmission of the
record, and upon timely payment of the fee, the appeal is docketed.
The proposed amendment takes the docketing out of the hands of the
appellant. The fee is paid at the time the notice of appeal is
filed and the appeal is entered on the docket upon receipt of a
copy of the notice of appeal and of the docket entries, which are
sent to the court of appeals under the provisions of Rule 3(d).
This is designed to give the court of appeals control of its docket
at the earliest possible time so that within the limits of its
facilities and personnel it can screen cases for appropriately
different treatment, expedite the proceedings through prehearing
conferences or otherwise, and in general plan more effectively for
the prompt disposition of cases.
Subdivision (b). The proposed amendment conforms the provision to
the changes in Rule 11.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendment to Rule 12(a) is technical. No substantive change
is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Note to new subdivision (b). This amendment is a companion to the
amendment of Rule 3(c). The Rule 3(c) amendment allows an attorney
who represents more than one party on appeal to "specify" the
appellants by general description rather than by naming them
individually. The requirement added here is that whenever an
attorney files a notice of appeal, the attorney must soon
thereafter file a statement indicating all parties represented on
the appeal by that attorney. Although the notice of appeal is the
jurisdictional document and it must clearly indicate who is
bringing the appeal, the representation statement will be helpful
especially to the court of appeals in identifying the individual
appellants.
The rule allows a court of appeals to require the filing of the
representation statement at some time other than specified in the
rule so that if a court of appeals requires a docketing statement
or appearance form the representation statement may be combined
with it.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-


-CITE-
28 USC APPENDIX TITLE III. REVIEW OF A DECISION
OF THE UNITED STATES TAX COURT 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE III. REVIEW OF A DECISION OF THE UNITED STATES TAX COURT

-HEAD-
TITLE III. REVIEW OF A DECISION OF THE UNITED STATES TAX COURT

-End-



-CITE-
28 USC APPENDIX Rule 13 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE III. REVIEW OF A DECISION OF THE UNITED STATES TAX COURT

-HEAD-
Rule 13. Review of a Decision of the Tax Court

-STATUTE-
(a) How Obtained; Time for Filing Notice of Appeal.
(1) Review of a decision of the United States Tax Court is
commenced by filing a notice of appeal with the Tax Court clerk
within 90 days after the entry of the Tax Court's decision. At
the time of filing, the appellant must furnish the clerk with
enough copies of the notice to enable the clerk to comply with
Rule 3(d). If one party files a timely notice of appeal, any
other party may file a notice of appeal within 120 days after the
Tax Court's decision is entered.
(2) If, under Tax Court rules, a party makes a timely motion to
vacate or revise the Tax Court's decision, the time to file a
notice of appeal runs from the entry of the order disposing of
the motion or from the entry of a new decision, whichever is
later.

(b) Notice of Appeal; How Filed. The notice of appeal may be
filed either at the Tax Court clerk's office in the District of
Columbia or by mail addressed to the clerk. If sent by mail the
notice is considered filed on the postmark date, subject to Sec.
7502 of the Internal Revenue Code, as amended, and the applicable
regulations.
(c) Contents of the Notice of Appeal; Service; Effect of Filing
and Service. Rule 3 prescribes the contents of a notice of appeal,
the manner of service, and the effect of its filing and service.
Form 2 in the Appendix of Forms is a suggested form of a notice of
appeal.
(d) The Record on Appeal; Forwarding; Filing.
(1) An appeal from the Tax Court is governed by the parts of
Rules 10, 11, and 12 regarding the record on appeal from a
district court, the time and manner of forwarding and filing, and
the docketing in the court of appeals. References in those rules
and in Rule 3 to the district court and district clerk are to be
read as referring to the Tax Court and its clerk.
(2) If an appeal from a Tax Court decision is taken to more
than one court of appeals, the original record must be sent to
the court named in the first notice of appeal filed. In an appeal
to any other court of appeals, the appellant must apply to that
other court to make provision for the record.

-SOURCE-
(As amended Apr. 1, 1979, eff. Aug. 1, 1979; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). This subdivision effects two changes in practice
respecting review of Tax Court decisions: (1) Section 7483 of the
Internal Revenue Code, 68A Stat. 891, 26 U.S.C. Sec. 7483, provides
that review of a Tax Court decision may be obtained by filing a
petition for review. The subdivision provides for review by the
filing of the simple and familiar notice of appeal used to obtain
review of district court judgments; (2) Section 7483, supra,
requires that a petition for review be filed within 3 months after
a decision is rendered, and provides that if a petition is so filed
by one party, any other party may file a petition for review within
4 months after the decision is rendered. In the interest of fixing
the time for review with precision, the proposed rule substitutes
"90 days" and "120 days" for the statutory "3 months" and "4
months", respectively. The power of the Court to regulate these
details of practice is clear. Title 28 U.S.C. Sec. 2072, as amended
by the Act of November 6, 1966, 80 Stat. 1323 (1 U.S. Code Cong. &
Ad. News, p. 1546 (1966)), authorizes the Court to regulate ". . .
practice and procedure in proceedings for the review by the courts
of appeals of decisions of the Tax Court of the United States. . .
."
The second paragraph states the settled teaching of the case law.
See Robert Louis Stevenson Apartments, Inc. v. C.I.R., 337 F.2d
681, 10 A.L.R.3d 112 (8th Cir., 1964); Denholm & McKay Co. v.
C.I.R., 132 F.2d 243 (1st Cir., 1942); Helvering v. Continental Oil
Co., 63 App.D.C. 5, 68 F.2d 750 (1934); Burnet v. Lexington Ice &
Coal Co., 62 F.2d 906 (4th Cir., 1933); Griffiths v. C.I.R., 50
F.2d 782 (7th Cir., 1931).
Subdivision (b). The subdivision incorporates the statutory
provision (Title 26, U.S.C. Sec. 7502) that timely mailing is to be
treated as timely filing. The statute contains special provisions
respecting other than ordinary mailing. If the notice of appeal is
sent by registered mail, registration is deemed prima facie
evidence that the notice was delivered to the clerk of the Tax
Court, and the date of registration is deemed the postmark date. If
the notice of appeal is sent by certified mail, the effect of
certification with respect to prima facie evidence of delivery and
the postmark date depends upon regulations of the Secretary of the
Treasury. The effect of a postmark made other than by the United
States Post Office likewise depends upon regulations of the
Secretary. Current regulations are found in 26 CFR Sec. 301.7502-1.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment reflects the change in the title of the
Tax Court to "United States Tax Court." See 26 U.S.C. Sec. 7441.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). The amendment requires a party filing a notice
of appeal to provide the court with sufficient copies of the notice
for service on all other parties.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-REFTEXT-
REFERENCES IN TEXT
Section 7502 of the Internal Revenue Code, referred to in subd.
(b), is classified to section 112 of Title 26, Internal Revenue
Code.

-End-



-CITE-
28 USC APPENDIX Rule 14 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE III. REVIEW OF A DECISION OF THE UNITED STATES TAX COURT

-HEAD-
Rule 14. Applicability of Other Rules to the Review of a Tax Court
Decision

-STATUTE-
All provisions of these rules, except Rules 4-9, 15-20, and 22-
23, apply to the review of a Tax Court decision.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The proposed rule continues the present uniform practice of the
circuits of regulating review of decisions of the Tax Court by the
general rules applicable to appeals from judgments of the district
courts.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-


-CITE-
28 USC APPENDIX TITLE IV. REVIEW OR ENFORCEMENT
OF AN ORDER OF AN ADMINISTRATIVE AGENCY,
BOARD, COMMISSION, OR OFFICER 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-End-



-CITE-
28 USC APPENDIX Rule 15 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 15. Review or Enforcement of an Agency Order - How Obtained;
Intervention

-STATUTE-
(a) Petition for Review; Joint Petition.
(1) Review of an agency order is commenced by filing, within
the time prescribed by law, a petition for review with the clerk
of a court of appeals authorized to review the agency order. If
their interests make joinder practicable, two or more persons may
join in a petition to the same court to review the same order.
(2) The petition must:
(A) name each party seeking review either in the caption or
the body of the petition - using such terms as "et al.,"
"petitioners," or "respondents" does not effectively name the
parties;
(B) name the agency as a respondent (even though not named in
the petition, the United States is a respondent if required by
statute); and
(C) specify the order or part thereof to be reviewed.

(3) Form 3 in the Appendix of Forms is a suggested form of a
petition for review.
(4) In this rule "agency" includes an agency, board,
commission, or officer; "petition for review" includes a petition
to enjoin, suspend, modify, or otherwise review, or a notice of
appeal, whichever form is indicated by the applicable statute.

(b) Application or Cross-Application to Enforce an Order; Answer;
Default.
(1) An application to enforce an agency order must be filed
with the clerk of a court of appeals authorized to enforce the
order. If a petition is filed to review an agency order that the
court may enforce, a party opposing the petition may file a cross-
application for enforcement.
(2) Within 20 days after the application for enforcement is
filed, the respondent must serve on the applicant an answer to
the application and file it with the clerk. If the respondent
fails to answer in time, the court will enter judgment for the
relief requested.
(3) The application must contain a concise statement of the
proceedings in which the order was entered, the facts upon which
venue is based, and the relief requested.

(c) Service of the Petition or Application. The circuit clerk
must serve a copy of the petition for review, or an application or
cross-application to enforce an agency order, on each respondent as
prescribed by Rule 3(d), unless a different manner of service is
prescribed by statute. At the time of filing, the petitioner must:
(1) serve, or have served, a copy on each party admitted to
participate in the agency proceedings, except for the
respondents;
(2) file with the clerk a list of those so served; and
(3) give the clerk enough copies of the petition or application
to serve each respondent.

(d) Intervention. Unless a statute provides another method, a
person who wants to intervene in a proceeding under this rule must
file a motion for leave to intervene with the circuit clerk and
serve a copy on all parties. The motion - or other notice of
intervention authorized by statute - must be filed within 30 days
after the petition for review is filed and must contain a concise
statement of the interest of the moving party and the grounds for
intervention.
(e) Payment of Fees. When filing any separate or joint petition
for review in a court of appeals, the petitioner must pay the
circuit clerk all required fees.

-SOURCE-
(As amended Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
General Note. The power of the Supreme Court to prescribe rules
of practice and procedure for the judicial review or enforcement of
orders of administrative agencies, boards, commissions, and
officers is conferred by 28 U.S.C. Sec. 2072, as amended by the Act
of November 6, 1966, Sec. 1, 80 Stat. 1323 (1 U.S. Code Cong. & Ad.
News, p. 1546 (1966)). Section 11 of the Hobbs Administrative
Orders Review Act of 1950, 64 Stat. 1132, reenacted as 28 U.S.C.
Sec. 2352 (28 U.S.C.A. Sec. 2352 (Suppl. 1966)), repealed by the
Act of November 6, 1966, Sec. 4, supra, directed the courts of
appeals to adopt and promulgate, subject to approval by the
Judicial Conference rules governing practice and procedure in
proceedings to review the orders of boards, commissions and
officers whose orders were made reviewable in the courts of appeals
by the Act. Thereafter, the Judicial Conference approved a uniform
rule, and that rule, with minor variations, is now in effect in all
circuits. Third Circuit Rule 18 is a typical circuit rule, and for
convenience it is referred to as the uniform rule in the notes
which accompany rules under this Title.
Subdivision (a). The uniform rule (see General Note above)
requires that the petition for review contain "a concise statement,
in barest outline, of the nature of the proceedings as to which
relief is sought, the facts upon which venue is based, the grounds
upon which relief is sought, and the relief prayed." That language
is derived from Section 4 of the Hobbs Administrative Orders Review
Act of 1950, 64 Stat. 1130, reenacted as 28 U.S.C. Sec. 2344 (28
U.S.C.A. Sec. 2344 (Suppl. 1966)). A few other statutes also
prescribe the content of the petition, but the great majority are
silent on the point. The proposed rule supersedes 28 U.S.C. Sec.
2344 and other statutory provisions prescribing the form of the
petition for review and permits review to be initiated by the
filing of a simple petition similar in form to the notice of appeal
used in appeals from judgments of district courts. The more
elaborate form of petition for review now required is rarely useful
either to the litigants or to the courts. There is no effective,
reasonable way of obliging petitioners to come to the real issues
before those issues are formulated in the briefs. Other provisions
of this subdivision are derived from sections 1 and 2 of the
uniform rule.
Subdivision (b). This subdivision is derived from sections 3, 4
and 5 of the uniform rule.
Subdivision (c). This subdivision is derived from section 1 of
the uniform rule.
Subdivision (d). This subdivision is based upon section 6 of the
uniform rule. Statutes occasionally permit intervention by the
filing of a notice of intention to intervene. The uniform rule does
not fix a time limit for intervention, and the only time limits
fixed by statute are the 30-day periods found in the Communications
Act Amendments, 1952, Sec. 402(e), 66 Stat. 719, 47 U.S.C. Sec.
402(e), and the Sugar Act of 1948, Sec. 205(d), 61 Stat. 927, 7
U.S.C. Sec. 1115(d).

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Subdivision (a). The amendment is a companion to the amendment of
Rule 3(c). Both Rule 3(c) and Rule 15(a) state that a notice of
appeal or petition for review must name the parties seeking
appellate review. Rule 3(c), however, provides an attorney who
represents more than one party on appeal the flexibility to
describe the parties in general terms rather than naming them
individually. Rule 15(a) does not allow that flexibility; each
petitioner must be named. A petition for review of an agency
decision is the first filing in any court and, therefore, is
analogous to a complaint in which all parties must be named.
Subdivision (e). The amendment adds subdivision (e). Subdivision
(e) parallels Rule 3(e) that requires the payment of fees when
filing a notice of appeal. The omission of such a requirement from
Rule 15 is an apparent oversight. Five circuits have local rules
requiring the payment of such fees, see, e.g., Fifth Cir. Loc. R.
15.1, and Fed. Cir. Loc. R. 15(a)(2).

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 15.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 15.1. Briefs and Oral Argument in a National Labor Relations
Board Proceeding

-STATUTE-
In either an enforcement or a review proceeding, a party adverse
to the National Labor Relations Board proceeds first on briefing
and at oral argument, unless the court orders otherwise.

-SOURCE-
(As added Mar. 10, 1986, eff. July 1, 1986; amended Apr. 24, 1998,
eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1986
This rule simply confirms the existing practice in most circuits.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 16 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 16. The Record on Review or Enforcement

-STATUTE-
(a) Composition of the Record. The record on review or
enforcement of an agency order consists of:
(1) the order involved;
(2) any findings or report on which it is based; and
(3) the pleadings, evidence, and other parts of the proceedings
before the agency.

(b) Omissions From or Misstatements in the Record. The parties
may at any time, by stipulation, supply any omission from the
record or correct a misstatement, or the court may so direct. If
necessary, the court may direct that a supplemental record be
prepared and filed.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a) is based upon 28 U.S.C. Sec. 2112(b). There is no
distinction between the record compiled in the agency proceeding
and the record on review; they are one and the same. The record in
agency cases is thus the same as that in appeals from the district
court - the original papers, transcripts and exhibits in the
proceeding below. Subdivision (b) is based upon section 8 of the
uniform rule (see General Note following Rule 15).

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 17 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 17. Filing the Record

-STATUTE-
(a) Agency to File; Time for Filing; Notice of Filing. The agency
must file the record with the circuit clerk within 40 days after
being served with a petition for review, unless the statute
authorizing review provides otherwise, or within 40 days after it
files an application for enforcement unless the respondent fails to
answer or the court orders otherwise. The court may shorten or
extend the time to file the record. The clerk must notify all
parties of the date when the record is filed.
(b) Filing - What Constitutes.
(1) The agency must file:
(A) the original or a certified copy of the entire record or
parts designated by the parties; or
(B) a certified list adequately describing all documents,
transcripts of testimony, exhibits, and other material
constituting the record, or describing those parts designated
by the parties.

(2) The parties may stipulate in writing that no record or
certified list be filed. The date when the stipulation is filed
with the circuit clerk is treated as the date when the record is
filed.
(3) The agency must retain any portion of the record not filed
with the clerk. All parts of the record retained by the agency
are a part of the record on review for all purposes and, if the
court or a party so requests, must be sent to the court
regardless of any prior stipulation.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). This subdivision is based upon section 7 of the
uniform rule (see General Note following Rule 15). That rule does
not prescribe a time for filing the record in enforcement cases.
Forty days are allowed in order to avoid useless preparation of the
record or certified list in cases where the application for
enforcement is not contested.
Subdivision (b). This subdivision is based upon 28 U.S.C. Sec.
2112 and section 7 of the uniform rule. It permits the agency to
file either the record itself or a certified list of its contents.
It also permits the parties to stipulate against transmission of
designated parts of the record without the fear that an inadvertent
stipulation may "diminish" the record. Finally, the parties may, in
cases where consultation of the record is unnecessary, stipulate
that neither the record nor a certified list of its contents be
filed.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; a
substantive change is made, however, in subdivision (b).
Subdivision (b). The current rule provides that when a court of
appeals is asked to review or enforce an agency order, the agency
must file either "the entire record or such parts thereof as the
parties may designate by stipulation filed with the agency" or a
certified list describing the documents, transcripts, exhibits, and
other material constituting the record. If the agency is not filing
a certified list, the current rule requires the agency to file the
entire record unless the parties file a "stipulation" designating
only parts of the record. Such a "stipulation" presumably requires
agreement of the parties as to the parts to be filed. The amended
language in subparagraph (b)(1)(A) permits the agency to file the
entire record or "parts designated by the parties." The new
language permits the filing of less than the entire record even
when the parties do not agree as to which parts should be filed.
Each party can designate the parts that it wants filed; the agency
can then forward the parts designated by each party. In contrast,
paragraph (b)(2) continues to require stipulation, that is
agreement of the parties, that the agency need not file either the
record or a certified list.

-End-



-CITE-
28 USC APPENDIX Rule 18 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 18. Stay Pending Review

-STATUTE-
(a) Motion for a Stay.
(1) Initial Motion Before the Agency. A petitioner must
ordinarily move first before the agency for a stay pending review
of its decision or order.
(2) Motion in the Court of Appeals. A motion for a stay may be
made to the court of appeals or one of its judges.
(A) The motion must:
(i) show that moving first before the agency would be
impracticable; or
(ii) state that, a motion having been made, the agency
denied the motion or failed to afford the relief requested
and state any reasons given by the agency for its action.

(B) The motion must also include:
(i) the reasons for granting the relief requested and the
facts relied on;
(ii) originals or copies of affidavits or other sworn
statements supporting facts subject to dispute; and
(iii) relevant parts of the record.

(C) The moving party must give reasonable notice of the
motion to all parties.
(D) The motion must be filed with the circuit clerk and
normally will be considered by a panel of the court. But in an
exceptional case in which time requirements make that procedure
impracticable, the motion may be made to and considered by a
single judge.

(b) Bond. The court may condition relief on the filing of a bond
or other appropriate security.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
While this rule has no counterpart in present rules regulating
review of agency proceedings, it merely assimilates the procedure
for obtaining stays in agency proceedings with that for obtaining
stays in appeals from the district courts. The same considerations
which justify the requirement of an initial application to the
district court for a stay pending appeal support the requirement of
an initial application to the agency pending review. See Note
accompanying Rule 8. Title 5, U.S.C. Sec. 705 (5 U.S.C.A. Sec. 705
(1966 Pamphlet)) confers general authority on both agencies and
reviewing courts to stay agency action pending review. Many of the
statutes authorizing review of agency action by the courts of
appeals deal with the question of stays, and at least one, the Act
of June 15, 1936, 49 Stat. 1499 (7 U.S.C. Sec. 10a), prohibits a
stay pending review. The proposed rule in nowise affects such
statutory provisions respecting stays. By its terms, it simply
indicates the procedure to be followed when a stay is sought.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 19 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 19. Settlement of a Judgment Enforcing an Agency Order in Part

-STATUTE-
When the court files an opinion directing entry of judgment
enforcing the agency's order in part, the agency must within 14
days file with the clerk and serve on each other party a proposed
judgment conforming to the opinion. A party who disagrees with the
agency's proposed judgment must within 7 days file with the clerk
and serve the agency with a proposed judgment that the party
believes conforms to the opinion. The court will settle the
judgment and direct entry without further hearing or argument.

-SOURCE-
(As amended Mar. 10, 1986, eff. July 1, 1986; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This is section 12 of the uniform rule (see General Note
following Rule 15) with changes in phraseology.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The deletion of the words "in whole or" is designed to eliminate
delay in the issuance of a judgment when the court of appeals has
either enforced completely the order of an agency or denied
completely such enforcement. In such a clear-cut situation, it
serves no useful purpose to delay the issuance of the judgment
until a proposed judgment is submitted by the agency and reviewed
by the respondent. This change conforms the Rule to the existing
practice in most circuits. Other amendments are technical and no
substantive change is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 20 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE IV. REVIEW OR ENFORCEMENT OF AN ORDER OF AN ADMINISTRATIVE
AGENCY, BOARD, COMMISSION, OR OFFICER

-HEAD-
Rule 20. Applicability of Rules to the Review or Enforcement of an
Agency Order

-STATUTE-
All provisions of these rules, except Rules 3-14 and 22-23, apply
to the review or enforcement of an agency order. In these rules,
"appellant" includes a petitioner or applicant, and "appellee"
includes a respondent.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The proposed rule continues the present uniform practice of the
circuits of regulating agency review or enforcement proceedings by
the general rules applicable to appeals from judgments of the
district courts.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-


-CITE-
28 USC APPENDIX TITLE V. EXTRAORDINARY WRITS 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE V. EXTRAORDINARY WRITS

-HEAD-
TITLE V. EXTRAORDINARY WRITS

-End-



-CITE-
28 USC APPENDIX Rule 21 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE V. EXTRAORDINARY WRITS

-HEAD-
Rule 21. Writs of Mandamus and Prohibition, and Other Extraordinary
Writs

-STATUTE-
(a) Mandamus or Prohibition to a Court: Petition, Filing,
Service, and Docketing.
(1) A party petitioning for a writ of mandamus or prohibition
directed to a court must file a petition with the circuit clerk
with proof of service on all parties to the proceeding in the
trial court. The party must also provide a copy to the trial-
court judge. All parties to the proceeding in the trial court
other than the petitioner are respondents for all purposes.
(2)(A) The petition must be titled "In re [name of
petitioner]."
(B) The petition must state:
(i) the relief sought;
(ii) the issues presented;
(iii) the facts necessary to understand the issue presented
by the petition; and
(iv) the reasons why the writ should issue.

(C) The petition must include a copy of any order or opinion or
parts of the record that may be essential to understand the
matters set forth in the petition.
(3) Upon receiving the prescribed docket fee, the clerk must
docket the petition and submit it to the court.

(b) Denial; Order Directing Answer; Briefs; Precedence.
(1) The court may deny the petition without an answer.
Otherwise, it must order the respondent, if any, to answer within
a fixed time.
(2) The clerk must serve the order to respond on all persons
directed to respond.
(3) Two or more respondents may answer jointly.
(4) The court of appeals may invite or order the trial-court
judge to address the petition or may invite an amicus curiae to
do so. The trial-court judge may request permission to address
the petition but may not do so unless invited or ordered to do so
by the court of appeals.
(5) If briefing or oral argument is required, the clerk must
advise the parties, and when appropriate, the trial-court judge
or amicus curiae.
(6) The proceeding must be given preference over ordinary civil
cases.
(7) The circuit clerk must send a copy of the final disposition
to the trial-court judge.

(c) Other Extraordinary Writs. An application for an
extraordinary writ other than one provided for in Rule 21(a) must
be made by filing a petition with the circuit clerk with proof of
service on the respondents. Proceedings on the application must
conform, so far as is practicable, to the procedures prescribed in
Rule 21(a) and (b).
(d) Form of Papers; Number of Copies. All papers must conform to
Rule 32(c)(2). Except by the court's permission, a paper must not
exceed 30 pages, exclusive of the disclosure statement, the proof
of service, and the accompanying documents required by Rule
21(a)(2)(C). An original and 3 copies must be filed unless the
court requires the filing of a different number by local rule or by
order in a particular case.

-SOURCE-
(As amended Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 23, 1996, eff.
Dec. 1, 1996; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The authority of courts of appeals to issue extraordinary writs
is derived from 28 U.S.C. Sec. 1651. Subdivisions (a) and (b)
regulate in detail the procedure surrounding the writs most
commonly sought - mandamus or prohibition directed to a judge or
judges. Those subdivisions are based upon Supreme Court Rule 31,
with certain changes which reflect the uniform practice among the
circuits (Seventh Circuit Rule 19 is a typical circuit rule).
Subdivision (c) sets out a very general procedure to be followed in
applications for the variety of other writs which may be issued
under the authority of 28 U.S.C. Sec. 1651.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (d). The amendment makes it clear that a court may
require a different number of copies either by rule or by order in
an individual case. The number of copies of any document that a
court of appeals needs varies depending upon the way in which the
court conducts business. The internal operation of the courts of
appeals necessarily varies from circuit to circuit because of
differences in the number of judges, the geographic area included
within the circuit, and other such factors. Uniformity could be
achieved only by setting the number of copies artificially high so
that parties in all circuits file enough copies to satisfy the
needs of the court requiring the greatest number. Rather than do
that, the Committee decided to make it clear that local rules may
require a greater or lesser number of copies and that, if the
circumstances of a particular case indicate the need for a
different number of copies in that case, the court may so order.

NOTES OF ADVISORY COMMITTEE ON RULES - 1996 AMENDMENT
In most instances, a writ of mandamus or prohibition is not
actually directed to a judge in any more personal way than is an
order reversing a court's judgment. Most often a petition for a
writ of mandamus seeks review of the intrinsic merits of a judge's
action and is in reality an adversary proceeding between the
parties. See, e.g., Walker v. Columbia Broadcasting System, Inc.,
443 F.2d 33 (7th Cir. 1971). In order to change the tone of the
rule and of mandamus proceedings generally, the rule is amended so
that the judge is not treated as a respondent. The caption and
subdivision (a) are amended by deleting the reference to the writs
as being "directed to a judge or judges."
Subdivision (a). Subdivision (a) applies to writs of mandamus or
prohibition directed to a court, but it is amended so that a
petition for a writ of mandamus or prohibition does not bear the
name of the judge. The amendments to subdivision (a) speak,
however, about mandamus or prohibition "directed to a court." This
language is inserted to distinguish subdivision (a) from
subdivision (c). Subdivision (c) governs all other extraordinary
writs, including a writ of mandamus or prohibition directed to an
administrative agency rather than to a court and a writ of habeas
corpus.
The amendments require the petitioner to provide a copy of the
petition to the trial court judge. This will alert the judge to the
filing of the petition. This is necessary because the trial court
judge is not treated as a respondent and, as a result, is not
served. A companion amendment is made in subdivision (b). It
requires the circuit clerk to send a copy of the disposition of the
petition to the trial court judge.
Subdivision (b). The amendment provides that even if relief is
requested of a particular judge, although the judge may request
permission to respond, the judge may not do so unless the court
invites or orders a response.
The court of appeals ordinarily will be adequately informed not
only by the opinions or statements made by the trial court judge
contemporaneously with the entry of the challenged order but also
by the arguments made on behalf of the party opposing the relief.
The latter does not create an attorney-client relationship between
the party's attorney and the judge whose action is challenged, nor
does it give rise to any right to compensation from the judge.
If the court of appeals desires to hear from the trial court
judge, however, the court may invite or order the judge to respond.
In some instances, especially those involving court administration
or the failure of a judge to act, it may be that no one other than
the judge can provide a thorough explanation of the matters at
issue. Because it is ordinarily undesirable to place the trial
court judge, even temporarily, in an adversarial posture with a
litigant, the rule permits a court of appeals to invite an amicus
curiae to provide a response to the petition. In those instances in
which the respondent does not oppose issuance of the writ or does
not have sufficient perspective on the issue to provide an adequate
response, participation of an amicus may avoid the need for the
trial judge to participate.
Subdivision (c). The changes are stylistic only. No substantive
changes are intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (d). A petition for a writ of mandamus or
prohibition, an application for another extraordinary writ, and an
answer to such a petition or application are all "other papers" for
purposes of Rule 32(c)(2), and all of the requirements of Rule
32(a) apply to those papers, except as provided in Rule 32(c)(2).
During the 1998 restyling of the Federal Rules of Appellate
Procedure, Rule 21(d) was inadvertently changed to suggest that
only the requirements of Rule 32(a)(1) apply to such papers. Rule
21(d) has been amended to correct that error.
Rule 21(d) has been further amended to limit the length of papers
filed under Rule 21.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note,
except that the page limit was increased from 20 pages to 30 pages.
The Committee was persuaded by some commentators that petitions for
extraordinary writs closely resemble principal briefs on the merits
and should be allotted more than 20 pages.

-End-


-CITE-
28 USC APPENDIX TITLE VI. HABEAS CORPUS;
PROCEEDINGS IN FORMA PAUPERIS 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VI. HABEAS CORPUS; PROCEEDINGS IN FORMA PAUPERIS

-HEAD-
TITLE VI. HABEAS CORPUS; PROCEEDINGS IN FORMA PAUPERIS

-End-



-CITE-
28 USC APPENDIX Rule 22 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VI. HABEAS CORPUS; PROCEEDINGS IN FORMA PAUPERIS

-HEAD-
Rule 22. Habeas Corpus and Section 2255 Proceedings

-STATUTE-
(a) Application for the Original Writ. An application for a writ
of habeas corpus must be made to the appropriate district court. If
made to a circuit judge, the application must be transferred to the
appropriate district court. If a district court denies an
application made or transferred to it, renewal of the application
before a circuit judge is not permitted. The applicant may, under
28 U.S.C. Sec. 2253, appeal to the court of appeals from the
district court's order denying the application.
(b) Certificate of Appealability.
(1) In a habeas corpus proceeding in which the detention
complained of arises from process issued by a state court, or in
a 28 U.S.C. Sec. 2255 proceeding, the applicant cannot take an
appeal unless a circuit justice or a circuit or district judge
issues a certificate of appealability under 28 U.S.C. Sec.
2253(c). If an applicant files a notice of appeal, the district
judge who rendered the judgment must either issue a certificate
of appealability or state why a certificate should not issue. The
district clerk must send the certificate or statement to the
court of appeals with the notice of appeal and the file of the
district-court proceedings. If the district judge has denied the
certificate, the applicant may request a circuit judge to issue
the certificate.
(2) A request addressed to the court of appeals may be
considered by a circuit judge or judges, as the court prescribes.
If no express request for a certificate is filed, the notice of
appeal constitutes a request addressed to the judges of the court
of appeals.
(3) A certificate of appealability is not required when a state
or its representative or the United States or its representative
appeals.

-SOURCE-
(As amended Pub. L. 104-132, title I, Sec. 103, Apr. 24, 1996, 110
Stat. 1218; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). Title 28 U.S.C. Sec. 2241(a) authorizes circuit
judges to issue the writ of habeas corpus. Section 2241(b),
however, authorizes a circuit judge to decline to entertain an
application and to transfer it to the appropriate district court,
and this is the usual practice. The first two sentences merely make
present practice explicit. Title 28 U.S.C. Sec. 2253 seems clearly
to contemplate that once an application is presented to a district
judge and is denied by him, the remedy is an appeal from the order
of denial. But the language of 28 U.S.C. Sec. 2241 seems to
authorize a second original application to a circuit judge
following a denial by a district judge. In re Gersing, 79
U.S.App.D.C. 245, 145 F.2d 481 (D.C. Cir., 1944) and Chapman v.
Teets, 241 F.2d 186 (9th Cir., 1957) acknowledge the availability
of such a procedure. But the procedure is ordinarily a waste of
time for all involved, and the final sentence attempts to
discourage it.
A court of appeals has no jurisdiction as a court to grant an
original writ of habeas corpus, and courts of appeals have
dismissed applications addressed to them. Loum v. Alvis, 263 F.2d
836 (6th Cir., 1959); In re Berry, 221 F.2d 798 (9th Cir., 1955);
Posey v. Dowd, 134 F.2d 613 (7th Cir., 1943). The fairer and more
expeditious practice is for the court of appeals to regard an
application addressed to it as being addressed to one of its
members, and to transfer the application to the appropriate
district court in accordance with the provisions of this rule.
Perhaps such a disposition is required by the rationale of In re
Burwell, 350 U.S. 521, 76 S.Ct. 539, 100 L.Ed. 666 (1956).
Subdivision (b). Title 28 U.S.C. Sec. 2253 provides that an
appeal may not be taken in a habeas corpus proceeding where
confinement is under a judgment of a state court unless the judge
who rendered the order in the habeas corpus proceeding, or a
circuit justice or judge, issues a certificate of probable cause.
In the interest of insuring that the matter of the certificate will
not be overlooked and that, if the certificate is denied, the
reasons for denial in the first instance will be available on any
subsequent application, the proposed rule requires the district
judge to issue the certificate or to state reasons for its denial.
While 28 U.S.C. Sec. 2253 does not authorize the court of appeals
as a court to grant a certificate of probable cause, In re Burwell,
350 U.S. 521, 76 S.Ct. 539, 100 L.Ed. 666 (1956) makes it clear
that a court of appeals may not decline to consider a request for
the certificate addressed to it as a court but must regard the
request as made to the judges thereof. The fourth sentence
incorporates the Burwell rule.
Although 28 U.S.C. Sec. 2253 appears to require a certificate of
probable cause even when an appeal is taken by a state or its
representative, the legislative history strongly suggests that the
intention of Congress was to require a certificate only in the case
in which an appeal is taken by an applicant for the writ. See
United States ex rel. Tillery v. Cavell, 294 F.2d 12 (3d Cir.,
1960). Four of the five circuits which have ruled on the point have
so interpreted section 2253. United States ex rel. Tillery v.
Cavell, supra; Buder v. Bell, 306 F.2d 71 (6th Cir., 1962); United
States ex rel. Calhoun v. Pate, 341 F.2d 885 (7th Cir., 1965);
State of Texas v. Graves, 352 F.2d 514 (5th Cir., 1965). Cf. United
States ex rel. Carrol v. LaVallee, 342 F.2d 641 (2d Cir., 1965).
The final sentence makes it clear that a certificate of probable
cause is not required of a state or its representative.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; in this
rule, however, substantive changes are made in paragraphs (b)(1)
and (b)(3).
Subdivision (b), paragraph (1). Two substantive changes are made
in this paragraph. First, the paragraph is made applicable to 28
U.S.C. Sec. 2255 proceedings. This brings the rule into conformity
with 28 U.S.C. Sec. 2253 as amended by the Anti-Terrorism and
Effective Death Penalty Act of 1996, Pub. L. No. 104-132. Second,
the rule states that a certificate of appealability may be issued
by "a circuit justice or a circuit or district judge." That
language adds a reference to the circuit justice which also brings
the rule into conformity with section 2253. The language continues
to state that in addition to the circuit justice, both a circuit
and a district judge may issue a certificate of appealability. The
language of section 2253 is ambiguous; it states that a certificate
of appealability may be issued by "a circuit justice or judge."
Since the enactment of the Anti-Terrorism and Effective Death
Penalty Act, three circuits have held that both district and
circuit judges, as well as the circuit justice, may issue a
certificate of appealability. Else v. Johnson, 104 F.3d 82 (5th
Cir. 1997); Lyons v. Ohio Adult Parole Authority, 105 F.3d 1063
(6th Cir. 1997); and Hunter v. United States, 101 F.3d 1565 (11th
Cir. 1996). The approach taken by the rule is consistent with those
decisions.
Subdivision (b), paragraph (3). The Anti-Terrorism and Effective
Death Penalty Act of 1996, Pub. L. No. 104-132, amended 28 U.S.C.
Sec. 2253 to make it applicable to Sec. 2255 proceedings.
Accordingly, paragraph (3) is amended to provide that when the
United States or its representative appeals, a certificate of
appealability is not required.

AMENDMENT BY PUBLIC LAW
1996 - Pub. L. 104-132 inserted "and section 2255" after "corpus"
in catchline and amended text generally. Prior to amendment, text
read as follows:
"(a) Application for the original writ. - An application for a
writ of habeas corpus shall be made to the appropriate district
court. If application is made to a circuit judge, the application
will ordinarily be transferred to the appropriate district court.
If an application is made to or transferred to the district court
and denied, renewal of the application before a circuit judge is
not favored; the proper remedy is by appeal to the court of appeals
from the order of the district court denying the writ.
"(b) Necessity of certificate of probable cause for appeal. - In
a habeas corpus proceeding in which the detention complained of
arises out of process issued by a state court, an appeal by the
applicant for the writ may not proceed unless a district or a
circuit judge issues a certificate of probable cause. If an appeal
is taken by the applicant, the district judge who rendered the
judgment shall either issue a certificate of probable cause or
state the reasons why such a certificate should not issue. The
certificate or the statement shall be forwarded to the court of
appeals with the notice of appeal and the file of the proceedings
in the district court. If the district judge has denied the
certificate, the applicant for the writ may then request issuance
of the certificate by a circuit judge. If such a request is
addressed to the court of appeals, it shall be deemed addressed to
the judges thereof and shall be considered by a circuit judge or
judges as the court deems appropriate. If no express request for a
certificate is filed, the notice of appeal shall be deemed to
constitute a request addressed to the judges of the court of
appeals. If an appeal is taken by a state or its representative, a
certificate of probable cause is not required."

-End-



-CITE-
28 USC APPENDIX Rule 23 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VI. HABEAS CORPUS; PROCEEDINGS IN FORMA PAUPERIS

-HEAD-
Rule 23. Custody or Release of a Prisoner in a Habeas Corpus
Proceeding

-STATUTE-
(a) Transfer of Custody Pending Review. Pending review of a
decision in a habeas corpus proceeding commenced before a court,
justice, or judge of the United States for the release of a
prisoner, the person having custody of the prisoner must not
transfer custody to another unless a transfer is directed in
accordance with this rule. When, upon application, a custodian
shows the need for a transfer, the court, justice, or judge
rendering the decision under review may authorize the transfer and
substitute the successor custodian as a party.
(b) Detention or Release Pending Review of Decision Not to
Release. While a decision not to release a prisoner is under
review, the court or judge rendering the decision, or the court of
appeals, or the Supreme Court, or a judge or justice of either
court, may order that the prisoner be:
(1) detained in the custody from which release is sought;
(2) detained in other appropriate custody; or
(3) released on personal recognizance, with or without surety.

(c) Release Pending Review of Decision Ordering Release. While a
decision ordering the release of a prisoner is under review, the
prisoner must - unless the court or judge rendering the decision,
or the court of appeals, or the Supreme Court, or a judge or
justice of either court orders otherwise - be released on personal
recognizance, with or without surety.
(d) Modification of the Initial Order on Custody. An initial
order governing the prisoner's custody or release, including any
recognizance or surety, continues in effect pending review unless
for special reasons shown to the court of appeals or the Supreme
Court, or to a judge or justice of either court, the order is
modified or an independent order regarding custody, release, or
surety is issued.

-SOURCE-
(As amended Mar. 10, 1986, eff. July 1, 1986; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The rule is the same as Supreme Court Rule 49, as amended on June
12, 1967, effective October 2, 1967.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 23(b) and (c) are technical. No
substantive change is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.
Subdivison (d). The current rule states that the initial order
governing custody or release "shall govern review" in the court of
appeals. The amended language says that the initial order generally
"continues in effect" pending review.
When Rule 23 was adopted it used the same language as Supreme
Court Rule 49, which then governed custody of prisoners in habeas
corpus proceedings. The "shall govern review" language was drawn
from the Supreme Court Rule. The Supreme Court has since amended
its rule, now Rule 36, to say that the initial order "shall
continue in effect" unless for reasons shown it is modified or a
new order is entered. Rule 23 is amended to similarly state that
the initial order "continues in effect." The new language is
clearer. It removes the possible implication that the initial order
created law of the case, a strange notion to attach to an order
regarding custody or release.

-End-



-CITE-
28 USC APPENDIX Rule 24 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VI. HABEAS CORPUS; PROCEEDINGS IN FORMA PAUPERIS

-HEAD-
Rule 24. Proceeding in Forma Pauperis

-STATUTE-
(a) Leave to Proceed in Forma Pauperis.
(1) Motion in the District Court. Except as stated in Rule
24(a)(3), a party to a district-court action who desires to
appeal in forma pauperis must file a motion in the district
court. The party must attach an affidavit that:
(A) shows in the detail prescribed by Form 4 of the Appendix
of Forms the party's inability to pay or to give security for
fees and costs;
(B) claims an entitlement to redress; and
(C) states the issues that the party intends to present on
appeal.

(2) Action on the Motion. If the district court grants the
motion, the party may proceed on appeal without prepaying or
giving security for fees and costs, unless a statute provides
otherwise. If the district court denies the motion, it must state
its reasons in writing.
(3) Prior Approval. A party who was permitted to proceed in
forma pauperis in the district-court action, or who was
determined to be financially unable to obtain an adequate defense
in a criminal case, may proceed on appeal in forma pauperis
without further authorization, unless:
(A) the district court - before or after the notice of appeal
is filed - certifies that the appeal is not taken in good faith
or finds that the party is not otherwise entitled to proceed in
forma pauperis and states in writing its reasons for the
certification or finding; or
(B) a statute provides otherwise.

(4) Notice of District Court's Denial. The district clerk must
immediately notify the parties and the court of appeals when the
district court does any of the following:
(A) denies a motion to proceed on appeal in forma pauperis;
(B) certifies that the appeal is not taken in good faith; or
(C) finds that the party is not otherwise entitled to proceed
in forma pauperis.

(5) Motion in the Court of Appeals. A party may file a motion
to proceed on appeal in forma pauperis in the court of appeals
within 30 days after service of the notice prescribed in Rule
24(a)(4). The motion must include a copy of the affidavit filed
in the district court and the district court's statement of
reasons for its action. If no affidavit was filed in the district
court, the party must include the affidavit prescribed by Rule
24(a)(1).

(b) Leave to Proceed in Forma Pauperis on Appeal or Review of an
Administrative-Agency Proceeding. When an appeal or review of a
proceeding before an administrative agency, board, commission, or
officer (including for the purpose of this rule the United States
Tax Court) proceeds directly in a court of appeals, a party may
file in the court of appeals a motion for leave to proceed on
appeal in forma pauperis with an affidavit prescribed by Rule
24(a)(1).
(c) Leave to Use Original Record. A party allowed to proceed on
appeal in forma pauperis may request that the appeal be heard on
the original record without reproducing any part.

-SOURCE-
(As amended Apr. 1, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). Authority to allow prosecution of an appeal in
forma pauperis is vested in "[a]ny court of the United States" by
28 U.S.C. Sec. 1915(a). The second paragraph of section 1915(a)
seems to contemplate initial application to the district court for
permission to proceed in forma pauperis, and although the circuit
rules are generally silent on the question, the case law requires
initial application to the district court. Hayes v. United States,
258 F.2d 400 (5th Cir., 1958), cert. den. 358 U.S. 856, 79 S.Ct.
87, 3 L.Ed.2d 89 (1958); Elkins v. United States, 250 F.2d 145 (9th
Cir., 1957) see 364 U.S. 206, 80 S.Ct. 1437, 4 L.Ed.2d 1669 (1960);
United States v. Farley, 238 F.2d 575 (2d Cir., 1956) see 354 U.S.
521, 77 S.Ct. 1371, 1 L.Ed.2d 1529 (1957). D.C. Cir. Rule 41(a)
requires initial application to the district court. The content of
the affidavit follows the language of the statute; the requirement
of a statement of the issues comprehends the statutory requirement
of a statement of "the nature of the . . . appeal. . . ." The
second sentence is in accord with the decision in McGann v. United
States, 362 U.S. 309, 80 S.Ct. 725, 4 L.Ed.2d 734 (1960). The
requirement contained in the third sentence has no counterpart in
present circuit rules, but it has been imposed by decision in at
least two circuits. Ragan v. Cox, 305 F.2d 58 (10th Cir., 1962);
United States ex rel. Breedlove v. Dowd, 269 F.2d 693 (7th Cir.,
1959).
The second paragraph permits one whose indigency has been
previously determined by the district court to proceed on appeal in
forma pauperis without the necessity of a redetermination of
indigency, while reserving to the district court its statutory
authority to certify that the appeal is not taken in good faith, 28
U.S.C. Sec. 1915(a), and permitting an inquiry into whether the
circumstances of the party who was originally entitled to proceed
in forma pauperis have changed during the course of the litigation.
Cf. Sixth Circuit Rule 26.
The final paragraph establishes a subsequent motion in the court
of appeals, rather than an appeal from the order of denial or from
the certification of lack of good faith, as the proper procedure
for calling in question the correctness of the action of the
district court. The simple and expeditious motion procedure seems
clearly preferable to an appeal. This paragraph applies only to
applications for leave to appeal in forma pauperis. The order of a
district court refusing leave to initiate an action in the district
court in forma pauperis is reviewable on appeal. See Roberts v.
United States District Court, 339 U.S. 844, 70 S.Ct. 954, 94 L.Ed.
1326 (1950).
Subdivision (b). Authority to allow prosecution in forma pauperis
is vested only in a "court of the United States" (see Note to
subdivision (a), above). Thus in proceedings brought directly in a
court of appeals to review decisions of agencies or of the Tax
Court, authority to proceed in forma pauperis should be sought in
the court of appeals. If initial review of agency action is had in
a district court, an application to appeal to a court of appeals in
forma pauperis from the judgment of the district court is governed
by the provisions of subdivision (a).

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment reflects the change in the title of the
Tax Court to "United States Tax Court." See 26 U.S.C. Sec. 7441.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rule 24(a) are technical. No substantive change
is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only. The
Advisory Committee deletes the language in subdivision (c)
authorizing a party proceeding in forma pauperis to file papers in
typewritten form because the authorization is unnecessary. The
rules permit all parties to file typewritten documents.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (a)(2). Section 804 of the Prison Litigation Reform
Act of 1995 ("PLRA") amended 28 U.S.C. Sec. 1915 to require that
prisoners who bring civil actions or appeals from civil actions
must "pay the full amount of a filing fee." 28 U.S.C. Sec.
1915(b)(1). Prisoners who are unable to pay the full amount of the
filing fee at the time that their actions or appeals are filed are
generally required to pay part of the fee and then to pay the
remainder of the fee in installments. 28 U.S.C. Sec. 1915(b). By
contrast, Rule 24(a)(2) has provided that, after the district court
grants a litigant's motion to proceed on appeal in forma pauperis,
the litigant may proceed "without prepaying or giving security for
fees and costs." Thus, the PLRA and Rule 24(a)(2) appear to be in
conflict.
Rule 24(a)(2) has been amended to resolve this conflict.
Recognizing that future legislation regarding prisoner litigation
is likely, the Committee has not attempted to incorporate into Rule
24 all of the requirements of the current version of 28 U.S.C. Sec.
1915. Rather, the Committee has amended Rule 24(a)(2) to clarify
that the rule is not meant to conflict with anything required by
the PLRA or any other statute.
Subdivision (a)(3). Rule 24(a)(3) has also been amended to
eliminate an apparent conflict with the PLRA. Rule 24(a)(3) has
provided that a party who was permitted to proceed in forma
pauperis in the district court may continue to proceed in forma
pauperis in the court of appeals without further authorization,
subject to certain conditions. The PLRA, by contrast, provides that
a prisoner who was permitted to proceed in forma pauperis in the
district court and who wishes to continue to proceed in forma
pauperis on appeal may not do so "automatically," but must seek
permission. See, e.g., Morgan v. Haro, 112 F.3d 788, 789 (5th Cir.
1997) ("A prisoner who seeks to proceed IFP on appeal must obtain
leave to so proceed despite proceeding IFP in the district
court.").
Rule 24(a)(3) has been amended to resolve this conflict. Again,
recognizing that future legislation regarding prisoner litigation
is likely, the Committee has not attempted to incorporate into Rule
24 all of the requirements of the current version of 28 U.S.C. Sec.
1915. Rather, the Committee has amended Rule 24(a)(3) to clarify
that the rule is not meant to conflict with anything required by
the PLRA or any other statute.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note,
except that "a statute provides otherwise" was substituted in place
of "the law requires otherwise" in the text of the rule and
conforming changes (as well as a couple of minor stylistic changes)
were made to the Committee Note.

-End-


-CITE-
28 USC APPENDIX TITLE VII. GENERAL PROVISIONS 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
TITLE VII. GENERAL PROVISIONS

-End-



-CITE-
28 USC APPENDIX Rule 25 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 25. Filing and Service

-STATUTE-
(a) Filing.
(1) Filing with the Clerk. A paper required or permitted to be
filed in a court of appeals must be filed with the clerk.
(2) Filing: Method and Timeliness.
(A) In General. Filing may be accomplished by mail addressed
to the clerk, but filing is not timely unless the clerk
receives the papers within the time fixed for filing.
(B) A Brief or Appendix. A brief or appendix is timely filed,
however, if on or before the last day for filing, it is:
(i) mailed to the clerk by First-Class Mail, or other class
of mail that is at least as expeditious, postage prepaid; or
(ii) dispatched to a third-party commercial carrier for
delivery to the clerk within 3 calendar days.

(C) Inmate Filing. A paper filed by an inmate confined in an
institution is timely if deposited in the institution's
internal mailing system on or before the last day for filing.
If an institution has a system designed for legal mail, the
inmate must use that system to receive the benefit of this
rule. Timely filing may be shown by a declaration in compliance
with 28 U.S.C. Sec. 1746 or by a notarized statement, either of
which must set forth the date of deposit and state that first-
class postage has been prepaid.
(D) Electronic Filing. A court of appeals may by local rule
permit or require papers to be filed, signed, or verified by
electronic means that are consistent with technical standards,
if any, that the Judicial Conference of the United States
establishes. A local rule may require filing by electronic
means only if reasonable exceptions are allowed. A paper filed
by electronic means in compliance with a local rule constitutes
a written paper for the purpose of applying these rules.

(3) Filing a Motion with a Judge. If a motion requests relief
that may be granted by a single judge, the judge may permit the
motion to be filed with the judge; the judge must note the filing
date on the motion and give it to the clerk.
(4) Clerk's Refusal of Documents. The clerk must not refuse to
accept for filing any paper presented for that purpose solely
because it is not presented in proper form as required by these
rules or by any local rule or practice.

(b) Service of All Papers Required. Unless a rule requires
service by the clerk, a party must, at or before the time of filing
a paper, serve a copy on the other parties to the appeal or review.
Service on a party represented by counsel must be made on the
party's counsel.
(c) Manner of Service.
(1) Service may be any of the following:
(A) personal, including delivery to a responsible person at
the office of counsel;
(B) by mail;
(C) by third-party commercial carrier for delivery within 3
calendar days; or
(D) by electronic means, if the party being served consents
in writing.

(2) If authorized by local rule, a party may use the court's
transmission equipment to make electronic service under Rule
25(c)(1)(D).
(3) When reasonable considering such factors as the immediacy
of the relief sought, distance, and cost, service on a party must
be by a manner at least as expeditious as the manner used to file
the paper with the court.
(4) Service by mail or by commercial carrier is complete on
mailing or delivery to the carrier. Service by electronic means
is complete on transmission, unless the party making service is
notified that the paper was not received by the party served.

(d) Proof of Service.
(1) A paper presented for filing must contain either of the
following:
(A) an acknowledgment of service by the person served; or
(B) proof of service consisting of a statement by the person
who made service certifying:
(i) the date and manner of service;
(ii) the names of the persons served; and
(iii) their mail or electronic addresses, facsimile
numbers, or the addresses of the places of delivery, as
appropriate for the manner of service.

(2) When a brief or appendix is filed by mailing or dispatch in
accordance with Rule 25(a)(2)(B), the proof of service must also
state the date and manner by which the document was mailed or
dispatched to the clerk.
(3) Proof of service may appear on or be affixed to the papers
filed.

(e) Number of Copies. When these rules require the filing or
furnishing of a number of copies, a court may require a different
number by local rule or by order in a particular case.

-SOURCE-
(As amended Mar. 10, 1986, eff. July 1, 1986; Apr. 30, 1991, eff.
Dec. 1, 1991; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 23, 1996, eff. Dec. 1, 1996; Apr. 24, 1998, eff.
Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002; Apr. 12, 2006, eff.
Dec. 1, 2006.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The rule that filing is not timely unless the papers filed are
received within the time allowed is the familiar one. Ward v.
Atlantic Coast Line R.R. Co., 265 F.2d 75 (5th Cir., 1959), rev'd
on other grounds 362 U.S. 396, 80 S.Ct. 789, 4 L.Ed.2d 820 (1960);
Kahler-Ellis Co. v. Ohio Turnpike Commission, 225 F.2d 922 (6th
Cir., 1955). An exception is made in the case of briefs and
appendices in order to afford the parties the maximum time for
their preparation. By the terms of the exception, air mail delivery
must be used whenever it is the most expeditious manner of
delivery.
A majority of the circuits now require service of all papers
filed with the clerk. The usual provision in present rules is for
service on "adverse" parties. In view of the extreme simplicity of
service by mail, there seems to be no reason why a party who files
a paper should not be required to serve all parties to the
proceeding in the court of appeals, whether or not they may be
deemed adverse. The common requirement of proof of service is
retained, but the rule permits it to be made by simple
certification, which may be endorsed on the copy which is filed.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 25(a) and (b) are technical. No
substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
Subdivision (a). The amendment permits, but does not require,
courts of appeals to adopt local rules that allow filing of papers
by electronic means. However, courts of appeals cannot adopt such
local rules until the Judicial Conference of the United States
authorizes filing by facsimile or other electronic means.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
The amendment accompanies new subdivision (c) of Rule 4 and
extends the holding in Houston v. Lack, 487 U.S. 266 (1988), to all
papers filed in the courts of appeals by persons confined in
institutions.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). Several circuits have local rules that authorize
the office of the clerk to refuse to accept for filing papers that
are not in the form required by these rules or by local rules. This
is not a suitable role for the office of the clerk and the practice
exposes litigants to the hazards of time bars; for these reasons,
such rules are proscribed by this rule. This provision is similar
to Fed.R.Civ.P. 5(e) and Fed.R.Bankr.P. 5005.
The Committee wishes to make it clear that the provision
prohibiting a clerk from refusing a document does not mean that a
clerk's office may no longer screen documents to determine whether
they comply with the rules. A court may delegate to the clerk
authority to inform a party about any noncompliance with the rules
and, if the party is willing to correct the document, to determine
a date by which the corrected document must be resubmitted. If a
party refuses to take the steps recommended by the clerk or if in
the clerk's judgment the party fails to correct the noncompliance,
the clerk must refer the matter to the court for a ruling.
Subdivision (d). Two changes have been made in this subdivision.
Subdivision (d) provides that a paper presented for filing must
contain proof of service.
The last sentence of subdivision (d) has been deleted as
unnecessary. That sentence stated that a clerk could permit papers
to be filed without acknowledgment or proof of service but must
require that it be filed promptly thereafter. In light of the
change made in subdivision (a) which states that a clerk may not
refuse to accept for filing a document because it is not in the
proper form, there is no further need for a provision stating that
a clerk may accept a paper lacking a proof of service. The clerk
must accept such a paper. That portion of the deleted sentence
stating that the clerk must require that proof of service be filed
promptly after the filing of the document if the proof is not filed
concurrently with the document is also unnecessary.
The second amendment requires that the certificate of service
must state the addresses to which the papers were mailed or at
which they were delivered. The Federal Circuit has a similar local
rule, Fed.Cir.R. 25.
Subdivision (e). Subdivision (e) is a new subdivision. It makes
it clear that whenever these rules require a party to file or
furnish a number of copies a court may require a different number
of copies either by rule or by order in an individual case. The
number of copies of any document that a court of appeals needs
varies depending upon the way in which the court conducts business.
The internal operation of the courts of appeals necessarily varies
from circuit to circuit because of differences in the number of
judges, the geographic area included within the circuit, and other
such factors. Uniformity could be achieved only by setting the
number of copies artificially high so that parties in all circuits
file enough copies to satisfy the needs of the court requiring the
greatest number. Rather than do that, the Committee decided to make
it clear that local rules may require a greater or lesser number of
copies and that, if the circumstances of a particular case indicate
the need for a different number of copies in that case, the court
may so order.
A party must consult local rules to determine whether the court
requires a different number than that specified in these national
rules. The Committee believes it would be helpful if each circuit
either: 1) included a chart at the beginning of its local rules
showing the number of copies of each document required to be filed
with the court along with citation to the controlling rule; or 2)
made available such a chart to each party upon commencement of an
appeal; or both. If a party fails to file the required number of
copies, the failure does not create a jurisdictional defect. Rule
3(a) states: "Failure of an appellant to take any step other than
the timely filing of a notice of appeal does not affect the
validity of the appeal, but is ground only for such action as the
court of appeals deems appropriate. . . ."

NOTES OF ADVISORY COMMITTEE ON RULES - 1996 AMENDMENT
Subdivision (a). The amendment deletes the language requiring a
party to use "the most expeditious form of delivery by mail, except
special delivery" in order to file a brief using the mailbox rule.
That language was adopted before the Postal Service offered Express
Mail and other expedited delivery services. The amendment makes it
clear that it is sufficient to use First-Class Mail. Other equally
or more expeditious classes of mail service, such as Express Mail,
also may be used. In addition, the amendment permits the use of
commercial carriers. The use of private, overnight courier services
has become commonplace in law practice. Expedited services offered
by commercial carriers often provide faster delivery than First-
Class Mail; therefore, there should be no objection to the use of
commercial carriers as long as they are reliable. In order to make
use of the mailbox rule when using a commercial carrier, the
amendment requires that the filer employ a carrier who undertakes
to deliver the document in no more than three calendar days. The
three-calendar-day period coordinates with the three-day extension
provided by Rule 26(c).
Subdivision (c). The amendment permits service by commercial
carrier if the carrier is to deliver the paper to the party being
served within three days of the carrier's receipt of the paper. The
amendment also expresses a desire that when reasonable, service on
a party be accomplished by a manner as expeditious as the manner
used to file the paper with the court. When a brief or motion is
filed with the court by hand delivering the paper to the clerk's
office, or by overnight courier, the copies should be served on the
other parties by an equally expeditious manner - meaning either by
personal service, if distance permits, or by overnight courier, if
mail delivery to the party is not ordinarily accomplished
overnight. The reasonableness standard is included so that if a
paper is hand delivered to the clerk's office for filing but the
other parties must be served in a different city, state, or region,
personal service on them ordinarily will not be expected. If use of
an equally expeditious manner of service is not reasonable, use of
the next most expeditious manner may be. For example, if the paper
is filed by hand delivery to the clerk's office but the other
parties reside in distant cities, service on them need not be
personal but in most instances should be by overnight courier. Even
that may not be required, however, if the number of parties that
must be served would make the use of overnight service too costly.
A factor that bears upon the reasonableness of serving parties
expeditiously is the immediacy of the relief requested.
Subdivision (d). The amendment adds a requirement that when a
brief or appendix is filed by mail or commercial carrier, the
certificate of service state the date and manner by which the
document was mailed or dispatched to the clerk. Including that
information in the certificate of service avoids the necessity for
a separate certificate concerning the date and manner of filing.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; a
substantive amendment is made, however, in subdivision (a).
Subdivision (a). The substantive amendment in this subdivision is
in subparagraph (a)(2)(C) and is a companion to an amendment in
Rule 4(c). Currently Rule 25(a)(2)(C) provides that if an inmate
confined in an institution files a document by depositing it in the
institution's internal mail system, the document is timely filed if
deposited on or before the last day for filing. Some institutions
have special internal mail systems for handling legal mail; such
systems often record the date of deposit of mail by an inmate, the
date of delivery of mail to an inmate, etc. The Advisory Committee
amends the rule to require an inmate to use the system designed for
legal mail, if there is one, in order to receive the benefit of
this subparagraph.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Rule 25(a)(2)(D) presently authorizes the courts of appeals to
permit papers to be filed by electronic means. Rule 25 has been
amended in several respects to permit papers also to be served
electronically. In addition, Rule 25(c) has been reorganized and
subdivided to make it easier to understand.
Subdivision (c)(1)(D). New subdivision (c)(1)(D) has been added
to permit service to be made electronically, such as by e-mail or
fax. No party may be served electronically, either by the clerk or
by another party, unless the party has consented in writing to such
service.
A court of appeals may not, by local rule, forbid the use of
electronic service on a party that has consented to its use. At the
same time, courts have considerable discretion to use local rules
to regulate electronic service. Difficult and presently
unforeseeable questions are likely to arise as electronic service
becomes more common. Courts have the flexibility to use their local
rules to address those questions. For example, courts may use local
rules to set forth specific procedures that a party must follow
before the party will be deemed to have given written consent to
electronic service.
Parties also have the flexibility to define the terms of their
consent; a party's consent to electronic service does not have to
be "all-or-nothing." For example, a party may consent to service by
facsimile transmission, but not by electronic mail; or a party may
consent to electronic service only if "courtesy" copies of all
transmissions are mailed within 24 hours; or a party may consent to
electronic service of only documents that were created with Corel
WordPerfect.
Subdivision (c)(2). The courts of appeals are authorized under
Rule 25(a)(2)(D) to permit papers to be filed electronically.
Technological advances may someday make it possible for a court to
forward an electronically filed paper to all parties automatically
or semi-automatically. When such court-facilitated service becomes
possible, courts may decide to permit parties to use the courts'
transmission facilities to serve electronically filed papers on
other parties who have consented to such service. Court personnel
would use the court's computer system to forward the papers, but
the papers would be considered served by the filing parties, just
as papers that are carried from one address to another by the
United States Postal Service are considered served by the sending
parties. New subdivision (c)(2) has been added so that the courts
of appeals may use local rules to authorize such use of their
transmission facilities, as well as to address the many questions
that court-facilitated electronic service is likely to raise.
Subdivision (c)(4). The second sentence of new subdivision (c)(4)
has been added to provide that electronic service is complete upon
transmission. Transmission occurs when the sender performs the last
act that he or she must perform to transmit a paper electronically;
typically, it occurs when the sender hits the "send" or "transmit"
button on an electronic mail program. There is one exception to the
rule that electronic service is complete upon transmission: If the
sender is notified - by the sender's e-mail program or otherwise -
that the paper was not received, service is not complete, and the
sender must take additional steps to effect service. A paper has
been "received" by the party on which it has been served as long as
the party has the ability to retrieve it. A party cannot defeat
service by choosing not to access electronic mail on its server.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment. A paragraph was added to the
Committee Note to clarify that consent to electronic service is not
an "all-or-nothing" matter.
Subdivision (d)(1)(B)(iii). Subdivision (d)(1)(B)(iii) has been
amended to require that, when a paper is served electronically, the
proof of service of that paper must include the electronic address
or facsimile number to which the paper was transmitted.
Changes Made After Publication and Comments. The text of the
proposed amendment was changed to refer to "electronic" addresses
(instead of to "e-mail" addresses), to include "facsimile numbers,"
and to add the concluding phrase "as appropriate for the manner of
service." Conforming changes were made to the Committee Note.

COMMITTEE NOTES ON RULES - 2006 AMENDMENT
Subdivision (a)(2)(D). Amended Rule 25(a)(2)(D) acknowledges that
many courts have required electronic filing by means of a standing
order, procedures manual, or local rule. These local practices
reflect the advantages that courts and most litigants realize from
electronic filing. Courts that mandate electronic filing recognize
the need to make exceptions when requiring electronic filing
imposes a hardship on a party. Under Rule 25(a)(2)(D), a local rule
that requires electronic filing must include reasonable exceptions,
but Rule 25(a)(2)(D) does not define the scope of those exceptions.
Experience with the local rules that have been adopted and that
will emerge will aid in drafting new local rules and will
facilitate gradual convergence on uniform exceptions, whether in
local rules or in an amended Rule 25(a)(2)(D).
A local rule may require that both electronic and "hard" copies
of a paper be filed. Nothing in the last sentence of Rule
25(a)(2)(D) is meant to imply otherwise.
Changes Made After Publication and Comment. Rule 25(a)(2)(D) has
been changed in one significant respect: It now authorizes the
courts of appeals to require electronic filing only "if reasonable
exceptions are allowed." (!1) The published version of Rule
25(a)(2)(D) did not require "reasonable exceptions." The change was
made in response to the argument of many commentators that the
national rule should require that the local rules include
exceptions for those for whom mandatory electronic filing would
pose a hardship.

Although Rule 25(a)(2)(D) requires that hardship exceptions be
included in any local rules that mandate electronic filing, it does
not attempt to define the scope of those exceptions. Commentators
were largely in agreement that the local rules should include
hardship exceptions of some type. But commentators did not agree
about the perimeters of those exceptions. The Advisory Committee
believes that, at this point, it does not have enough experience
with mandatory electronic filing to impose specific hardship
exceptions on the circuits. Rather, the Advisory Committee believes
that the circuits should be free for the time being to experiment
with different formulations.
The Committee Note has been changed to reflect the addition of
the "reasonable exceptions" clause to the text of the rule. The
Committee Note has also been changed to add the final two
sentences. Those sentences were added at the request of Judge
Sandra L. Lynch, a member of CACM [the Court Administration and
Case Management Committee]. Judge Lynch believes that there will be
few appellate judges who will want to receive only electronic
copies of briefs, but there will be many who will want to receive
electronic copies in addition to hard copies. Thus, the local rules
of most circuits are likely to require a "written" copy or "paper"
copy, in addition to an electronic copy. The problem is that the
last sentence of Rule 25(a)(2)(D) provides that "[a] paper filed by
electronic means in compliance with a local rule constitutes a
written paper for the purpose of applying these rules." Judge
Lynch's concern is that this sentence may leave attorneys confused
as to whether a local rule requiring a "written" or "paper" copy of
a brief requires anything in addition to the electronic copy. The
final two sentences of the Committee Note are intended to clarify
the matter.

-FOOTNOTE-
(!1) At its June 15-16, 2005, meeting, the Standing Rules Committee
with the concurrence of the advisory committee chair agreed to
set out the "reasonable exception" clause as a separate
sentence in the rule, consistent with drafting conventions of
the Style Project.


-End-



-CITE-
28 USC APPENDIX Rule 26 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 26. Computing and Extending Time

-STATUTE-
(a) Computing Time. The following rules apply in computing any
period of time specified in these rules or in any local rule, court
order, or applicable statute:
(1) Exclude the day of the act, event, or default that begins
the period.
(2) Exclude intermediate Saturdays, Sundays, and legal holidays
when the period is less than 11 days, unless stated in calendar
days.
(3) Include the last day of the period unless it is a Saturday,
Sunday, legal holiday, or - if the act to be done is filing a
paper in court - a day on which the weather or other conditions
make the clerk's office inaccessible.
(4) As used in this rule, "legal holiday" means New Year's Day,
Martin Luther King, Jr.'s Birthday, Washington's Birthday,
Memorial Day, Independence Day, Labor Day, Columbus Day,
Veterans' Day, Thanksgiving Day, Christmas Day, and any other day
declared a holiday by the President, Congress, or the state in
which is located either the district court that rendered the
challenged judgment or order, or the circuit clerk's principal
office.

(b) Extending Time. For good cause, the court may extend the time
prescribed by these rules or by its order to perform any act, or
may permit an act to be done after that time expires. But the court
may not extend the time to file:
(1) a notice of appeal (except as authorized in Rule 4) or a
petition for permission to appeal; or
(2) a notice of appeal from or a petition to enjoin, set aside,
suspend, modify, enforce, or otherwise review an order of an
administrative agency, board, commission, or officer of the
United States, unless specifically authorized by law.

(c) Additional Time after Service. When a party is required or
permitted to act within a prescribed period after a paper is served
on that party, 3 calendar days are added to the prescribed period
unless the paper is delivered on the date of service stated in the
proof of service. For purposes of this Rule 26(c), a paper that is
served electronically is not treated as delivered on the date of
service stated in the proof of service.

-SOURCE-
(As amended Mar. 1, 1971, eff. July 1, 1971; Mar. 10, 1986, eff.
July 1, 1986; Apr. 25, 1989, eff. Dec. 1, 1989; Apr. 30, 1991, eff.
Dec. 1, 1991; Apr. 23, 1996, eff. Dec. 1, 1996; Apr. 24, 1998, eff.
Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002; Apr. 25, 2005, eff.
Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The provisions of this rule are based upon FRCP 6(a), (b) and
(e). See also Supreme Court Rule 34 and FRCrP 45. Unlike FRCP 6(b),
this rule, read with Rule 27, requires that every request for
enlargement of time be made by motion, with proof of service on all
parties. This is the simplest, most convenient way of keeping all
parties advised of developments. By the terms of Rule 27(b) a
motion for enlargement of time under Rule 26(b) may be entertained
and acted upon immediately, subject to the right of any party to
seek reconsideration. Thus the requirement of motion and notice
will not delay the granting of relief of a kind which a court is
inclined to grant as of course. Specifically, if a court is of the
view that an extension of time sought before expiration of the
period originally prescribed or as extended by a previous order
ought to be granted in effect ex parte, as FRCP 6(b) permits, it
may grant motions seeking such relief without delay.

NOTES OF ADVISORY COMMITTEE ON RULES - 1971 AMENDMENT
The amendment adds Columbus Day to the list of legal holidays to
conform the subdivision to the Act of June 28, 1968, 82 Stat. 250,
which constituted Columbus Day a legal holiday effective after
January 1, 1971.
The Act, which amended Title 5, U.S.C. Sec. 6103(a), changes the
day on which certain holidays are to be observed. Washington's
Birthday, Memorial Day and Veterans Day are to be observed on the
third Monday in February, the last Monday in May and the fourth
Monday in October, respectively, rather than, as heretofore, on
February 22, May 30, and November 11, respectively. Columbus Day is
to be observed on the second Monday in October. New Year's Day,
Independence Day, Thanksgiving Day and Christmas continue to be
observed on the traditional days.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The Birthday of Martin Luther King, Jr., is added to the list of
national holidays in Rule 26(a). The amendment to Rule 26(c) is
technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1989 AMENDMENT
The proposed amendment brings Rule 26(a) into conformity with the
provisions of Rule 6(a) of the Rules of Civil Procedure, Rule 45(a)
of the Rules of Criminal Procedure, and Rule 9006(a) of the Rules
of Bankruptcy Procedure which allow additional time for filing
whenever a clerk's office is inaccessible on the last day for
filing due to weather or other conditions.

NOTES OF ADVISORY COMMITTEE ON RULES - 1996 AMENDMENT
The amendment is a companion to the proposed amendments to Rule
25 that permit service on a party by commercial carrier. The
amendments to subdivision (c) of this rule make the three-day
extension applicable not only when service is accomplished by mail,
but whenever delivery to the party being served occurs later than
the date of service stated in the proof of service. When service is
by mail or commercial carrier, the proof of service recites the
date of mailing or delivery to the commercial carrier. If the party
being served receives the paper on a later date, the three-day
extension applies. If the party being served receives the paper on
the same date as the date of service recited in the proof of
service, the three-day extension is not available.
The amendment also states that the three-day extension is three
calendar days. Rule 26(a) states that when a period prescribed or
allowed by the rules is less than seven days, intermediate
Saturdays, Sundays, and legal holidays do not count. Whether the
three-day extension in Rule 26(c) is such a period, meaning that
three-days could actually be five or even six days, is unclear. The
D.C. Circuit recently held that the parallel three-day extension
provided in the Civil Rules is not such a period and that weekends
and legal holidays do count. CNPq v. Inter-Trade, 50 F.3d 56 (D.C.
Cir. 1995). The Committee believes that is the right result and
that the issue should be resolved. Providing that the extension is
three calendar days means that if a period would otherwise end on
Thursday but the three-day extension applies, the paper must be
filed on Monday. Friday, Saturday, and Sunday are the extension
days. Because the last day of the period as extended is Sunday, the
paper must be filed the next day, Monday.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; two
substantive changes are made, however, in subdivision (a).
Subdivision (a). First, the amendments make the computation
method prescribed in this rule applicable to any time period
imposed by a local rule. This means that if a local rule
establishing a time limit is permitted, the national rule will
govern the computation of that period.
Second, paragraph (a)(2) includes language clarifying that
whenever the rules establish a time period in "calendar days,"
weekends and legal holidays are counted.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (a)(2). The Federal Rules of Civil Procedure and the
Federal Rules of Criminal Procedure compute time differently than
the Federal Rules of Appellate Procedure. Fed. R. Civ. P. 6(a) and
Fed. R. Crim. P. 45(a) provide that, in computing any period of
time, "[w]hen the period of time prescribed or allowed is less than
11 days, intermediate Saturdays, Sundays, and legal holidays shall
be excluded in the computation." By contrast, Rule 26(a)(2)
provides that, in computing any period of time, a litigant should
"[e]xclude intermediate Saturdays, Sundays, and legal holidays when
the period is less than 7 days, unless stated in calendar days."
Thus, deadlines of 7, 8, 9, and 10 days are calculated differently
under the rules of civil and criminal procedure than they are under
the rules of appellate procedure. This creates a trap for unwary
litigants. No good reason for this discrepancy is apparent, and
thus Rule 26(a)(2) has been amended so that, under all three sets
of rules, intermediate Saturdays, Sundays, and legal holidays will
be excluded when computing deadlines under 11 days but will be
counted when computing deadlines of 11 days and over.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
Subdivision (c). Rule 26(c) has been amended to provide that when
a paper is served on a party by electronic means, and that party is
required or permitted to respond to that paper within a prescribed
period, 3 calendar days are added to the prescribed period.
Electronic service is usually instantaneous, but sometimes it is
not, because of technical problems. Also, if a paper is
electronically transmitted to a party on a Friday evening, the
party may not realize that he or she has been served until two or
three days later. Finally, extending the "3-day rule" to electronic
service will encourage parties to consent to such service under
Rule 25(c).
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (a)(4). Rule 26(a)(4) has been amended to refer to
the third Monday in February as "Washington's Birthday." A federal
statute officially designates the holiday as "Washington's
Birthday," reflecting the desire of Congress specially to honor the
first president of the United States. See 5 U.S.C. Sec. 6103(a).
During the 1998 restyling of the Federal Rules of Appellate
Procedure, references to "Washington's Birthday" were mistakenly
changed to "Presidents' Day." The amendment corrects that error.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 26.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 26.1. Corporate Disclosure Statement

-STATUTE-
(a) Who Must File. Any nongovernmental corporate party to a
proceeding in a court of appeals must file a statement that
identifies any parent corporation and any publicly held corporation
that owns 10% or more of its stock or states that there is no such
corporation.
(b) Time for Filing; Supplemental Filing. A party must file the
Rule 26.1(a) statement with the principal brief or upon filing a
motion, response, petition, or answer in the court of appeals,
whichever occurs first, unless a local rule requires earlier
filing. Even if the statement has already been filed, the party's
principal brief must include the statement before the table of
contents. A party must supplement its statement whenever the
information that must be disclosed under Rule 26.1(a) changes.
(c) Number of Copies. If the Rule 26.1(a) statement is filed
before the principal brief, or if a supplemental statement is
filed, the party must file an original and 3 copies unless the
court requires a different number by local rule or by order in a
particular case.

-SOURCE-
(As added Apr. 25, 1989, eff. Dec. 1, 1989; amended Apr. 30, 1991,
eff. Dec. 1, 1991; Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998,
eff. Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1989
The purpose of this rule is to assist judges in making a
determination of whether they have any interests in any of a
party's related corporate entities that would disqualify the judges
from hearing the appeal. The committee believes that this rule
represents minimum disclosure requirements. If a Court of Appeals
wishes to require additional information, a court is free to do so
by local rule. However, the committee requests the courts to
consider the desirability of uniformity and the burden that varying
circuit rules creates on attorneys who practice in many circuits.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
The amendment requires a party to file three copies of the
disclosure statement whenever the statement is filed before the
party's principal brief. Because the statement is included in each
copy of the party's brief, there is no need to require the filing
of additional copies at that time. A court of appeals may require
the filing of a different number of copies by local rule or by
order in a particular case.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; a
substantive change is made, however, in subdivision (a).
Subdivison [sic] (a). The amendment deletes the requirement that
a corporate party identify subsidiaries and affiliates that have
issued shares to the public. Although several circuit rules require
identification of such entities, the Committee believes that such
disclosure is unnecessary.
A disclosure statement assists a judge in ascertaining whether or
not the judge has an interest that should cause the judge to recuse
himself or herself from the case. Given that purpose, disclosure of
entities that would not be adversely affected by a decision in the
case is unnecessary.
Disclosure of a party's parent corporation is necessary because a
judgment against a subsidiary can negatively impact the parent. A
judge who owns stock in the parent corporation, therefore, has an
interest in litigation involving the subsidiary. The rule requires
disclosure of all of a party's parent corporations meaning
grandparent and great grandparent corporations as well. For
example, if a party is a closely held corporation, the majority
shareholder of which is a corporation formed by a publicly traded
corporation for the purpose of acquiring and holding the shares of
the party, the publicly traded grandparent corporation should be
disclosed. Conversely, disclosure of a party's subsidiaries or
affiliated corporations is ordinarily unnecessary. For example, if
a party is a part owner of a corporation in which a judge owns
stock, the possibility is quite remote that the judge might be
biased by the fact that the judge and the litigant are co-owners of
a corporation.
The amendment, however, adds a requirement that the party lists
all its stockholders that are publicly held companies owning 10% or
more of the stock of the party. A judgment against a corporate
party can adversely affect the value of the company's stock and,
therefore, persons owning stock in the party have an interest in
the outcome of the litigation. A judge owning stock in a corporate
party ordinarily recuses himself or herself. The new requirement
takes the analysis one step further and assumes that if a judge
owns stock in a publicly held corporation which in turn owns 10% or
more of the stock in the party, the judge may have sufficient
interest in the litigation to require recusal. The 10% threshold
ensures that the corporation in which the judge may own stock is
itself sufficiently invested in the party that a judgment adverse
to the party could have an adverse impact upon the investing
corporation in which the judge may own stock. This requirement is
modeled on the Seventh Circuit's disclosure requirement.
Subdivision (b). The language requiring inclusion of the
disclosure statement in a party's principal brief is moved to this
subdivision because it deals with the time for filing the
statement.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
a. Alternative One [At its June 7-8, 2001, meeting, the
Committee on Rules of Practice and Procedure voted to reject
Alternative One.]
Subdivision (a). Rule 26.1(a) presently requires nongovernmental
corporate parties to file a "corporate disclosure statement." In
that statement, a nongovernmental corporate party is required to
identify all of its parent corporations and all publicly held
corporations that own 10% or more of its stock. The corporate
disclosure statement is intended to assist judges in determining
whether they must recuse themselves by reason of "a financial
interest in the subject matter in controversy." Code of Judicial
Conduct, Canon 3C(1)(c) (1972).
Rule 26.1(a) has been amended to require that nongovernmental
corporate parties who currently do not have to file a corporate
disclosure statement - that is, nongovernmental corporate parties
who do not have any parent corporations and at least 10% of whose
stock is not owned by any publicly held corporation - inform the
court of that fact. At present, when a corporate disclosure
statement is not filed, courts do not know whether it has not been
filed because there was nothing to report or because of ignorance
of Rule 26.1(a).
Rule 26.1(a) does not require the disclosure of all information
that could conceivably be relevant to a judge who is trying to
decide whether he or she has a "financial interest" in a case.
Experience with divergent disclosure practices and improving
technology may provide the foundation for more comprehensive
disclosure requirements. The Judicial Conference, supported by the
committees that work regularly with the Code of Judicial Conduct
and by the Administrative Office of the United States Courts, is in
the best position to develop any additional requirements and to
adjust those requirements as technology and other developments
warrant. Thus, Rule 26.1(a) has been amended to authorize the
Judicial Conference to promulgate more detailed financial
disclosure requirements - requirements that might apply beyond
nongovernmental corporate parties.
As has been true in the past, Rule 26.1(a) does not forbid the
promulgation of local rules that require disclosures in addition to
those required by Rule 26.1(a) itself. However, along with the
authority provided to the Judicial Conference to require additional
disclosures is the authority to preempt any local rulemaking on the
topic of financial disclosure.
Subdivision (b). Rule 26.1(b) has been amended to require parties
to file supplemental disclosure statements whenever there is a
change in the information that Rule 26.1(a) requires the parties to
disclose. For example, if a publicly held corporation acquires 10%
or more of a party's stock after the party has filed its disclosure
statement, the party should file a supplemental statement
identifying that publicly held corporation.
Subdivision (c). Rule 26.1(c) has been amended to provide that a
party who is required to file a supplemental disclosure statement
must file an original and 3 copies, unless a local rule or an order
entered in a particular case provides otherwise.
b. Alternative Two [At its June 7-8, 2001, meeting, the
Committee on Rules of Practice and Procedure voted to approve
Alternative Two.]
Subdivision (a). Rule 26.1(a) requires nongovernmental corporate
parties to file a "corporate disclosure statement." In that
statement, a nongovernmental corporate party is required to
identify all of its parent corporations and all publicly held
corporations that own 10% or more of its stock. The corporate
disclosure statement is intended to assist judges in determining
whether they must recuse themselves by reason of "a financial
interest in the subject matter in controversy." Code of Judicial
Conduct, Canon 3C(1)(c) (1972).
Rule 26.1(a) has been amended to require that nongovernmental
corporate parties who have not been required to file a corporate
disclosure statement - that is, nongovernmental corporate parties
who do not have any parent corporations and at least 10% of whose
stock is not owned by any publicly held corporation - inform the
court of that fact. At present, when a corporate disclosure
statement is not filed, courts do not know whether it has not been
filed because there was nothing to report or because of ignorance
of Rule 26.1.
Subdivision (b). Rule 26.1(b) has been amended to require parties
to file supplemental disclosure statements whenever there is a
change in the information that Rule 26.1(a) requires the parties to
disclose. For example, if a publicly held corporation acquires 10%
or more of a party's stock after the party has filed its disclosure
statement, the party should file a supplemental statement
identifying that publicly held corporation.
Subdivision (c). Rule 26.1(c) has been amended to provide that a
party who is required to file a supplemental disclosure statement
must file an original and 3 copies, unless a local rule or an order
entered in a particular case provides otherwise.
Changes Made After Publication and Comments. The Committee is
submitting two versions of proposed Rule 26.1 for the consideration
of the Standing Committee.
The first version - "Alternative One" - is the same as the
version that was published, except that the rule has been amended
to refer to "any information that may be publicly designated by the
Judicial Conference" instead of to "any information that may be
required by the Judicial Conference." At its April meeting, the
Committee gave unconditional approval to all of "Alternative One,"
except the Judicial Conference provisions. The Committee
conditioned its approval of the Judicial Conference provisions on
the Standing Committee's assuring itself that lawyers would have
ready access to any standards promulgated by the Judicial
Conference and that the Judicial Conference provisions were
consistent with the Rules Enabling Act.
The second version - "Alternative Two" - is the same as the
version that was published, except that the Judicial Conference
provisions have been eliminated. The Civil Rules Committee met
several days after the Appellate Rules Committee and joined the
Bankruptcy Rules Committee in disapproving the Judicial Conference
provisions. Given the decreasing likelihood that the Judicial
Conference provisions will be approved by the Standing Committee, I
asked Prof. Schiltz to draft, and the Appellate Rules Committee to
approve, a version of Rule 26.1 that omitted those provisions.
"Alternative Two" was circulated to and approved by the Committee
in late April.
I should note that, at its April meeting, the Appellate Rules
Committee discussed the financial disclosure provision that was
approved by the Bankruptcy Rules Committee. That provision defines
the scope of the financial disclosure obligation much differently
than the provisions approved by the Appellate, Civil, and Criminal
Rules Committees, which are based on existing Rule 26.1. For
example, the bankruptcy provision requires disclosure when a party
"directly or indirectly" owns 10 percent or more of "any class" of
a publicly or privately held corporation's "equity interests."
Members of the Appellate Rules Committee expressed several concerns
about the provision approved by the Bankruptcy Rules Committee,
objecting both to its substance and to its ambiguity.

-End-



-CITE-
28 USC APPENDIX Rule 27 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 27. Motions

-STATUTE-
(a) In General.
(1) Application for Relief. An application for an order or
other relief is made by motion unless these rules prescribe
another form. A motion must be in writing unless the court
permits otherwise.
(2) Contents of a Motion.
(A) Grounds and Relief Sought. A motion must state with
particularity the grounds for the motion, the relief sought,
and the legal argument necessary to support it.
(B) Accompanying Documents.
(i) Any affidavit or other paper necessary to support a
motion must be served and filed with the motion.
(ii) An affidavit must contain only factual information,
not legal argument.
(iii) A motion seeking substantive relief must include a
copy of the trial court's opinion or agency's decision as a
separate exhibit.

(C) Documents Barred or Not Required.
(i) A separate brief supporting or responding to a motion
must not be filed.
(ii) A notice of motion is not required.
(iii) A proposed order is not required.

(3) Response.
(A) Time to File. Any party may file a response to a motion;
Rule 27(a)(2) governs its contents. The response must be filed
within 8 days after service of the motion unless the court
shortens or extends the time. A motion authorized by Rules 8,
9, 18, or 41 may be granted before the 8-day period runs only
if the court gives reasonable notice to the parties that it
intends to act sooner.
(B) Request for Affirmative Relief. A response may include a
motion for affirmative relief. The time to respond to the new
motion, and to reply to that response, are governed by Rule
27(a)(3)(A) and (a)(4). The title of the response must alert
the court to the request for relief.

(4) Reply to Response. Any reply to a response must be filed
within 5 days after service of the response. A reply must not
present matters that do not relate to the response.

(b) Disposition of a Motion for a Procedural Order. The court may
act on a motion for a procedural order - including a motion under
Rule 26(b) - at any time without awaiting a response, and may, by
rule or by order in a particular case, authorize its clerk to act
on specified types of procedural motions. A party adversely
affected by the court's, or the clerk's, action may file a motion
to reconsider, vacate, or modify that action. Timely opposition
filed after the motion is granted in whole or in part does not
constitute a request to reconsider, vacate, or modify the
disposition; a motion requesting that relief must be filed.
(c) Power of a Single Judge to Entertain a Motion. A circuit
judge may act alone on any motion, but may not dismiss or otherwise
determine an appeal or other proceeding. A court of appeals may
provide by rule or by order in a particular case that only the
court may act on any motion or class of motions. The court may
review the action of a single judge.
(d) Form of Papers; Page Limits; and Number of Copies.
(1) Format.
(A) Reproduction. A motion, response, or reply may be
reproduced by any process that yields a clear black image on
light paper. The paper must be opaque and unglazed. Only one
side of the paper may be used.
(B) Cover. A cover is not required, but there must be a
caption that includes the case number, the name of the court,
the title of the case, and a brief descriptive title indicating
the purpose of the motion and identifying the party or parties
for whom it is filed. If a cover is used, it must be white.
(C) Binding. The document must be bound in any manner that is
secure, does not obscure the text, and permits the document to
lie reasonably flat when open.
(D) Paper Size, Line Spacing, and Margins. The document must
be on 8 1/2 by 11 inch paper. The text must be double-spaced,
but quotations more than two lines long may be indented and
single-spaced. Headings and footnotes may be single-spaced.
Margins must be at least one inch on all four sides. Page
numbers may be placed in the margins, but no text may appear
there.
(E) Typeface and Type Styles. The document must comply with
the typeface requirements of Rule 32(a)(5) and the type-style
requirements of Rule 32(a)(6).

(2) Page Limits. A motion or a response to a motion must not
exceed 20 pages, exclusive of the corporate disclosure statement
and accompanying documents authorized by Rule 27(a)(2)(B), unless
the court permits or directs otherwise. A reply to a response
must not exceed 10 pages.
(3) Number of Copies. An original and 3 copies must be filed
unless the court requires a different number by local rule or by
order in a particular case.

(e) Oral Argument. A motion will be decided without oral argument
unless the court orders otherwise.

-SOURCE-
(As amended Apr. 1, 1979, eff. Aug. 1, 1979; Apr. 25, 1989, eff.
Dec. 1, 1989; Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002; Apr. 25, 2005, eff.
Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivisions (a) and (b). Many motions seek relief of a sort
which is ordinarily unopposed or which is granted as of course. The
provision of subdivision (a) which permits any party to file a
response in opposition to a motion within 7 days after its service
upon him assumes that the motion is one of substance which ought
not be acted upon without affording affected parties an opportunity
to reply. A motion to dismiss or otherwise determine an appeal is
clearly such a motion. Motions authorized by Rules 8, 9, 18 and 41
are likewise motions of substance; but in the nature of the relief
sought, to afford an adversary an automatic delay of at least 7
days is undesirable, thus such motions may be acted upon after
notice which is reasonable under the circumstances.
The term "motions for procedural orders" is used in subdivision
(b) to describe motions which do not substantially affect the
rights of the parties or the ultimate disposition of the appeal. To
prevent delay in the disposition of such motions, subdivision (b)
provides that they may be acted upon immediately without awaiting a
response, subject to the right of any party who is adversely
affected by the action to seek reconsideration.
Subdivision (c). Within the general consideration of procedure on
motions is the problem of the power of a single circuit judge.
Certain powers are granted to a single judge of a court of appeals
by statute. Thus, under 28 U.S.C. Sec. 2101(f) a single judge may
stay execution and enforcement of a judgment to enable a party
aggrieved to obtain certiorari; under 28 U.S.C. Sec. 2251 a judge
before whom a habeas corpus proceeding involving a person detained
by state authority is pending may stay any proceeding against the
person; under 28 U.S.C. Sec. 2253 a single judge may issue a
certificate of probable cause. In addition, certain of these rules
expressly grant power to a single judge. See Rules 8, 9 and 18.
This subdivision empowers a single circuit judge to act upon
virtually all requests for intermediate relief which may be made
during the course of an appeal or other proceeding. By its terms he
may entertain and act upon any motion other than a motion to
dismiss or otherwise determine an appeal or other proceeding. But
the relief sought must be "relief which under these rules may
properly be sought by motion."
Examples of the power conferred on a single judge by this
subdivision are: to extend the time for transmitting the record or
docketing the appeal (Rules 11 and 12); to permit intervention in
agency cases (Rule 15), or substitution in any case (Rule 43); to
permit an appeal in forma pauperis (Rule 24); to enlarge any time
period fixed by the rules other than that for initiating a
proceeding in the court of appeals (Rule 26(b)); to permit the
filing of a brief by amicus curiae (Rule 29); to authorize the
filing of a deferred appendix (Rule 30(c)), or dispense with the
requirement of an appendix in a specific case (Rule 30(f)), or
permit carbon copies of briefs or appendices to be used (Rule
32(a)); to permit the filing of additional briefs (Rule 28(c)), or
the filing of briefs of extraordinary length (Rule 28(g)); to
postpone oral argument (Rule 34(a)), or grant additional time
therefor (Rule 34(b)).
Certain rules require that application for the relief or orders
which they authorize be made by petition. Since relief under those
rules may not properly be sought by motion, a single judge may not
entertain requests for such relief. Thus a single judge may not act
upon requests for permission to appeal (see Rules 5 and 6); or for
mandamus or other extraordinary writs (see Rule 21), other than for
stays or injunctions pendente lite, authority to grant which is
"expressly conferred by these rules" on a single judge under
certain circumstances (see Rules 8 and 18); or upon petitions for
rehearing (see Rule 40).
A court of appeals may by order or rule abridge the power of a
single judge if it is of the view that a motion or a class of
motions should be disposed of by a panel. Exercise of any power
granted a single judge is discretionary with the judge. The final
sentence in this subdivision makes the disposition of any matter by
a single judge subject to review by the court.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment would give sanction to local rules in a
number of circuits permitting the clerk to dispose of specified
types of procedural motions.

NOTES OF ADVISORY COMMITTEE ON RULES - 1989 AMENDMENT
The amendment is technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (d). The amendment makes it clear that a court may
require a different number of copies either by rule or by order in
an individual case. The number of copies of any document that a
court of appeals needs varies depending upon the way in which the
court conducts business. The internal operation of the courts of
appeals necessarily varies from circuit to circuit because of
differences in the number of judges, the geographic area included
within the circuit, and other such factors. Uniformity could be
achieved only by setting the number of copies artificially high so
that parties in all circuits file enough copies to satisfy the
needs of the court requiring the greatest number. Rather than do
that, the Committee decided to make it clear that local rules may
require a greater or lesser number of copies and that, if the
circumstances of a particular case indicate the need for a
different number of copies in that case, the court may so order.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
In addition to amending Rule 27 to conform to uniform drafting
standards, several substantive amendments are made. The Advisory
Committee had been working on substantive amendments to Rule 27
just prior to completion of this larger project.
Subdivision (a). Paragraph (1) retains the language of the
existing rule indicating that an application for an order or other
relief is made by filing a motion unless another form is required
by some other provision in the rules.
Paragraph (1) also states that a motion must be in writing unless
the court permits otherwise. The writing requirement has been
implicit in the rule; the Advisory Committee decided to make it
explicit. There are, however, instances in which a court may permit
oral motions. Perhaps the most common such instance would be a
motion made during oral argument in the presence of opposing
counsel; for example, a request for permission to submit a
supplemental brief on an issue raised by the court for the first
time at oral argument. Rather than limit oral motions to those made
during oral argument or, conversely, assume the propriety of making
even extremely complex motions orally during argument, the Advisory
Committee decided that it is better to leave the determination of
the propriety of an oral motion to the court's discretion. The
provision does not disturb the practice in those circuits that
permit certain procedural motions, such as a motion for extension
of time for filing a brief, to be made by telephone and ruled upon
by the clerk.
Paragraph (2) outlines the contents of a motion. It begins with
the general requirement from the current rule that a motion must
state with particularity the grounds supporting it and the relief
requested. It adds a requirement that all legal arguments should be
presented in the body of the motion; a separate brief or memorandum
supporting or responding to a motion must not be filed. The Supreme
Court uses this single document approach. Sup. Ct. R. 21.1. In
furtherance of the requirement that all legal argument must be
contained in the body of the motion, paragraph (2) also states that
an affidavit that is attached to a motion should contain only
factual information and not legal argument.
Paragraph (2) further states that whenever a motion requests
substantive relief, a copy of the trial court's opinion or agency's
decision must be attached.
Although it is common to present a district court with a proposed
order along with the motion requesting relief, that is not the
practice in the courts of appeals. A proposed order is not required
and is not expected or desired. Nor is a notice of motion required.
Paragraph (3) retains the provisions of the current rule
concerning the filing of a response to a motion except that the
time for responding has been expanded to 10 days rather than 7
days. Because the time periods in the rule apply to a substantive
motion as well as a procedural motion, the longer time period may
help reduce the number of motions for extension of time, or at
least provide a more realistic time frame within which to make and
dispose of such a motion.
A party filing a response in opposition to a motion may also
request affirmative relief. It is the Advisory Committee's judgment
that it is permissible to combine the response and the new motion
in the same document. Indeed, because there may be substantial
overlap of arguments in the response and in the request for
affirmative relief, a combined document may be preferable. If a
request for relief is combined with a response, the caption of the
document must alert the court to the request for relief. The time
for a response to such a new request and for reply to that response
are governed by the general rules regulating responses and replies.
Paragraph (4) is new. Two circuits currently have rules
authorizing a reply. As a general matter, a reply should not
reargue propositions presented in the motion or present matters
that do not relate to the response. Sometimes matters relevant to
the motion arise after the motion is filed; treatment of such
matters in the reply is appropriate even though strictly speaking
it may not relate to the response.
Subdivision (b). The material in this subdivision remains
substantively unchanged except to clarify that one may file a
motion for reconsideration, etc., of a disposition by either the
court or the clerk. A new sentence is added indicating that if a
motion is granted in whole or in part before the filing of timely
opposition to the motion, the filing of the opposition is not
treated as a request for reconsideration, etc. A party wishing to
have the court reconsider, vacate, or modify the disposition must
file a new motion that addresses the order granting the motion.
Although the rule does not require a court to do so, it would be
helpful if, whenever a motion is disposed of before receipt of any
response from the opposing party, the ruling indicates that it was
issued without awaiting a response. Such a statement will aid the
opposing party in deciding whether to request reconsideration. The
opposing party may have mailed a response about the time of the
ruling and be uncertain whether the court has considered it.
Subdivision (c). The changes in this subdivision are stylistic
only. No substantive changes are intended.
Subdivision (d). This subdivision has been substantially revised.
The format requirements have been moved from Rule 32(b) to
paragraph (1) of this subdivision. No cover is required, but a
caption is needed as well as a descriptive title indicating the
purpose of the motion and identifying the party or parties for whom
it is filed. Spiral binding or secure stapling at the upper left-
hand corner satisfies the binding requirement. But they are not
intended to be the exclusive methods of binding.
Paragraph (2) establishes page limits; twenty pages for a motion
or a response, and ten pages for a reply. Three circuits have
established page limits by local rule. This rule does not establish
special page limits for those instances in which a party combines a
response to a motion with a new request for affirmative relief.
Because a combined document most often will be used when there is
substantial overlap in the argument in opposition to the motion and
in the argument for the affirmative relief, twenty pages may be
sufficient in most instances. If it is not, the party may request
additional pages. If ten pages is insufficient for the original
movant to both reply to the response, and respond to the new
request for affirmative relief, two separate documents may be used
or a request for additional pages may be made.
The changes in paragraph (4) are stylistic only. No substantive
changes are intended.
Subdivision (e). This new provision makes it clear that there is
no right to oral argument on a motion. Seven circuits have local
rules stating that oral argument of motions will not be held unless
the court orders it.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (a)(3)(A). Subdivision (a)(3)(A) presently requires
that a response to a motion be filed within 10 days after service
of the motion. Intermediate Saturdays, Sundays, and legal holidays
are counted in computing that 10-day deadline, which means that,
except when the 10-day deadline ends on a weekend or legal holiday,
parties generally must respond to motions within 10 actual days.
Fed. R. App. P. 26(a)(2) has been amended to provide that, in
computing any period of time, a litigant should "[e]xclude
intermediate Saturdays, Sundays, and legal holidays when the period
is less than 11 days, unless stated in calendar days." This change
in the method of computing deadlines means that 10-day deadlines
(such as that in subdivision (a)(3)(A)) have been lengthened as a
practical matter. Under the new computation method, parties would
never have less than 14 actual days to respond to motions, and
legal holidays could extend that period to as much as 18 days.
Permitting parties to take two weeks or more to respond to
motions would introduce significant and unwarranted delay into
appellate proceedings. For that reason, the 10-day deadline in
subdivision (a)(3)(A) has been reduced to 8 days. This change will,
as a practical matter, ensure that every party will have at least
10 actual days - but, in the absence of a legal holiday, no more
than 12 actual days - to respond to motions. The court continues to
have discretion to shorten or extend that time in appropriate
cases.
Changes Made After Publication and Comments. In response to the
objections of commentators, the time to respond to a motion was
increased from the proposed 7 days to 8 days. No other changes were
made to the text of the proposed amendment or to the Committee
Note.
Subdivision (a)(4). Subdivision (a)(4) presently requires that a
reply to a response to a motion be filed within 7 days after
service of the response. Intermediate Saturdays, Sundays, and legal
holidays are counted in computing that 7-day deadline, which means
that, except when the 7-day deadline ends on a weekend or legal
holiday, parties generally must reply to responses to motions
within one week.
Fed. R. App. P. 26(a)(2) has been amended to provide that, in
computing any period of time, a litigant should "[e]xclude
intermediate Saturdays, Sundays, and legal holidays when the period
is less than 11 days, unless stated in calendar days." This change
in the method of computing deadlines means that 7-day deadlines
(such as that in subdivision (a)(4)) have been lengthened as a
practical matter. Under the new computation method, parties would
never have less than 9 actual days to reply to responses to
motions, and legal holidays could extend that period to as much as
13 days.
Permitting parties to take 9 or more days to reply to a response
to a motion would introduce significant and unwarranted delay into
appellate proceedings. For that reason, the 7-day deadline in
subdivision (a)(4) has been reduced to 5 days. This change will, as
a practical matter, ensure that every party will have 7 actual days
to file replies to responses to motions (in the absence of a legal
holiday).
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
Subdivision (d)(1)(B). A cover is not required on motions,
responses to motions, or replies to responses to motions. However,
Rule 27(d)(1)(B) has been amended to provide that if a cover is
nevertheless used on such a paper, the cover must be white. The
amendment is intended to promote uniformity in federal appellate
practice.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (d)(1)(E). A new subdivision (E) has been added to
Rule 27(d)(1) to provide that a motion, a response to a motion, and
a reply to a response to a motion must comply with the typeface
requirements of Rule 32(a)(5) and the type-style requirements of
Rule 32(a)(6). The purpose of the amendment is to promote
uniformity in federal appellate practice and to prevent the abuses
that might occur if no restrictions were placed on the size of
typeface used in motion papers.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 28 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 28. Briefs

-STATUTE-
(a) Appellant's Brief. The appellant's brief must contain, under
appropriate headings and in the order indicated:
(1) a corporate disclosure statement if required by Rule 26.1;
(2) a table of contents, with page references;
(3) a table of authorities - cases (alphabetically arranged),
statutes, and other authorities - with references to the pages of
the brief where they are cited;
(4) a jurisdictional statement, including:
(A) the basis for the district court's or agency's subject-
matter jurisdiction, with citations to applicable statutory
provisions and stating relevant facts establishing
jurisdiction;
(B) the basis for the court of appeals' jurisdiction, with
citations to applicable statutory provisions and stating
relevant facts establishing jurisdiction;
(C) the filing dates establishing the timeliness of the
appeal or petition for review; and
(D) an assertion that the appeal is from a final order or
judgment that disposes of all parties' claims, or information
establishing the court of appeals' jurisdiction on some other
basis;

(5) a statement of the issues presented for review;
(6) a statement of the case briefly indicating the nature of
the case, the course of proceedings, and the disposition below;
(7) a statement of facts relevant to the issues submitted for
review with appropriate references to the record (see Rule
28(e));
(8) a summary of the argument, which must contain a succinct,
clear, and accurate statement of the arguments made in the body
of the brief, and which must not merely repeat the argument
headings;
(9) the argument, which must contain:
(A) appellant's contentions and the reasons for them, with
citations to the authorities and parts of the record on which
the appellant relies; and
(B) for each issue, a concise statement of the applicable
standard of review (which may appear in the discussion of the
issue or under a separate heading placed before the discussion
of the issues);

(10) a short conclusion stating the precise relief sought; and
(11) the certificate of compliance, if required by Rule
32(a)(7).

(b) Appellee's Brief. The appellee's brief must conform to the
requirements of Rule 28(a)(1)-(9) and (11), except that none of the
following need appear unless the appellee is dissatisfied with the
appellant's statement:
(1) the jurisdictional statement;
(2) the statement of the issues;
(3) the statement of the case;
(4) the statement of the facts; and
(5) the statement of the standard of review.

(c) Reply Brief. The appellant may file a brief in reply to the
appellee's brief. Unless the court permits, no further briefs may
be filed. A reply brief must contain a table of contents, with page
references, and a table of authorities - cases (alphabetically
arranged), statutes, and other authorities - with references to the
pages of the reply brief where they are cited.
(d) References to Parties. In briefs and at oral argument,
counsel should minimize use of the terms "appellant" and
"appellee." To make briefs clear, counsel should use the parties'
actual names or the designations used in the lower court or agency
proceeding, or such descriptive terms as "the employee," "the
injured person," "the taxpayer," "the ship," "the stevedore."
(e) References to the Record. References to the parts of the
record contained in the appendix filed with the appellant's brief
must be to the pages of the appendix. If the appendix is prepared
after the briefs are filed, a party referring to the record must
follow one of the methods detailed in Rule 30(c). If the original
record is used under Rule 30(f) and is not consecutively paginated,
or if the brief refers to an unreproduced part of the record, any
reference must be to the page of the original document. For
example:
-- Answer p. 7;
-- Motion for Judgment p. 2;
-- Transcript p. 231.

Only clear abbreviations may be used. A party referring to evidence
whose admissibility is in controversy must cite the pages of the
appendix or of the transcript at which the evidence was identified,
offered, and received or rejected.
(f) Reproduction of Statutes, Rules, Regulations, etc. If the
court's determination of the issues presented requires the study of
statutes, rules, regulations, etc., the relevant parts must be set
out in the brief or in an addendum at the end, or may be supplied
to the court in pamphlet form.
(g) [Reserved]
(h) [Reserved]
(i) Briefs in a Case Involving Multiple Appellants or Appellees.
In a case involving more than one appellant or appellee, including
consolidated cases, any number of appellants or appellees may join
in a brief, and any party may adopt by reference a part of
another's brief. Parties may also join in reply briefs.
(j) Citation of Supplemental Authorities. If pertinent and
significant authorities come to a party's attention after the
party's brief has been filed - or after oral argument but before
decision - a party may promptly advise the circuit clerk by letter,
with a copy to all other parties, setting forth the citations. The
letter must state the reasons for the supplemental citations,
referring either to the page of the brief or to a point argued
orally. The body of the letter must not exceed 350 words. Any
response must be made promptly and must be similarly limited.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 25, 1989, eff. Dec. 1, 1989; Apr. 30, 1991, eff.
Dec. 1, 1991; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002; Apr. 25, 2005, eff. Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule is based upon Supreme Court Rule 40. For variations in
present circuit rules on briefs see 2d Cir. Rule 17, 3d Cir. Rule
24, 5th Cir. Rule 24, and 7th Cir. Rule 17. All circuits now limit
the number of pages of briefs, a majority limiting the brief to 50
pages of standard typographic printing. Fifty pages of standard
typographic printing is the approximate equivalent of 70 pages of
typewritten text, given the page sizes required by Rule 32 and the
requirement set out there that text produced by a method other than
standard typographic must be double spaced.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment eliminates the distinction appearing in
the present rule between the permissible length in pages of printed
and typewritten briefs, investigation of the matter having
disclosed that the number of words on the printed page is little if
any larger than the number on a page typed in standard elite type.
The provision is made subject to local rule to permit the court
of appeals to require that typewritten briefs be typed in larger
type and permit a correspondingly larger number of pages.
Subdivision (j). Proposed new Rule 28(j) makes provision for
calling the court's attention to authorities that come to the
party's attention after the brief has been filed. It is patterned
after the practice under local rule in some of the circuits.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
While Rule 28(g) can be read as requiring that tables of
authorities be included in a reply brief, such tables are often not
included. Their absence impedes efficient use of the reply brief to
ascertain the appellant's response to a particular argument of the
appellee or to the appellee's use of a particular authority. The
amendment to Rule 28(c) is intended to make it clear that such
tables are required in reply briefs.
The amendment to Rule 28(j) is technical. No substantive change
is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1989 AMENDMENT
The amendment provides that the corporate disclosure statement
required by new rule 26.1 shall be treated similarly to tables of
contents and tables of citations and shall not be counted for
purposes of the number of pages allowed in a brief.

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
Subdivision (a). The amendment adds a new subparagraph (2) that
requires an appellant to include a specific jurisdictional
statement in the appellant's brief to aid the court of appeals in
determining whether it has both federal subject matter and
appellate jurisdiction.
Subdivision (b). The amendment requires the appellee to include a
jurisdictional statement in the appellee's brief except that the
appellee need not include the statement if the appellee is
satisfied with the appellant's jurisdictional statement.
Subdivision (h). The amendment provides that when more than one
party appeals from a judgment or order, the party filing the first
appeal is normally treated as the appellant for purposes of this
rule and Rules 30 and 31. The party who first files an appeal
usually is the principal appellant and should be treated as such.
Parties who file a notice of appeal after the first notice often
bring protective appeals and they should be treated as cross
appellants. Local rules in the Fourth and Federal Circuits now take
that approach. If notices of appeal are filed on the same day, the
rule follows the old approach of treating the plaintiff below as
the appellant. For purposes of this rule, in criminal cases "the
plaintiff" means the United States. In those instances where the
designations provided by the rule are inappropriate, they may be
altered by agreement of the parties or by an order of the court.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Note to paragraph (a)(5). The amendment requires an appellant's
brief to state the standard of review applicable to each issue on
appeal. Five circuits currently require these statements.
Experience in those circuits indicates that requiring a statement
of the standard of review generally results in arguments that are
properly shaped in light of the standard.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). The amendment adds a requirement that an
appellant's brief contain a summary of the argument. A number of
circuits have local rules requiring a summary and the courts report
that they find the summary useful. See, D.C. Cir. R. 11(a)(5); 5th
Cir. R. 28.2.2; 8th Cir. R. 28A(i)(6); 11th Cir. R. 28-2(i); and
Fed. Cir. R. 28.
Subdivision (b). The amendment adds a requirement that an
appellee's brief contain a summary of the argument.
Subdivision (g). The amendment adds proof of service to the list
of items in a brief that do not count for purposes of the page
limitation. The concurrent amendment to Rule 25(d) requires a
certificate of service to list the addresses to which a paper was
mailed or at which it was delivered. When a number of parties must
be served, the listing of addresses may run to several pages and
those pages should not count for purposes of the page limitation.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In additional to changes made to
improve the understanding, the Advisory Committee has changed
language to make style and terminology consistent throughout the
appellate rules. These changes are intended to be stylistic only.
Several substantive changes are made in this rule, however. Most
of them are necessary to conform Rule 28 with changes recommended
in Rule 32.
Subdivision (a). The current rule requires a brief to include a
statement of the case which includes a description of the nature of
the case, the course of proceedings, the disposition of the case -
all of which might be described as the procedural history - as well
as a statement of the facts. The amendments separate this into two
statements: one procedural, called the statement of the case; and
one factual, called the statement of the facts. The Advisory
Committee believes that the separation will be helpful to the
judges. The table of contents and table of authorities have also
been separated into two distinct items.
An additional amendment of subdivision (a) is made to conform it
with an amendment being made to Rule 32. Rule 32(a)(7) generally
requires a brief to include a certificate of compliance with type-
volume limitations contained in that rule. (No certificate is
required if a brief does not exceed 30 pages, or 15 pages for a
reply brief.) Rule 28(a) is amended to include that certificate in
the list of items that must be included in a brief whenever it is
required by Rule 32.
Subdivision (g). The amendments delete subdivision (g) that
limited a principal brief to 50 pages and a reply brief to 25
pages. The length limitations have been moved to Rule 32. Rule 32
deals generally with the format for a brief or appendix.
Subdivision (h). The amendment requires an appellee's brief to
comply with Rule 28(a)(1) through (11) with regard to a cross-
appeal. The addition of separate paragraphs requiring a corporate
disclosure statement, table of authorities, statement of facts, and
certificate of compliance increased the relevant paragraphs of
subdivision (a) from (7) to (11). The other changes are stylistic;
no substantive changes are intended.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (j). In the past, Rule 28(j) has required parties to
describe supplemental authorities "without argument." Enforcement
of this restriction has been lax, in part because of the difficulty
of distinguishing "state[ment] . . . [of] the reasons for the
supplemental citations," which is required, from "argument" about
the supplemental citations, which is forbidden.
As amended, Rule 28(j) continues to require parties to state the
reasons for supplemental citations, with reference to the part of a
brief or oral argument to which the supplemental citations pertain.
But Rule 28(j) no longer forbids "argument." Rather, Rule 28(j)
permits parties to decide for themselves what they wish to say
about supplemental authorities. The only restriction upon parties
is that the body of a Rule 28(j) letter - that is, the part of the
letter that begins with the first word after the salutation and
ends with the last word before the complimentary close - cannot
exceed 350 words. All words found in footnotes will count toward
the 350-word limit.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note,
except that the word limit was increased from 250 to 350 in
response to the complaint of some commentators that parties would
have difficulty bringing multiple supplemental authorities to the
attention of the court in one 250-word letter.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (c). Subdivision (c) has been amended to delete a
sentence that authorized an appellee who had cross-appealed to file
a brief in reply to the appellant's response. All rules regarding
briefing in cases involving cross-appeals have been consolidated
into new Rule 28.1.
Subdivision (h). Subdivision (h) - regarding briefing in cases
involving cross-appeals - has been deleted. All rules regarding
such briefing have been consolidated into new Rule 28.1.

-End-



-CITE-
28 USC APPENDIX Rule 28.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 28.1. Cross-Appeals

-STATUTE-
(a) Applicability. This rule applies to a case in which a cross-
appeal is filed. Rules 28(a)-(c), 31(a)(1), 32(a)(2), and
32(a)(7)(A)-(B) do not apply to such a case, except as otherwise
provided in this rule.
(b) Designation of Appellant. The party who files a notice of
appeal first is the appellant for the purposes of this rule and
Rules 30 and 34. If notices are filed on the same day, the
plaintiff in the proceeding below is the appellant. These
designations may be modified by the parties' agreement or by court
order.
(c) Briefs. In a case involving a cross-appeal:
(1) Appellant's Principal Brief. The appellant must file a
principal brief in the appeal. That brief must comply with Rule
28(a).
(2) Appellee's Principal and Response Brief. The appellee must
file a principal brief in the cross-appeal and must, in the same
brief, respond to the principal brief in the appeal. That
appellee's brief must comply with Rule 28(a), except that the
brief need not include a statement of the case or a statement of
the facts unless the appellee is dissatisfied with the
appellant's statement.
(3) Appellant's Response and Reply Brief. The appellant must
file a brief that responds to the principal brief in the cross-
appeal and may, in the same brief, reply to the response in the
appeal. That brief must comply with Rule 28(a)(2)-(9) and (11),
except that none of the following need appear unless the
appellant is dissatisfied with the appellee's statement in the
cross-appeal:
(A) the jurisdictional statement;
(B) the statement of the issues;
(C) the statement of the case;
(D) the statement of the facts; and
(E) the statement of the standard of review.

(4) Appellee's Reply Brief. The appellee may file a brief in
reply to the response in the cross-appeal. That brief must comply
with Rule 28(a)(2)-(3) and (11) and must be limited to the issues
presented by the cross-appeal.
(5) No Further Briefs. Unless the court permits, no further
briefs may be filed in a case involving a cross-appeal.

(d) Cover. Except for filings by unrepresented parties, the cover
of the appellant's principal brief must be blue; the appellee's
principal and response brief, red; the appellant's response and
reply brief, yellow; the appellee's reply brief, gray; an
intervenor's or amicus curiae's brief, green; and any supplemental
brief, tan. The front cover of a brief must contain the information
required by Rule 32(a)(2).
(e) Length.
(1) Page Limitation. Unless it complies with Rule 28.1(e)(2)
and (3), the appellant's principal brief must not exceed 30
pages; the appellee's principal and response brief, 35 pages; the
appellant's response and reply brief, 30 pages; and the
appellee's reply brief, 15 pages.
(2) Type-Volume Limitation.
(A) The appellant's principal brief or the appellant's
response and reply brief is acceptable if:
(i) it contains no more than 14,000 words; or
(ii) it uses a monospaced face and contains no more than
1,300 lines of text.

(B) The appellee's principal and response brief is acceptable
if:
(i) it contains no more than 16,500 words; or
(ii) it uses a monospaced face and contains no more than
1,500 lines of text.

(C) The appellee's reply brief is acceptable if it contains
no more than half of the type volume specified in Rule
28.1(e)(2)(A).

(3) Certificate of Compliance. A brief submitted under Rule
28.1(e)(2) must comply with Rule 32(a)(7)(C).

(f) Time to Serve and File a Brief. Briefs must be served and
filed as follows:
(1) the appellant's principal brief, within 40 days after the
record is filed;
(2) the appellee's principal and response brief, within 30 days
after the appellant's principal brief is served;
(3) the appellant's response and reply brief, within 30 days
after the appellee's principal and response brief is served; and
(4) the appellee's reply brief, within 14 days after the
appellant's response and reply brief is served, but at least 3
days before argument unless the court, for good cause, allows a
later filing.

-SOURCE-
(As added Apr. 25, 2005, eff. Dec. 1, 2005.)


-MISC1-
COMMITTEE NOTES ON RULES - 2005
The Federal Rules of Appellate Procedure have said very little
about briefing in cases involving cross-appeals. This vacuum has
frustrated judges, attorneys, and parties who have sought guidance
in the rules. More importantly, this vacuum has been filled by
conflicting local rules regarding such matters as the number and
length of briefs, the colors of the covers of briefs, and the
deadlines for serving and filing briefs. These local rules have
created a hardship for attorneys who practice in more than one
circuit.
New Rule 28.1 provides a comprehensive set of rules governing
briefing in cases involving cross-appeals. The few existing
provisions regarding briefing in such cases have been moved into
new Rule 28.1, and several new provisions have been added to fill
the gaps in the existing rules. The new provisions reflect the
practices of the large majority of circuits and, to a significant
extent, the new provisions have been patterned after the
requirements imposed by Rules 28, 31, and 32 on briefs filed in
cases that do not involve cross-appeals.
Subdivision (a). Subdivision (a) makes clear that, in a case
involving a cross-appeal, briefing is governed by new Rule 28.1,
and not by Rules 28(a), 28(b), 28(c), 31(a)(1), 32(a)(2),
32(a)(7)(A), and 32(a)(7)(B), except to the extent that Rule 28.1
specifically incorporates those rules by reference.
Subdivision (b). Subdivision (b) defines who is the "appellant"
and who is the "appellee" in a case involving a cross-appeal.
Subdivision (b) is taken directly from former Rule 28(h), except
that subdivision (b) refers to a party being designated as an
appellant "for the purposes of this rule and Rules 30 and 34,"
whereas former Rule 28(h) also referred to Rule 31. Because the
matter addressed by Rule 31(a)(1) - the time to serve and file
briefs - is now addressed directly in new Rule 28.1(f), the cross-
reference to Rule 31 is no longer necessary. In Rule 31 and in all
rules other than Rules 28.1, 30, and 34, references to an
"appellant" refer both to the appellant in an appeal and to the
cross-appellant in a cross-appeal, and references to an "appellee"
refer both to the appellee in an appeal and to the cross-appellee
in a cross-appeal. Cf. Rule 31(c).
Subdivision (c). Subdivision (c) provides for the filing of four
briefs in a case involving a cross-appeal. This reflects the
practice of every circuit except the Seventh. See 7th Cir. R.
28(d)(1)(a).
The first brief is the "appellant's principal brief." That brief -
like the appellant's principal brief in a case that does not
involve a cross-appeal - must comply with Rule 28(a).
The second brief is the "appellee's principal and response
brief." Because this brief serves as the appellee's principal brief
on the merits of the cross-appeal, as well as the appellee's
response brief on the merits of the appeal, it must also comply
with Rule 28(a), with the limited exceptions noted in the text of
the rule.
The third brief is the "appellant's response and reply brief."
Like a response brief in a case that does not involve a cross-
appeal - that is, a response brief that does not also serve as a
principal brief on the merits of a cross-appeal - the appellant's
response and reply brief must comply with Rule 28(a)(2)-(9) and
(11), with the exceptions noted in the text of the rule. See Rule
28(b). The one difference between the appellant's response and
reply brief, on the one hand, and a response brief filed in a case
that does not involve a cross-appeal, on the other, is that the
latter must include a corporate disclosure statement. See Rule
28(a)(1) and (b). An appellant filing a response and reply brief in
a case involving a cross-appeal has already filed a corporate
disclosure statement with its principal brief on the merits of the
appeal.
The fourth brief is the "appellee's reply brief." Like a reply
brief in a case that does not involve a cross-appeal, it must
comply with Rule 28(c), which essentially restates the requirements
of Rule 28(a)(2)-(3) and (11). (Rather than restating the
requirements of Rule 28(a)(2)-(3) and (11), as Rule 28(c) does,
Rule 28.1(c)(4) includes a direct cross-reference.) The appellee's
reply brief must also be limited to the issues presented by the
cross-appeal.
Subdivision (d). Subdivision (d) specifies the colors of the
covers on briefs filed in a case involving a cross-appeal. It is
patterned after Rule 32(a)(2), which does not specifically refer to
cross-appeals.
Subdivision (e). Subdivision (e) sets forth limits on the length
of the briefs filed in a case involving a cross-appeal. It is
patterned after Rule 32(a)(7), which does not specifically refer to
cross-appeals. Subdivision (e) permits the appellee's principal and
response brief to be longer than a typical principal brief on the
merits because this brief serves not only as the principal brief on
the merits of the cross-appeal, but also as the response brief on
the merits of the appeal. Likewise, subdivision (e) permits the
appellant's response and reply brief to be longer than a typical
reply brief because this brief serves not only as the reply brief
in the appeal, but also as the response brief in the cross-appeal.
For purposes of determining the maximum length of an amicus
curiae's brief filed in a case involving a cross-appeal, Rule
29(d)'s reference to "the maximum length authorized by these rules
for a party's principal brief" should be understood to refer to
subdivision (e)'s limitations on the length of an appellant's
principal brief.
Subdivision (f). Subdivision (f) provides deadlines for serving
and filing briefs in a cross-appeal. It is patterned after Rule
31(a)(1), which does not specifically refer to cross-appeals.
Changes Made After Publication and Comments. The Committee
adopted the recommendation of the Style Subcommittee that the text
of Rule 28.1 be changed in a few minor respects to improve clarity.
(That recommendation is described below.) The Committee also
adopted three suggestions made by the Department of Justice: (1) A
sentence was added to the Committee Note to Rule 28.1(b) to clarify
that the term "appellant" (and "appellee") as used by rules other
than Rules 28.1, 30, and 34, refers to both the appellant in an
appeal and the cross-appellant in a cross-appeal (and to both the
appellee in an appeal and the cross-appellee in a cross-appeal).
(2) Rule 28.1(d) was amended to prescribe cover colors for
supplemental briefs and briefs filed by an intervenor or amicus
curiae. (3) A few words were added to the Committee Note to Rule
28.1(e) to clarify the length of an amicus curiae's brief.

-End-



-CITE-
28 USC APPENDIX Rule 29 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 29. Brief of an Amicus Curiae

-STATUTE-
(a) When Permitted. The United States or its officer or agency,
or a State, Territory, Commonwealth, or the District of Columbia
may file an amicus-curiae brief without the consent of the parties
or leave of court. Any other amicus curiae may file a brief only by
leave of court or if the brief states that all parties have
consented to its filing.
(b) Motion for Leave to File. The motion must be accompanied by
the proposed brief and state:
(1) the movant's interest; and
(2) the reason why an amicus brief is desirable and why the
matters asserted are relevant to the disposition of the case.

(c) Contents and Form. An amicus brief must comply with Rule 32.
In addition to the requirements of Rule 32, the cover must identify
the party or parties supported and indicate whether the brief
supports affirmance or reversal. If an amicus curiae is a
corporation, the brief must include a disclosure statement like
that required of parties by Rule 26.1. An amicus brief need not
comply with Rule 28, but must include the following:
(1) a table of contents, with page references;
(2) a table of authorities - cases (alphabetically arranged),
statutes and other authorities - with references to the pages of
the brief where they are cited;
(3) a concise statement of the identity of the amicus curiae,
its interest in the case, and the source of its authority to
file;
(4) an argument, which may be preceded by a summary and which
need not include a statement of the applicable standard of
review; and
(5) a certificate of compliance, if required by Rule 32(a)(7).

(d) Length. Except by the court's permission, an amicus brief may
be no more than one-half the maximum length authorized by these
rules for a party's principal brief. If the court grants a party
permission to file a longer brief, that extension does not affect
the length of an amicus brief.
(e) Time for Filing. An amicus curiae must file its brief,
accompanied by a motion for filing when necessary, no later than 7
days after the principal brief of the party being supported is
filed. An amicus curiae that does not support either party must
file its brief no later than 7 days after the appellant's or
petitioner's principal brief is filed. A court may grant leave for
later filing, specifying the time within which an opposing party
may answer.
(f) Reply Brief. Except by the court's permission, an amicus
curiae may not file a reply brief.
(g) Oral Argument. An amicus curiae may participate in oral
argument only with the court's permission.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Only five circuits presently regulate the filing of the brief of
an amicus curiae. See D.C. Cir. Rule 18(j); 1st Cir. Rule 23(10);
6th Cir. Rule 17(4); 9th Cir. Rule 18(9); 10th Cir. Rule 20. This
rule follows the practice of a majority of circuits in requiring
leave of court to file an amicus brief except under the
circumstances stated therein. Compare Supreme Court Rule 42.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.
Several substantive changes are made in this rule, however.
Subdivision (a). The major change in this subpart is that when a
brief is filed with the consent of all parties, it is no longer
necessary to obtain the parties' written consent and to file the
consents with the brief. It is sufficient to obtain the parties'
oral consent and to state in the brief that all parties have
consented. It is sometimes difficult to obtain all the written
consents by the filing deadline and it is not unusual for counsel
to represent that parties have consented; for example, in a motion
for extension of time to file a brief it is not unusual for the
movant to state that the other parties have been consulted and they
do not object to the extension. If a party's consent has been
misrepresented, the party will be able to take action before the
court considers the amicus brief.
The District of Columbia is added to the list of entities allowed
to file an amicus brief without consent of all parties. The other
changes in this material are stylistic.
Subdivision (b). The provision in the former rule, granting
permission to conditionally file the brief with the motion, is
changed to one requiring that the brief accompany the motion. Sup.
Ct. R. 37.4 requires that the proposed brief be presented with the
motion.
The former rule only required the motion to identify the
applicant's interest and to generally state the reasons why an
amicus brief is desirable. The amended rule additionally requires
that the motion state the relevance of the matters asserted to the
disposition of the case. As Sup. Ct. R. 37.1 states:
An amicus curiae brief which brings relevant matter to the
attention of the Court that has not already been brought to its
attention by the parties is of considerable help to the Court. An
amicus curiae brief which does not serve this purpose simply
burdens the staff and facilities of the Court and its filing is
not favored.
Because the relevance of the matters asserted by an amicus is
ordinarily the most compelling reason for granting leave to file,
the Committee believes that it is helpful to explicitly require
such a showing.
Subdivision (c). The provisions in this subdivision are entirely
new. Previously there was confusion as to whether an amicus brief
must include all of the items listed in Rule 28. Out of caution
practitioners in some circuits included all those items. Ordinarily
that is unnecessary.
The requirement that the cover identify the party supported and
indicate whether the amicus supports affirmance or reversal is an
administrative aid.
Paragraph (c)(3) requires an amicus to state the source of its
authority to file. The amicus simply must identify which of the
provisions in Rule 29(a) provides the basis for the amicus to file
its brief.
Subdivision (d). This new provision imposes a shorter page limit
for an amicus brief than for a party's brief. This is appropriate
for two reasons. First, an amicus may omit certain items that must
be included in a party's brief. Second, an amicus brief is
supplemental. It need not address all issues or all facets of a
case. It should treat only matter not adequately addressed by a
party.
Subdivision (e). The time limit for filing is changed. An amicus
brief must be filed no later than 7 days after the principal brief
of the party being supported is filed. Occasionally, an amicus
supports neither party; in such instances, the amendment provides
that the amicus brief must be filed no later than 7 days after the
appellant's or petitioner's principal brief is filed. Note that in
both instances the 7-day period runs from when a brief is filed.
The passive voice - "is filed" - is used deliberately. A party or
amicus can send its brief to a court for filing and, under Rule 25,
the brief is timely if mailed within the filing period. Although
the brief is timely if mailed within the filing period, it is not
"filed" until the court receives it and file stamps it. "Filing" is
done by the court, not by the party. It may be necessary for an
amicus to contact the court to ascertain the filing date.
The 7-day stagger was adopted because it is long enough to permit
an amicus to review the completed brief of the party being
supported and avoid repetitious argument. A 7-day period also is
short enough that no adjustment need be made in the opposing
party's briefing schedule. The opposing party will have sufficient
time to review arguments made by the amicus and address them in the
party's responsive pleading. The timetable for filing the parties'
briefs is unaffected by this change.
A court may grant permission to file an amicus brief in a context
in which the party does not file a "principal brief"; for example,
an amicus may be permitted to file in support of a party's petition
for rehearing. In such instances the court will establish the
filing time for the amicus.
The former rule's statement that a court may, for cause shown,
grant leave for later filing is unnecessary. Rule 26(b) grants
general authority to enlarge the time prescribed in these rules for
good cause shown. This new rule, however, states that when a court
grants permission for later filing, the court must specify the
period within which an opposing party may answer the arguments of
the amicus.
Subdivision (f). This subdivision generally prohibits the filing
a a reply brief by an amicus curiae. Sup. Ct. R. 37 and local rules
of the D.C., Ninth, and Federal Circuits state that an amicus may
not file a reply brief. The role of an amicus should not require
the use of a reply brief.
Subdivision (g). The language of this subdivision stating that an
amicus will be granted permission to participate in oral argument
"only for extraordinary reasons" has been deleted. The change is
made to reflect more accurately the current practice in which it is
not unusual for a court to permit an amicus to argue when a party
is willing to share its argument time with the amicus. The
Committee does not intend, however, to suggest that in other
instances an amicus will be permitted to argue absent extraordinary
circumstances.

-End-



-CITE-
28 USC APPENDIX Rule 30 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 30. Appendix to the Briefs

-STATUTE-
(a) Appellant's Responsibility.
(1) Contents of the Appendix. The appellant must prepare and
file an appendix to the briefs containing:
(A) the relevant docket entries in the proceeding below;
(B) the relevant portions of the pleadings, charge, findings,
or opinion;
(C) the judgment, order, or decision in question; and
(D) other parts of the record to which the parties wish to
direct the court's attention.

(2) Excluded Material. Memoranda of law in the district court
should not be included in the appendix unless they have
independent relevance. Parts of the record may be relied on by
the court or the parties even though not included in the
appendix.
(3) Time to File; Number of Copies. Unless filing is deferred
under Rule 30(c), the appellant must file 10 copies of the
appendix with the brief and must serve one copy on counsel for
each party separately represented. An unrepresented party
proceeding in forma pauperis must file 4 legible copies with the
clerk, and one copy must be served on counsel for each separately
represented party. The court may by local rule or by order in a
particular case require the filing or service of a different
number.

(b) All Parties' Responsibilities.
(1) Determining the Contents of the Appendix. The parties are
encouraged to agree on the contents of the appendix. In the
absence of an agreement, the appellant must, within 10 days after
the record is filed, serve on the appellee a designation of the
parts of the record the appellant intends to include in the
appendix and a statement of the issues the appellant intends to
present for review. The appellee may, within 10 days after
receiving the designation, serve on the appellant a designation
of additional parts to which it wishes to direct the court's
attention. The appellant must include the designated parts in the
appendix. The parties must not engage in unnecessary designation
of parts of the record, because the entire record is available to
the court. This paragraph applies also to a cross-appellant and a
cross-appellee.
(2) Costs of Appendix. Unless the parties agree otherwise, the
appellant must pay the cost of the appendix. If the appellant
considers parts of the record designated by the appellee to be
unnecessary, the appellant may advise the appellee, who must then
advance the cost of including those parts. The cost of the
appendix is a taxable cost. But if any party causes unnecessary
parts of the record to be included in the appendix, the court may
impose the cost of those parts on that party. Each circuit must,
by local rule, provide for sanctions against attorneys who
unreasonably and vexatiously increase litigation costs by
including unnecessary material in the appendix.

(c) Deferred Appendix.
(1) Deferral Until After Briefs Are Filed. The court may
provide by rule for classes of cases or by order in a particular
case that preparation of the appendix may be deferred until after
the briefs have been filed and that the appendix may be filed 21
days after the appellee's brief is served. Even though the filing
of the appendix may be deferred, Rule 30(b) applies; except that
a party must designate the parts of the record it wants included
in the appendix when it serves its brief, and need not include a
statement of the issues presented.
(2) References to the Record.
(A) If the deferred appendix is used, the parties may cite in
their briefs the pertinent pages of the record. When the
appendix is prepared, the record pages cited in the briefs must
be indicated by inserting record page numbers, in brackets, at
places in the appendix where those pages of the record appear.
(B) A party who wants to refer directly to pages of the
appendix may serve and file copies of the brief within the time
required by Rule 31(a), containing appropriate references to
pertinent pages of the record. In that event, within 14 days
after the appendix is filed, the party must serve and file
copies of the brief, containing references to the pages of the
appendix in place of or in addition to the references to the
pertinent pages of the record. Except for the correction of
typographical errors, no other changes may be made to the
brief.

(d) Format of the Appendix. The appendix must begin with a table
of contents identifying the page at which each part begins. The
relevant docket entries must follow the table of contents. Other
parts of the record must follow chronologically. When pages from
the transcript of proceedings are placed in the appendix, the
transcript page numbers must be shown in brackets immediately
before the included pages. Omissions in the text of papers or of
the transcript must be indicated by asterisks. Immaterial formal
matters (captions, subscriptions, acknowledgments, etc.) should be
omitted.
(e) Reproduction of Exhibits. Exhibits designated for inclusion
in the appendix may be reproduced in a separate volume, or volumes,
suitably indexed. Four copies must be filed with the appendix, and
one copy must be served on counsel for each separately represented
party. If a transcript of a proceeding before an administrative
agency, board, commission, or officer was used in a district-court
action and has been designated for inclusion in the appendix, the
transcript must be placed in the appendix as an exhibit.
(f) Appeal on the Original Record Without an Appendix. The court
may, either by rule for all cases or classes of cases or by order
in a particular case, dispense with the appendix and permit an
appeal to proceed on the original record with any copies of the
record, or relevant parts, that the court may order the parties to
file.

-SOURCE-
(As amended Mar. 30, 1970, eff. July 1, 1970; Mar. 10, 1986, eff.
July 1, 1986; Apr. 30, 1991, eff. Dec. 1, 1991; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). Only two circuits presently require a printed
record (5th Cir. Rule 23(a); 8th Cir. Rule 10 (in civil appeals
only)), and the rules and practice in those circuits combine to
make the difference between a printed record and the appendix,
which is now used in eight circuits and in the Supreme Court in
lieu of the printed record, largely nominal. The essential
characteristics of the appendix method are: (1) the entire record
may not be reproduced; (2) instead, the parties are to set out in
an appendix to the briefs those parts of the record which in their
judgment the judges must consult in order to determine the issues
presented by the appeal; (3) the appendix is not the record but
merely a selection therefrom for the convenience of the judges of
the court of appeals; the record is the actual trial court record,
and the record itself is always available to supply inadvertent
omissions from the appendix. These essentials are incorporated,
either by rule or by practice, in the circuits that continue to
require the printed record rather than the appendix. See 5th Cir.
Rule 23(a)(9) and 8th Cir. Rule 10(a)-(d).
Subdivision (b). Under the practice in six of the eight circuits
which now use the appendix method, unless the parties agree to use
a single appendix, the appellant files with his brief an appendix
containing the parts of the record which he deems it essential that
the court read in order to determine the questions presented. If
the appellee deems additional parts of the record necessary he must
include such parts as an appendix to his brief. The proposed rules
differ from that practice. By the new rule a single appendix is to
be filed. It is to be prepared by the appellant, who must include
therein those parts which he deems essential and those which the
appellee designates as essential.
Under the practice by which each party files his own appendix the
resulting reproduction of essential parts of the record is often
fragmentary; it is not infrequently necessary to piece several
appendices together to arrive at a usable reproduction. Too, there
seems to be a tendency on the part of some appellants to reproduce
less than what is necessary for a determination of the issues
presented (see Moran Towing Corp. v. M. A. Gammino Construction
Co., 363 F.2d 108 (1st Cir. 1966); Walters v. Shari Music
Publishing Corp., 298 F.2d 206 (2d Cir. 1962) and cases cited
therein; Morrison v. Texas Co., 289 F.2d 382 (7th Cir. 1961) and
cases cited therein), a tendency which is doubtless encouraged by
the requirement in present rules that the appellee reproduce in his
separately prepared appendix such necessary parts of the record as
are not included by the appellant.
Under the proposed rule responsibility for the preparation of the
appendix is placed on the appellant. If the appellee feels that the
appellant has omitted essential portions of the record, he may
require the appellant to include such portions in the appendix. The
appellant is protected against a demand that he reproduce parts
which he considers unnecessary by the provisions entitling him to
require the appellee to advance the costs of reproducing such parts
and authorizing denial of costs for matter unnecessarily
reproduced.
Subdivision (c). This subdivision permits the appellant to elect
to defer the production of the appendix to the briefs until the
briefs of both sides are written, and authorizes a court of appeals
to require such deferred filing by rule or order. The advantage of
this method of preparing the appendix is that it permits the
parties to determine what parts of the record need to be reproduced
in the light of the issues actually presented by the briefs. Often
neither side is in a position to say precisely what is needed until
the briefs are completed. Once the argument on both sides is known,
it should be possible to confine the matter reproduced in the
appendix to that which is essential to a determination of the
appeal or review. This method of preparing the appendix is
presently in use in the Tenth Circuit (Rule 17) and in other
circuits in review of agency proceedings, and it has proven its
value in reducing the volume required to be reproduced. When the
record is long, use of this method is likely to result in
substantial economy to the parties.
Subdivision (e). The purpose of this subdivision is to reduce the
cost of reproducing exhibits. While subdivision (a) requires that
10 copies of the appendix be filed, unless the court requires a
lesser number, subdivision (e) permits exhibits necessary for the
determination of an appeal to be bound separately, and requires
only 4 copies of such a separate volume or volumes to be filed and
a single copy to be served on counsel.
Subdivision (f). This subdivision authorizes a court of appeals
to dispense with the appendix method of reproducing parts of the
record and to hear appeals on the original record and such copies
of it as the court may require.
Since 1962 the Ninth Circuit has permitted all appeals to be
heard on the original record and a very limited number of copies.
Under the practice as adopted in 1962, any party to an appeal could
elect to have the appeal heard on the original record and two
copies thereof rather than on the printed record theretofore
required. The resulting substantial saving of printing costs led to
the election of the new practice in virtually all cases, and by
1967 the use of printed records had ceased. By a recent amendment,
the Ninth Circuit has abolished the printed record altogether. Its
rules now provide that all appeals are to be heard on the original
record, and it has reduced the number of copies required to two
sets of copies of the transmitted original papers (excluding copies
of exhibits, which need not be filed unless specifically ordered).
See 9 Cir. Rule 10, as amended June 2, 1967, effective September 1,
1967. The Eighth Circuit permits appeals in criminal cases and in
habeas corpus and 28 U.S.C. Sec. 2255 proceedings to be heard on
the original record and two copies thereof. See 8 Cir. Rule 8 (i)-
(j). The Tenth Circuit permits appeals in all cases to be heard on
the original record and four copies thereof whenever the record
consists of two hundred pages or less. See 10 Cir. Rule 17(a). This
subdivision expressly authorizes the continuation of the practices
in the Eighth, Ninth and Tenth Circuits.
The judges of the Court of Appeals for the Ninth Circuit have
expressed complete satisfaction with the practice there in use and
have suggested that attention be called to the advantages which it
offers in terms of reducing cost.

NOTES OF ADVISORY COMMITTEE ON RULES - 1970 AMENDMENT
Subdivision (a). The amendment of subdivision (a) is related to
the amendment of Rule 31(a), which authorizes a court of appeals to
shorten the time for filing briefs. By virtue of this amendment, if
the time for filing the brief of the appellant is shortened the
time for filing the appendix is likewise shortened.
Subdivision (c). As originally written, subdivision (c) permitted
the appellant to elect to defer filing of the appendix until 21
days after service of the brief of the appellee. As amended,
subdivision (c) requires that an order of court be obtained before
filing of the appendix can be deferred, unless a court permits
deferred filing by local rule. The amendment should not cause use
of the deferred appendix to be viewed with disfavor. In cases
involving lengthy records, permission to defer filing of the
appendix should be freely granted as an inducement to the parties
to include in the appendix only matter that the briefs show to be
necessary for consideration by the judges. But the Committee is
advised that appellants have elected to defer filing of the
appendix in cases involving brief records merely to obtain the 21
day delay. The subdivision is amended to prevent that practice.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
Subdivision (a). During its study of the separate appendix [see
Report on the Advisory Committee on the Federal Appellate Rules on
the Operation of Rule 30, - FRD - (1985)], the Advisory
Committee found that this document was frequently encumbered with
memoranda submitted to the trial court. United States v. Noall, 587
F.2d 123, 125 n. 1 (2nd Cir. 1978). See generally Drewett v. Aetna
Cas. & Sur. Co., 539 F.2d 496, 500 (5th Cir. 1976); Volkswagenwerk
Aktiengesellschaft v. Church, 413 F.2d 1126, 1128 (9th Cir. 1969).
Inclusion of such material makes the appendix more bulky and
therefore less useful to the appellate panel. It also can increase
significantly the costs of litigation.
There are occasions when such trial court memoranda have
independent relevance in the appellate litigation. For instance,
there may be a dispute as to whether a particular point was raised
or whether a concession was made in the district court. In such
circumstances, it is appropriate to include pertinent sections of
such memoranda in the appendix.
Subdivision (b). The amendment to subdivision (b) is designed to
require the circuits, by local rule, to establish a procedural
mechanism for the imposition of sanctions against those attorneys
who conduct appellate litigation in bad faith. Both 28 U.S.C. Sec.
1927 and the inherent power of the court authorized such sanctions.
See Brennan v. Local 357, International Brotherhood of Teamsters,
709 F.2d 611 (9th Cir. 1983). See generally Roadway Express, Inc.
v. Piper, 447 U.S. 752 (1980). While considerations of uniformity
are important and doubtless will be taken into account by the
judges of the respective circuits, the Advisory Committee believes
that, at this time, the circuits need the flexibility to tailor
their approach to the conditions of local practice. The local rule
shall provide for notice and opportunity to respond before the
imposition of any sanction.
Technical amendments also are made to subdivisions (a), (b) and
(c) which are not intended to be substantive changes.

TAXATION OF FEES IN APPEALS IN WHICH THE REQUIREMENT OF AN APPENDIX
IS DISPENSED WITH
The Judicial Conference of the United States at its session on
October 28th and 29th approved the following resolution relating to
fees to be taxed in the courts of appeals as submitted by the
Judicial Council of the Ninth Circuit with the proviso that its
application to any court of appeals shall be at the election of
each such court:
For some time it has been the practice in the Ninth Circuit Court
of Appeals to dispense with an appendix in an appellate record and
to hear the appeal on the original record, with a number of copies
thereof being supplied (Rule 30f, Federal Rules of Appellate
Procedure). It has been the practice of the Court to tax a fee of
$5 in small records and $10 in large records for the time of the
clerk involved in preparing such appeals and by way of
reimbursement for postage expense. Judicial Conference approval
heretofore has not been secured and the Judicial Council of the
Ninth Circuit now seeks to fix a flat fee of $15 to be charged as
fees for costs to be charged by any court of appeals "in any appeal
in which the requirement of an appendix is dispensed with pursuant
to Rule 30f, Federal Rules of Appellate Procedure."

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
Subdivision (b). The amendment requires a cross appellant to
serve the appellant with a statement of the issues that the cross
appellant intends to pursue on appeal. No later than ten days after
the record is filed, the appellant and cross appellant must serve
each other with a statement of the issues each intends to present
for review and with a designation of the parts of the record that
each wants included in the appendix. Within the next ten days, both
the appellee and the cross appellee may designate additional
materials for inclusion in the appendix. The appellant must then
include in the appendix the parts thus designated for both the
appeal and any cross appeals. The Committee expects that
simultaneous compliance with this subdivision by an appellant and a
cross appellant will be feasible in most cases. If a cross
appellant cannot fairly be expected to comply until receipt of the
appellant's statement of issues, relief may be sought by motion in
the court of appeals.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). The only substantive change is to allow a court
to require the filing of a greater number of copies of an appendix
as well as a lesser number.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.
Subdivision (a). Paragraph (a)(3) is amended so that it is
consistent with Rule 31(b). An unrepresented party proceeding in
forma pauperis is only required to file 4 copies of the appendix
rather than 10.
Subdivision (c). When a deferred appendix is used, a brief must
make reference to the original record rather than to the appendix
because it does not exist when the briefs are prepared. Unless a
party later files an amended brief with direct references to the
pages of the appendix (as provided in subparagraph (c)(2)(B)), the
material in the appendix must indicate the pages of the original
record from which it was drawn so that a reader of the brief can
make meaningful use of the appendix. The instructions in the
current rule for cross-referencing the appendix materials to the
original record are unclear. The language in paragraph (c)(2) has
been amended to try to clarify the procedure.
Subdivision (d). In recognition of the fact that use of a typeset
appendix is exceedingly rare in the courts of appeals, the last
sentence - permitting a question and answer (as from a transcript)
to be in a single paragraph - has been omitted.

-End-



-CITE-
28 USC APPENDIX Rule 31 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 31. Serving and Filing Briefs

-STATUTE-
(a) Time to Serve and File a Brief.
(1) The appellant must serve and file a brief within 40 days
after the record is filed. The appellee must serve and file a
brief within 30 days after the appellant's brief is served. The
appellant may serve and file a reply brief within 14 days after
service of the appellee's brief but a reply brief must be filed
at least 3 days before argument, unless the court, for good
cause, allows a later filing.
(2) A court of appeals that routinely considers cases on the
merits promptly after the briefs are filed may shorten the time
to serve and file briefs, either by local rule or by order in a
particular case.

(b) Number of Copies. Twenty-five copies of each brief must be
filed with the clerk and 2 copies must be served on each
unrepresented party and on counsel for each separately represented
party. An unrepresented party proceeding in forma pauperis must
file 4 legible copies with the clerk, and one copy must be served
on each unrepresented party and on counsel for each separately
represented party. The court may by local rule or by order in a
particular case require the filing or service of a different
number.
(c) Consequence of Failure to File. If an appellant fails to file
a brief within the time provided by this rule, or within an
extended time, an appellee may move to dismiss the appeal. An
appellee who fails to file a brief will not be heard at oral
argument unless the court grants permission.

-SOURCE-
(As amended Mar. 30, 1970, eff. July 1, 1970; Mar. 10, 1986, eff.
July 1, 1986; Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
A majority of the circuits now require the brief of the appellant
to be filed within 30 days from the date on which the record is
filed. But in those circuits an exchange of designations is
unnecessary in the preparation of the appendix. The appellant files
with his brief an appendix containing the parts of the record which
he deems essential. If the appellee considers other parts
essential, he includes those parts in his own appendix. Since the
proposed rule requires the appellant to file with his brief an
appendix containing necessary parts of the record as designated by
both parties, the rule allows the appellant 40 days in order to
provide time for the exchange of designations respecting the
content of the appendix (see Rule 30(b)).

NOTES OF ADVISORY COMMITTEE ON RULES - 1970 AMENDMENT
The time prescribed by Rule 31(a) for preparing briefs - 40 days
to the appellant, 30 days to the appellee - is well within the time
that must ordinarily elapse in most circuits before an appeal can
be reached for consideration. In those circuits, the time
prescribed by the Rule should not be disturbed. But if a court of
appeals maintains a current calendar, that is, if an appeal can be
heard as soon as the briefs have been filed, or if the practice of
the court permits the submission of appeals for preliminary
consideration as soon as the briefs have been filed, the court
should be free to prescribe shorter periods in the interest of
expediting decision.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 31(a) and (c) are technical. No
substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (b). The amendment allows a court of appeals to
require the filing of a greater, as well as a lesser, number of
copies of briefs. The amendment also allows the required number to
be prescribed by local rule as well as by order in a particular
case.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only; a
substantive change is made, however, in subdivision (b).
Subdivision (a). Paragraph (a)(2) explicitly authorizes a court
of appeals to shorten a briefing schedule if the court routinely
considers cases on the merits promptly after the briefs are filed.
Extensions of the briefing schedule, by order, are permitted under
the general provisions of Rule 26(b).
Subdivision (b). The current rule says that a party who is
permitted to file "typewritten ribbon and carbon copies of the
brief" need only file an original and three copies of the brief.
The quoted language, in conjunction with current rule 24(c), means
that a party allowed to proceed in forma pauperis need not file 25
copies of the brief. Two changes are made in this subdivision.
First, it is anachronistic to refer to a party who is allowed to
file a typewritten brief as if that would distinguish the party
from all other parties; any party is permitted to file a
typewritten brief. The amended rule states directly that it applies
to a party permitted to proceed in forma pauperis. Second, the
amended rule does not generally permit parties who are represented
by counsel to file the lesser number of briefs. Inexpensive methods
of copying are generally available. Unless it would impose
hardship, in which case a motion to file a lesser number should be
filed, a represented party must file the usual number of briefs.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (b). In requiring that two copies of each brief "must
be served on counsel for each separately represented party," Rule
31(b) may be read to imply that copies of briefs need not be served
on unrepresented parties. The Rule has been amended to clarify that
briefs must be served on all parties, including those who are not
represented by counsel.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 32 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 32. Form of Briefs, Appendices, and Other Papers

-STATUTE-
(a) Form of a Brief.
(1) Reproduction.
(A) A brief may be reproduced by any process that yields a
clear black image on light paper. The paper must be opaque and
unglazed. Only one side of the paper may be used.
(B) Text must be reproduced with a clarity that equals or
exceeds the output of a laser printer.
(C) Photographs, illustrations, and tables may be reproduced
by any method that results in a good copy of the original; a
glossy finish is acceptable if the original is glossy.

(2) Cover. Except for filings by unrepresented parties, the
cover of the appellant's brief must be blue; the appellee's, red;
an intervenor's or amicus curiae's, green; any reply brief, gray;
and any supplemental brief, tan. The front cover of a brief must
contain:
(A) the number of the case centered at the top;
(B) the name of the court;
(C) the title of the case (see Rule 12(a));
(D) the nature of the proceeding (e.g., Appeal, Petition for
Review) and the name of the court, agency, or board below;
(E) the title of the brief, identifying the party or parties
for whom the brief is filed; and
(F) the name, office address, and telephone number of counsel
representing the party for whom the brief is filed.

(3) Binding. The brief must be bound in any manner that is
secure, does not obscure the text, and permits the brief to lie
reasonably flat when open.
(4) Paper Size, Line Spacing, and Margins. The brief must be on
8 1/2 by 11 inch paper. The text must be double-spaced, but
quotations more than two lines long may be indented and single-
spaced. Headings and footnotes may be single-spaced. Margins
must be at least one inch on all four sides. Page numbers may be
placed in the margins, but no text may appear there.
(5) Typeface. Either a proportionally spaced or a monospaced
face may be used.
(A) A proportionally spaced face must include serifs, but
sans-serif type may be used in headings and captions. A
proportionally spaced face must be 14-point or larger.
(B) A monospaced face may not contain more than 10 1/2
characters per inch.

(6) Type Styles. A brief must be set in a plain, roman style,
although italics or boldface may be used for emphasis. Case names
must be italicized or underlined.
(7) Length.
(A) Page Limitation. A principal brief may not exceed 30
pages, or a reply brief 15 pages, unless it complies with Rule
32(a)(7)(B) and (C).
(B) Type-Volume Limitation.
(i) A principal brief is acceptable if:
-- it contains no more than 14,000 words; or
-- it uses a monospaced face and contains no more than
1,300 lines of text.

(ii) A reply brief is acceptable if it contains no more
than half of the type volume specified in Rule
32(a)(7)(B)(i).
(iii) Headings, footnotes, and quotations count toward the
word and line limitations. The corporate disclosure
statement, table of contents, table of citations, statement
with respect to oral argument, any addendum containing
statutes, rules or regulations, and any certificates of
counsel do not count toward the limitation.

(C) Certificate of Compliance.
(i) A brief submitted under Rules 28.1(e)(2) or 32(a)(7)(B)
must include a certificate by the attorney, or an
unrepresented party, that the brief complies with the type-
volume limitation. The person preparing the certificate may
rely on the word or line count of the word-processing system
used to prepare the brief. The certificate must state either:
-- the number of words in the brief; or
-- the number of lines of monospaced type in the brief.

(ii) Form 6 in the Appendix of Forms is a suggested form of
a certificate of compliance. Use of Form 6 must be regarded
as sufficient to meet the requirements of Rules 28.1(e)(3)
and 32(a)(7)(C)(i).

(b) Form of an Appendix. An appendix must comply with Rule
32(a)(1), (2), (3), and (4), with the following exceptions:
(1) The cover of a separately bound appendix must be white.
(2) An appendix may include a legible photocopy of any document
found in the record or of a printed judicial or agency decision.
(3) When necessary to facilitate inclusion of odd-sized
documents such as technical drawings, an appendix may be a size
other than 8 1/2 by 11 inches, and need not lie reasonably flat
when opened.

(c) Form of Other Papers.
(1) Motion. The form of a motion is governed by Rule 27(d).
(2) Other Papers. Any other paper, including a petition for
panel rehearing and a petition for hearing or rehearing en banc,
and any response to such a petition, must be reproduced in the
manner prescribed by Rule 32(a), with the following exceptions:
(A) A cover is not necessary if the caption and signature
page of the paper together contain the information required by
Rule 32(a)(2). If a cover is used, it must be white.
(B) Rule 32(a)(7) does not apply.

(d) Signature. Every brief, motion, or other paper filed with the
court must be signed by the party filing the paper or, if the party
is represented, by one of the party's attorneys.
(e) Local Variation. Every court of appeals must accept documents
that comply with the form requirements of this rule. By local rule
or order in a particular case a court of appeals may accept
documents that do not meet all of the form requirements of this
rule.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002; Apr. 25, 2005, eff. Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Only two methods of printing are now generally recognized by the
circuits - standard typographic printing and the offset duplicating
process (multilith). A third, mimeographing, is permitted in the
Fifth Circuit. The District of Columbia, Ninth, and Tenth Circuits
permit records to be reproduced by copying processes. The Committee
feels that recent and impending advances in the arts of duplicating
and copying warrant experimentation with less costly forms of
reproduction than those now generally authorized. The proposed rule
permits, in effect, the use of any process other than the carbon
copy process which produces a clean, readable page. What
constitutes such is left in first instance to the parties and
ultimately to the court to determine. The final sentence of the
first paragraph of subdivision (a) is added to allow the use of
multilith, mimeograph, or other forms of copies of the reporter's
original transcript whenever such are available.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
In addition to amending Rule 32 to conform to uniform drafting
standards, several substantive amendments are made. The Advisory
Committee had been working on substantive amendments to Rule 32 for
some time prior to completion of this larger project.
Subdivison (a). Form of a Brief.
Paragraph (a)(1). Reproduction.
The rule permits the use of "light" paper, not just "white"
paper. Cream and buff colored paper, including recycled paper, are
acceptable. The rule permits printing on only one side of the
paper. Although some argue that paper could be saved by allowing
double-sided printing, others argue that in order to preserve
legibility a heavier weight paper would be needed, resulting in
little, if any, paper saving. In addition, the blank sides of a
brief are commonly used by judges and their clerks for making notes
about the case.
Because photocopying is inexpensive and widely available and
because use of carbon paper is now very rare, all references to the
use of carbon copies have been deleted.
The rule requires that the text be reproduced with a clarity that
equals or exceeds the output of a laser printer. That means that
the method used must have a print resolution of 300 dots per inch
(dpi) or more. This will ensure the legibility of the brief. A
brief produced by a typewriter or a daisy wheel printer, as well as
one produced by a laser printer, has a print resolution of 300 dpi
or more. But a brief produced by a dot-matrix printer, fax machine,
or portable printer that uses heat or dye transfer methods does
not. Some ink jet printers are 300 dpi or more, but some are 216
dpi and would not be sufficient.
Photographs, illustrations, and tables may be reproduced by any
method that results in a good copy.
Paragraph (a)(2). Cover.
The rule requires that the number of the case be centered at the
top of the front cover of a brief. This will aid in identification
of the brief. The idea was drawn from a local rule. The rule also
requires that the title of the brief identify the party or parties
on whose behalf the brief is filed. When there are multiple
appellants or appellees, the information is necessary to the court.
If, however, the brief is filed on behalf of all appellants or
appellees, it may so indicate. Further, it may be possible to
identify the class of parties on whose behalf the brief is filed.
Otherwise, it may be necessary to name each party. The rule also
requires that attorney's telephone numbers appear on the front
cover of a brief or appendix.
Paragraph (a)(3). Binding.
The rule requires a brief to be bound in any manner that is
secure, does not obscure the text, and that permits the brief to
lie reasonably flat when open. Many judges and most court employees
do much of their work at computer keyboards and a brief that lies
flat when open is significantly more convenient. One circuit
already has such a requirement and another states a preference for
it. While a spiral binding would comply with this requirement, it
is not intended to be the exclusive method of binding. Stapling a
brief at the upper left-hand corner also satisfies this requirement
as long as it is sufficiently secure.
Paragraph (a)(4). Paper Size, Line Spacing, and Margins.
The provisions for pamphlet-size briefs are deleted because their
use is so rare. If a circuit wishes to authorize their use, it has
authority to do so under subdivision (d) of this rule.
Paragraph (a)(5). Typeface.
This paragraph and the next one, governing type style, are new.
The existing rule simply states that a brief produced by the
standard typographic process must be printed in at least 11 point
type, or if produced in any other manner, the lines of text must be
double spaced. Today few briefs are produced by commercial printers
or by typewriters; most are produced on and printed by computer.
The availability of computer fonts in a variety of sizes and styles
has given rise to local rules limiting type styles. The Advisory
Committee believes that some standards are needed both to ensure
that all litigants have an equal opportunity to present their
material and to ensure that the briefs are easily legible.
With regard to typeface there are two options: proportionally-
spaced typeface or monospaced typeface.
A proportionally-spaced typeface gives a different amount of
horizontal space to characters depending upon the width of the
character. A capital "M" is given more horizontal space than a
lower case "i." The rule requires that a proportionally-spaced
typeface have serifs. Serifs are small horizontal or vertical
strokes at the ends of the lines that make up the letters and
numbers. Studies have shown that long passages of serif type are
easier to read and comprehend than long passages of sans-serif
type. The rule accordingly limits the principal sections of
submissions to serif type, although sans-serif type may be used in
headings and captions. This is the same approach magazines,
newspapers, and commercial printers take. Look at a professionally
printed brief; you will find sans-serif type confined to captions,
if it is used at all. The next line shows two characters enlarged
for detail. The first has serifs, the second does not.

Y ----- Y
So that the type is easily legible, the rule requires a minimum
type size of 14 points for proportionally-spaced typeface.
A monospaced typeface is one in which all characters have the
same advance width. That means that each character is given the
same horizontal space on the line. A wide letter such as a capital
"M" and a narrow letter such as a lower case "i" are given the same
space. Most typewriters produce mono-spaced type, and most
computers also can do so using fonts with names such as "Courier."

This sentence is in a proportionally spaced font; as you can see,
the m and i have different widths.

This sentence is in a monospaced font; as you can see, the m and
i have the same width.

The rule requires use of a monospaced typeface that produces no
more than 10 1/2 characters per inch. A standard typewriter with
pica type produces a monospaced typeface with 10 characters per
inch (cpi). That is the ideal monospaced typeface. The rule permits
up to 10 1/2 cpi because some computer software programs contain
monospaced fonts that purport to produce 10 cpi but that in fact
produce slightly more than 10 cpi. In order to avoid the need to
reprint a brief produced in good faith reliance upon such a
program, the rule permits a bit of leeway. A monospace typeface
with no more than 10 cpi is preferred.
Paragraph (a)(6). Type Styles.
The rule requires use of plain roman, that is not italic or
script, type. Italics and boldface may be used for emphasis.
Italicizing case names is preferred but underlining may be used.
Paragraph (a)(7). Type-Volume Limitation.
Subparagraph (a)(7)(A) contains a safe-harbor provision. A
principal brief that does not exceed 30 pages complies with the
type-volume limitation without further question or certification. A
reply brief that does not exceed 15 pages is similarly treated. The
current limit is 50 pages but that limit was established when most
briefs were produced on typewriters. The widespread use of personal
computers has made a multitude of printing options available to
practitioners. Use of a proportional typeface alone can greatly
increase the amount of material per page as compared with use of a
monospace typeface. Even though the rule requires use of 14-point
proportional type, there is great variation in the x-height of
different 14-point typefaces. Selection of a typeface with a small
x-height increases the amount of text per page. Computers also make
possible fine gradations in spacing between lines and tight
tracking between letters and words. All of this, and more, have
made the 50-page limit virtually meaningless. Establishing a safe-
harbor of 50 pages would permit a person who makes use of the
multitude of printing "tricks" available with most personal
computers to file a brief far longer than the "old" 50-page brief.
Therefore, as to those briefs not subject to any other volume
control than a page limit, a 30-page limit is imposed.
The limits in subparagraph (B) approximate the current 50-page
limit and compliance with them is easy even for a person without a
personal computer. The aim of these provisions is to create a level
playing field. The rule gives every party an equal opportunity to
make arguments, without permitting those with the best in-house
typesetting an opportunity to expand their submissions.
The length can be determined either by counting words or lines.
That is, the length of a brief is determined not by the number of
pages but by the number of words or lines in the brief. This gives
every party the same opportunity to present an argument without
regard to the typeface used and eliminates any incentive to use
footnotes or typographical "tricks" to squeeze more material onto a
page.
The word counting method can be used with any typeface.
A monospaced brief can meet the volume limitation by using the
word or a line count. If the line counting method is used, the
number of lines may not exceed 1,300 - 26 lines per page in a 50-
page brief. The number of lines is easily counted manually. Line
counting is not sufficient if a proportionally spaced typeface is
used, because the amount of material per line can vary widely.
A brief using the type-volume limitations in subparagraph (B)
must include a certificate by the attorney, or party proceeding pro
se, that the brief complies with the limitation. The rule permits
the person preparing the certification to rely upon the word or
line count of the word-processing system used to prepare the brief.
Currently, Rule 28(g) governs the length of a brief. Rule 28(g)
begins with the words "[e]xcept by permission of the court,"
signaling that a party may file a motion to exceed the limits
established in the rule. The absence of similar language in Rule 32
does not mean that the Advisory Committee intends to prohibit
motions to deviate from the requirements of the rule. The Advisory
Committee does not believe that any such language is needed to
authorize such a motion.
Subdivision (b). Form of an Appendix.
The provisions governing the form of a brief generally apply to
an appendix. The rule recognizes, however, that an appendix is
usually produced by photocopying existing documents. The rule
requires that the photocopies be legible.
The rule permits inclusion not only of documents from the record
but also copies of a printed judicial or agency decision. If a
decision that is part of the record in the case has been published,
it is helpful to provide a copy of the published decision in place
of a copy of the decision from the record.
Subdivision (c). Form of Other Papers.
The old rule required a petition for rehearing to be produced in
the same manner as a brief or appendix. The new rule also requires
that a petition for rehearing en banc and a response to either a
petition for panel rehearing or a petition for rehearing en banc be
prepared in the same manner. But the length limitations of
paragraph (a)(7) do not apply to those documents and a cover is not
required if all the information needed by the court to properly
identify the document and the parties is included in the caption or
signature page.
Existing subdivision (b) states that other papers may be produced
in like manner, or "they may be typewritten upon opaque, unglazed
paper 8 1/2 by 11 inches in size." The quoted language is deleted
but that method of preparing documents is not eliminated because
(a)(5)(B) permits use of standard pica type. The only change is
that the new rule now specifies margins for typewritten documents.
Subdivision (d). Local Variation.
A brief that complies with the national rule should be acceptable
in every court. Local rules may move in one direction only; they
may authorize noncompliance with certain of the national norms. For
example, a court that wishes to do so may authorize printing of
briefs on both sides of the paper, or the use of smaller type size
or sans-serif proportional type. A local rule may not, however,
impose requirements that are not in the national rule.


COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (a)(2). On occasion, a court may permit or order the
parties to file supplemental briefs addressing an issue that was
not addressed - or adequately addressed - in the principal briefs.
Rule 32(a)(2) has been amended to require that tan covers be used
on such supplemental briefs. The amendment is intended to promote
uniformity in federal appellate practice. At present, the local
rules of the circuit courts conflict. See, e.g., D.C. Cir. R. 28(g)
(requiring yellow covers on supplemental briefs); 11th Cir. R. 32,
I.O.P. 1 (requiring white covers on supplemental briefs).
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
Subdivision (a)(7)(C). If the principal brief of a party exceeds
30 pages, or if the reply brief of a party exceeds 15 pages, Rule
32(a)(7)(C) provides that the party or the party's attorney must
certify that the brief complies with the type-volume limitation of
Rule 32(a)(7)(B). Rule 32(a)(7)(C) has been amended to refer to
Form 6 (which has been added to the Appendix of Forms) and to
provide that a party or attorney who uses Form 6 has complied with
Rule 32(a)(7)(C). No court may provide to the contrary, in its
local rules or otherwise.
Form 6 requests not only the information mandated by Rule
32(a)(7)(C), but also information that will assist courts in
enforcing the typeface requirements of Rule 32(a)(5) and the type
style requirements of Rule 32(a)(6). Parties and attorneys are not
required to use Form 6, but they are encouraged to do so.
Subdivision (c)(2)(A). Under Rule 32(c)(2)(A), a cover is not
required on a petition for panel rehearing, petition for hearing or
rehearing en banc, answer to a petition for panel rehearing,
response to a petition for hearing or rehearing en banc, or any
other paper. Rule 32(d) makes it clear that no court can require
that a cover be used on any of these papers. However, nothing
prohibits a court from providing in its local rules that if a cover
on one of these papers is "voluntarily" used, it must be a
particular color. Several circuits have adopted such local rules.
See, e.g., Fed. Cir. R. 35(c) (requiring yellow covers on petitions
for hearing or rehearing en banc and brown covers on responses to
such petitions); Fed. Cir. R. 40(a) (requiring yellow covers on
petitions for panel rehearing and brown covers on answers to such
petitions); 7th Cir. R. 28 (requiring blue covers on petitions for
rehearing filed by appellants or answers to such petitions, and
requiring red covers on petitions for rehearing filed by appellees
or answers to such petitions); 9th Cir. R. 40-1 (requiring blue
covers on petitions for panel rehearing filed by appellants and red
covers on answers to such petitions, and requiring red covers on
petitions for panel rehearing filed by appellees and blue covers on
answers to such petitions); 11th Cir. R. 35-6 (requiring white
covers on petitions for hearing or rehearing en banc).
These conflicting local rules create a hardship for counsel who
practice in more than one circuit. For that reason, Rule
32(c)(2)(A) has been amended to provide that if a party chooses to
use a cover on a paper that is not required to have one, that cover
must be white. The amendment is intended to preempt all local
rulemaking on the subject of cover colors and thereby promote
uniformity in federal appellate practice.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
Subdivisions (d) and (e). Former subdivision (d) has been
redesignated as subdivision (e), and a new subdivision (d) has been
added. The new subdivision (d) requires that every brief, motion,
or other paper filed with the court be signed by the attorney or
unrepresented party who files it, much as Fed. R. Civ. P. 11(a)
imposes a signature requirement on papers filed in district court.
Only the original copy of every paper must be signed. An appendix
filed with the court does not have to be signed at all.
By requiring a signature, subdivision (d) ensures that a readily
identifiable attorney or party takes responsibility for every
paper. The courts of appeals already have authority to sanction
attorneys and parties who file papers that contain misleading or
frivolous assertions, see, e.g., 28 U.S.C. Sec. 1912, Fed. R. App.
P. 38 & 46(b)(1)(B), and thus subdivision (d) has not been amended
to incorporate provisions similar to those found in Fed. R. Civ. P.
11(b) and 11(c).
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment. A line was added to the
Committee Note to clarify that only the original copy of a paper
needs to be signed.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (a)(7)(C). Rule 32(a)(7)(C) has been amended to add
cross-references to new Rule 28.1, which governs briefs filed in
cases involving cross-appeals. Rule 28.1(e)(2) prescribes type-
volume limitations that apply to such briefs, and Rule 28.1(e)(3)
requires parties to certify compliance with those type-volume
limitations under Rule 32(a)(7)(C).

-End-



-CITE-
28 USC APPENDIX Rule 32.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 32.1. Citing Judicial Dispositions

-STATUTE-
(a) Citation Permitted. A court may not prohibit or restrict the
citation of federal judicial opinions, orders, judgments, or other
written dispositions that have been:
(i) designated as "unpublished," "not for publication," "non-
precedential," "not precedent," or the like; and
(ii) issued on or after January 1, 2007.

(b) Copies Required. If a party cites a federal judicial opinion,
order, judgment, or other written disposition that is not available
in a publicly accessible electronic database, the party must file
and serve a copy of that opinion, order, judgment, or disposition
with the brief or other paper in which it is cited.

-SOURCE-
(As added Apr. 12, 2006, eff. Dec. 1, 2006.)


-MISC1-
COMMITTEE NOTES ON RULES - 2006
Rule 32.1 is a new rule addressing the citation of judicial
opinions, orders, judgments, or other written dispositions that
have been designated by a federal court as "unpublished," "not for
publication," "non-precedential," "not precedent," or the like.
This Committee Note will refer to these dispositions collectively
as"unpublished" opinions.
Rule 32.1 is extremely limited. It does not require any court to
issue an unpublished opinion or forbid any court from doing so. It
does not dictate the circumstances under which a court may choose
to designate an opinion as "unpublished" or specify the procedure
that a court must follow in making that determination. It says
nothing about what effect a court must give to one of its
unpublished opinions or to the unpublished opinions of another
court. Rule 32.1 addresses only the citation of federal judicial
dispositions that have been designated as "unpublished" or "non-
precedential" - whether or not those dispositions have been
published in some way or are precedential in some sense.
Subdivision (a). Every court of appeals has allowed unpublished
opinions to be cited in some circumstances, such as to support a
contention of issue preclusion or claim preclusion. But the
circuits have differed dramatically with respect to the
restrictions that they have placed on the citation of unpublished
opinions for their persuasive value. Some circuits have freely
permitted such citation, others have discouraged it but permitted
it in limited circumstances, and still others have forbidden it
altogether.
Rule 32.1(a) is intended to replace these inconsistent standards
with one uniform rule. Under Rule 32.1(a), a court of appeals may
not prohibit a party from citing an unpublished opinion of a
federal court for its persuasive value or for any other reason. In
addition, under Rule 32.1(a), a court may not place any restriction
on the citation of such opinions. For example, a court may not
instruct parties that the citation of unpublished opinions is
discouraged, nor may a court forbid parties to cite unpublished
opinions when a published opinion addresses the same issue.
Rule 32.1(a) applies only to unpublished opinions issued on or
after January 1, 2007. The citation of unpublished opinions issued
before January 1, 2007, will continue to be governed by the local
rules of the circuits.
Subdivision (b). Under Rule 32.1(b), a party who cites an opinion
of a federal court must provide a copy of that opinion to the court
of appeals and to the other parties, unless that opinion is
available in a publicly accessible electronic database - such as a
commercial database maintained by a legal research service or a
database maintained by a court. A party who is required under
Rule32.1(b) to provide a copy of an opinion must file and serve the
copy with the brief or other paper in which the opinion is cited.
Rule 32.1(b) applies to all unpublished opinions, regardless of
when they were issued.
Changes Made After Publication and Comment. (At its June 15-16,
2005, meeting, the Standing Rules Committee with the advisory
committee chair's concurrence agreed to delete sections of the
Committee Note, which provided background information on the
justification of the proposal.) The changes made by the Advisory
Committee after publication are described in my May 14, 2004 report
to the Standing Committee. At its April 2005 meeting, the Advisory
Committee directed that two additional changes be made.
First, the Committee decided to add "federal" before "judicial
opinions" in subdivision (a) and before "judicial opinion" in
subdivision (b) to make clear that Rule 32.1 applies only to the
unpublished opinions of federal courts. Conforming changes were
made to the Committee Note. These changes address the concern of
some state court judges - conveyed by Chief Justice Wells at the
June 2004 Standing Committee meeting - that Rule 32.1 might have an
impact on state law.
Second, the Committee decided to insert into the Committee Note
references to the studies conducted by the Federal Judicial Center
("FJC") and the Administrative Office ("AO"). (The studies are
described below. [Omitted]) These references make clear that the
arguments of Rule 32.1's opponents were taken seriously and studied
carefully, but ultimately rejected because they were unsupported by
or, in some instances, actually refuted by the best available
empirical evidence.

-End-



-CITE-
28 USC APPENDIX Rule 33 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 33. Appeal Conferences

-STATUTE-
The court may direct the attorneys - and, when appropriate, the
parties - to participate in one or more conferences to address any
matter that may aid in disposing of the proceedings, including
simplifying the issues and discussing settlement. A judge or other
person designated by the court may preside over the conference,
which may be conducted in person or by telephone. Before a
settlement conference, the attorneys must consult with their
clients and obtain as much authority as feasible to settle the
case. The court may, as a result of the conference, enter an order
controlling the course of the proceedings or implementing any
settlement agreement.

-SOURCE-
(As amended Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The uniform rule for review or enforcement of orders of
administrative agencies, boards, commissions or officers (see the
general note following Rule 15) authorizes a prehearing conference
in agency review proceedings. The same considerations which make a
prehearing conference desirable in such proceedings may be present
in certain cases on appeal from the district courts. The proposed
rule is based upon subdivision 11 of the present uniform rule for
review of agency orders.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Rule 33 has been entirely rewritten. The new rule makes several
changes.
The caption of the rule has been changed from "Prehearing
Conference" to "Appeal Conferences" to reflect the fact that
occasionally a conference is held after oral argument.
The rule permits the court to require the parties to attend the
conference in appropriate cases. The Committee does not contemplate
that attendance of the parties will become routine, but in certain
instances the parties' presence can be useful. The language of the
rule is broad enough to allow a court to determine that an
executive or employee (other than the general counsel) of a
corporation or government agency with authority regarding the
matter at issue, constitutes "the party."
The rule includes the possibility of settlement among the
possible conference topics.
The rule recognizes that conferences are often held by telephone.
The rule allows a judge or other person designated by the court
to preside over a conference. A number of local rules permit
persons other than judges to preside over conferences. 1st Cir. R.
47.5; 6th Cir. R. 18; 8th Cir. R. 33A; 9th Cir. R. 33-1; and 10th
Cir. R. 33.
The rule requires an attorney to consult with his or her client
before a settlement conference and obtain as much authority as
feasible to settle the case. An attorney can never settle a case
without his or her client's consent. Certain entities, especially
government entities, have particular difficulty obtaining authority
to settle a case. The rule requires counsel to obtain only as much
authority "as feasible."

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 34 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 34. Oral Argument

-STATUTE-
(a) In General.
(1) Party's Statement. Any party may file, or a court may
require by local rule, a statement explaining why oral argument
should, or need not, be permitted.
(2) Standards. Oral argument must be allowed in every case
unless a panel of three judges who have examined the briefs and
record unanimously agrees that oral argument is unnecessary for
any of the following reasons:
(A) the appeal is frivolous;
(B) the dispositive issue or issues have been authoritatively
decided; or
(C) the facts and legal arguments are adequately presented in
the briefs and record, and the decisional process would not be
significantly aided by oral argument.

(b) Notice of Argument; Postponement. The clerk must advise all
parties whether oral argument will be scheduled, and, if so, the
date, time, and place for it, and the time allowed for each side. A
motion to postpone the argument or to allow longer argument must be
filed reasonably in advance of the hearing date.
(c) Order and Contents of Argument. The appellant opens and
concludes the argument. Counsel must not read at length from
briefs, records, or authorities.
(d) Cross-Appeals and Separate Appeals. If there is a cross-
appeal, Rule 28.1(b) determines which party is the appellant and
which is the appellee for purposes of oral argument. Unless the
court directs otherwise, a cross-appeal or separate appeal must be
argued when the initial appeal is argued. Separate parties should
avoid duplicative argument.
(e) Nonappearance of a Party. If the appellee fails to appear for
argument, the court must hear appellant's argument. If the
appellant fails to appear for argument, the court may hear the
appellee's argument. If neither party appears, the case will be
decided on the briefs, unless the court orders otherwise.
(f) Submission on Briefs. The parties may agree to submit a case
for decision on the briefs, but the court may direct that the case
be argued.
(g) Use of Physical Exhibits at Argument; Removal. Counsel
intending to use physical exhibits other than documents at the
argument must arrange to place them in the courtroom on the day of
the argument before the court convenes. After the argument, counsel
must remove the exhibits from the courtroom, unless the court
directs otherwise. The clerk may destroy or dispose of the exhibits
if counsel does not reclaim them within a reasonable time after the
clerk gives notice to remove them.

-SOURCE-
(As amended Apr. 1, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 30, 1991, eff. Dec. 1, 1991; Apr. 22, 1993, eff.
Dec. 1, 1993; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 25, 2005, eff.
Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
A majority of circuits now limit oral argument to thirty minutes
for each side, with the provision that additional time may be made
available upon request. The Committee is of the view that thirty
minutes to each side is sufficient in most cases, but that where
additional time is necessary it should be freely granted on a
proper showing of cause therefor. It further feels that the matter
of time should be left ultimately to each court of appeals, subject
to the spirit of the rule that a reasonable time should be allowed
for argument. The term "side" is used to indicate that the time
allowed by the rule is afforded to opposing interests rather than
to individual parties. Thus if multiple appellants or appellees
have a common interest, they constitute only a single side. If
counsel for multiple parties who constitute a single side feel that
additional time is necessary, they may request it. In other
particulars this rule follows the usual practice among the
circuits. See 3d Cir. Rule 31; 6th Cir. Rule 20; 10th Cir. Rule 23.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
The proposed amendment, patterned after the recommendations in
the Report of the Commission on Revision of the Federal Court
Appellate System, Structure and Internal Procedures:
Recommendations for Change, 1975, created by Public Law 489 of the
92nd Cong. 2nd Sess., 86 Stat. 807, sets forth general principles
and minimum standards to be observed in formulating any local rule.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 34(a) and (e) are technical. No
substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
Subdivision (d). The amendment of subdivision (d) conforms this
rule with the amendment of Rule 28(h).

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Subdivision (c). The amendment deletes the requirement that the
opening argument must include a fair statement of the case. The
Committee proposed the change because in some circuits the court
does not want appellants to give such statements. In those
circuits, the rule is not followed and is misleading. Nevertheless,
the Committee does not want the deletion of the requirement to
indicate disapproval of the practice. Those circuits that desire a
statement of the case may continue the practice.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only. Substantive
changes are made in subdivision (a).
Subdivision (a). Currently subdivision (a) says that oral
argument must be permitted unless, applying a local rule, a panel
of three judges unanimously agrees that oral argument is not
necessary. Rule 34 then outlines the criteria to be used to
determine whether oral argument is needed and requires any local
rule to "conform substantially" to the "minimum standard[s]"
established in the national rule. The amendments omit the local
rule requirement and make the criteria applicable by force of the
national rule. The local rule is an unnecessary instrument.
Paragraph (a)(2) states that one reason for deciding that oral
argument is unnecessary is that the dispositive issue has been
authoritatively decided. The amended language no longer states that
the issue must have been "recently" decided. The Advisory Committee
does not intend any substantive change, but thinks that the use of
"recently" may be misleading.
Subdivision (d). A cross-reference to Rule 28(h) has been
substituted for a reiteration of the provisions of Rule 28(h).

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (d). A cross-reference in subdivision (d) has been
changed to reflect the fact that, as part of an effort to collect
within one rule all provisions regarding briefing in cases
involving cross-appeals, former Rule 28(h) has been abrogated and
its contents moved to new Rule 28.1(b).

-End-



-CITE-
28 USC APPENDIX Rule 35 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 35. En Banc Determination

-STATUTE-
(a) When Hearing or Rehearing En Banc May Be Ordered. A majority
of the circuit judges who are in regular active service and who are
not disqualified may order that an appeal or other proceeding be
heard or reheard by the court of appeals en banc. An en banc
hearing or rehearing is not favored and ordinarily will not be
ordered unless:
(1) en banc consideration is necessary to secure or maintain
uniformity of the court's decisions; or
(2) the proceeding involves a question of exceptional
importance.

(b) Petition for Hearing or Rehearing En Banc. A party may
petition for a hearing or rehearing en banc.
(1) The petition must begin with a statement that either:
(A) the panel decision conflicts with a decision of the
United States Supreme Court or of the court to which the
petition is addressed (with citation to the conflicting case or
cases) and consideration by the full court is therefore
necessary to secure and maintain uniformity of the court's
decisions; or
(B) the proceeding involves one or more questions of
exceptional importance, each of which must be concisely stated;
for example, a petition may assert that a proceeding presents a
question of exceptional importance if it involves an issue on
which the panel decision conflicts with the authoritative
decisions of other United States Courts of Appeals that have
addressed the issue.

(2) Except by the court's permission, a petition for an en banc
hearing or rehearing must not exceed 15 pages, excluding material
not counted under Rule 32.
(3) For purposes of the page limit in Rule 35(b)(2), if a party
files both a petition for panel rehearing and a petition for
rehearing en banc, they are considered a single document even if
they are filed separately, unless separate filing is required by
local rule.

(c) Time for Petition for Hearing or Rehearing En Banc. A
petition that an appeal be heard initially en banc must be filed by
the date when the appellee's brief is due. A petition for a
rehearing en banc must be filed within the time prescribed by Rule
40 for filing a petition for rehearing.
(d) Number of Copies. The number of copies to be filed must be
prescribed by local rule and may be altered by order in a
particular case.
(e) Response. No response may be filed to a petition for an en
banc consideration unless the court orders a response.
(f) Call for a Vote. A vote need not be taken to determine
whether the case will be heard or reheard en banc unless a judge
calls for a vote.

-SOURCE-
(As amended Apr. 1, 1979, eff. Aug. 1, 1979; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 25, 2005, eff.
Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Statutory authority for in banc hearings is found in 28 U.S.C.
Sec. 46(c). The proposed rule is responsive to the Supreme Court's
view in Western Pacific Ry. Corp. v. Western Pacific Ry. Co., 345
U.S. 247, 73 S.Ct. 656, 97 L.Ed. 986 (1953), that litigants should
be free to suggest that a particular case is appropriate for
consideration by all the judges of a court of appeals. The rule is
addressed to the procedure whereby a party may suggest the
appropriateness of convening the court in banc. It does not affect
the power of a court of appeals to initiate in banc hearings sua
sponte.
The provision that a vote will not be taken as a result of the
suggestion of the party unless requested by a judge of the court in
regular active service or by a judge who was a member of the panel
that rendered a decision sought to be reheard is intended to make
it clear that a suggestion of a party as such does not require any
action by the court. See Western Pacific Ry. Corp. v. Western
Pacific Ry. Co., supra, 345 U.S. at 262, 73 S.Ct. 656. The rule
merely authorizes a suggestion, imposes a time limit on suggestions
for rehearings in banc, and provides that suggestions will be
directed to the judges of the court in regular active service.
In practice, the suggestion of a party that a case be reheard in
banc is frequently contained in a petition for rehearing, commonly
styled "petition for rehearing in banc." Such a petition is in fact
merely a petition for a rehearing, with a suggestion that the case
be reheard in banc. Since no response to the suggestion, as
distinguished from the petition for rehearing, is required, the
panel which heard the case may quite properly dispose of the
petition without reference to the suggestion. In such a case the
fact that no response has been made to the suggestion does not
affect the finality of the judgment or the issuance of the mandate,
and the final sentence of the rule expressly so provides.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Under the present rule there is no specific provision for a
response to a suggestion that an appeal be heard in banc. This has
led to some uncertainty as to whether such a response may be filed.
The proposed amendment would resolve this uncertainty.
While the present rule provides a time limit for suggestions for
rehearing in banc, it does not deal with the timing of a request
that the appeal be heard in banc initially. The proposed amendment
fills this gap as well, providing that the suggestion must be made
by the date of which the appellee's brief is filed.
Provision is made for circulating the suggestions to members of
the panel despite the fact that senior judges on the panel would
not be entitled to vote on whether a suggestion will be granted.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (d). Subdivision (d) is added; it authorizes the
courts of appeals to prescribe the number of copies of suggestions
for hearing or rehearing in banc that must be filed. Because the
number of copies needed depends directly upon the number of judges
in the circuit, local rules are the best vehicle for setting the
required number of copies.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.
Several substantive changes are made in this rule, however.
One of the purposes of the substantive amendments is to treat a
request for a rehearing en banc like a petition for panel rehearing
so that a request for a rehearing en banc will suspend the finality
of the court of appeals' judgment and delay the running of the
period for filing a petition for writ of certiorari. Companion
amendments are made to Rule 41.
Subdivision (a). The title of this subdivision is changed from
"when hearing or rehearing in banc will be ordered" to "When
Hearing or Rehearing En Banc May Be Ordered." The change emphasizes
the discretion a court has with regard to granting en banc review.
Subdivision (b). The term "petition" for rehearing en banc is
substituted for the term "suggestion" for rehearing en banc. The
terminology change reflects the Committee's intent to treat
similarly a petition for panel rehearing and a request for a
rehearing en banc. The terminology change also delays the running
of the time for filing a petition for a writ of certiorari because
Sup. Ct. R. 13.3 says:
if a petition for rehearing is timely filed in the lower court by
any party, the time to file the petition for a writ of certiorari
for all parties . . . runs from the date of the denial of the
petition for rehearing or, if the petition for rehearing is
granted, the subsequent entry of judgment.
The amendments also require each petition for en banc
consideration to begin with a statement concisely demonstrating
that the case meets the usual criteria for en banc consideration.
It is the Committee's hope that requiring such a statement will
cause the drafter of a petition to focus on the narrow grounds that
support en banc consideration and to realize that a petition should
not be filed unless the case meets those rigid standards.
Intercircuit conflict is cited as one reason for asserting that a
proceeding involves a question of "exceptional importance."
Intercircuit conflicts create problems. When the circuits construe
the same federal law differently, parties' rights and duties depend
upon where a case is litigated. Given the increase in the number of
cases decided by the federal courts and the limitation on the
number of cases the Supreme Court can hear, conflicts between the
circuits may remain unresolved by the Supreme Court for an extended
period of time. The existence of an intercircuit conflict often
generates additional litigation in the other circuits as well as in
the circuits that are already in conflict. Although an en banc
proceeding will not necessarily prevent intercircuit conflicts, an
en banc proceeding provides a safeguard against unnecessary
intercircuit conflicts.
Some circuits have had rules or internal operating procedures
that recognize a conflict with another circuit as a legitimate
basis for granting a rehearing en banc. An intercircuit conflict
may present a question of "exceptional importance" because of the
costs that intercircuit conflicts impose on the system as a whole,
in addition to the significance of the issues involved. It is not,
however, the Committee's intent to make the granting of a hearing
or rehearing en banc mandatory whenever there is an intercircuit
conflict.
The amendment states that "a petition may assert that a
proceeding presents a question of exceptional importance if it
involves an issue on which the panel decision conflicts with the
authoritative decisions of every other United States Court of
Appeals that has addressed the issue." [The Supreme Court revised
the proposed amendment to Rule 35(b)(1)(B) by deleting "every"
before "other United States Court of Appeals".] That language
contemplates two situations in which a rehearing en banc may be
appropriate. The first is when a panel decision creates a conflict.
A panel decision creates a conflict when it conflicts with the
decisions of all other circuits that have considered the issue. If
a panel decision simply joins one side of an already existing
conflict, a rehearing en banc may not be as important because it
cannot avoid the conflict. The second situation that may be a
strong candidate for a rehearing en banc is one in which the
circuit persists in a conflict created by a pre-existing decision
of the same circuit and no other circuits have joined on that side
of the conflict. The amendment states that the conflict must be
with an "authoritative" decision of another circuit.
"Authoritative" is used rather than "published" because in some
circuits unpublished opinions may be treated as authoritative.
Counsel are reminded that their duty is fully discharged without
filing a petition for rehearing en banc unless the case meets the
rigid standards of subdivision (a) of this rule and even then the
granting of a petition is entirely within the court's discretion.
Paragraph (2) of this subdivision establishes a maximum length
for a petition. Fifteen pages is the length currently used in
several circuits. Each request for en banc consideration must be
studied by every active judge of the court and is a serious call on
limited judicial resources. The extraordinary nature of the issue
or the threat to uniformity of the court's decision can be
established in most cases in less than fifteen pages. A court may
shorten the maximum length on a case by case basis but the rule
does not permit a circuit to shorten the length by local rule. The
Committee has retained page limits rather than using word or line
counts similar to those in amended Rule 32 because there has not
been a serious enough problem to justify importing the word and
line-count and typeface requirements that are applicable to briefs
into other contexts.
Paragraph (3), although similar to (2), is separate because it
deals with those instances in which a party files both a petition
for rehearing en banc under this rule and a petition for panel
rehearing under Rule 40.
To improve the clarity of the rule, the material dealing with
filing a response to a petition and with voting on a petition have
been moved to new subdivisions (e) and (f).
Subdivision (c). Two changes are made in this subdivision. First,
the sentence stating that a request for a rehearing en banc does
not affect the finality of the judgment or stay the issuance of the
mandate is deleted. Second, the language permitting a party to
include a request for rehearing en banc in a petition for panel
rehearing is deleted. The Committee believes that those circuits
that want to require two separate documents should have the option
to do so.
Subdivision (e). This is a new subdivision. The substance of the
subdivision, however, was drawn from former subdivision (b). The
only changes are stylistic; no substantive changes are intended.
Subdivision (f). This is a new subdivision. The substance of the
subdivision, however, was drawn from former subdivision (b).
Because of the discretionary nature of the en banc procedure, the
filing of a suggestion for rehearing en banc has not required a
vote; a vote is taken only when requested by a judge. It is not the
Committee's intent to change the discretionary nature of the
procedure or to require a vote on a petition for rehearing en banc.
The rule continues, therefore, to provide that a court is not
obligated to vote on such petitions. It is necessary, however, that
each court develop a procedure for disposing of such petitions
because they will suspend the finality of the court's judgment and
toll the time for filing a petition for certiorari.
Former subdivision (b) contained language directing the clerk to
distribute a "suggestion" to certain judges and indicating which
judges may call for a vote. New subdivision (f) does not address
those issues because they deal with internal court procedures.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (a). Two national standards - 28 U.S.C. Sec. 46(c)
and Rule 35(a) - provide that a hearing or rehearing en banc may be
ordered by "a majority of the circuit judges who are in regular
active service." Although these standards apply to all of the
courts of appeals, the circuits are deeply divided over the
interpretation of this language when one or more active judges are
disqualified.
The Supreme Court has never addressed this issue. In Shenker v.
Baltimore & Ohio R.R. Co., 374 U.S. 1 (1963), the Court rejected a
petitioner's claim that his rights under Sec. 46(c) had been
violated when the Third Circuit refused to rehear his case en banc.
The Third Circuit had 8 active judges at the time; 4 voted in favor
of rehearing the case, 2 against, and 2 abstained. No judge was
disqualified. The Supreme Court ruled against the petitioner,
holding, in essence, that Sec. 46(c) did not provide a cause of
action, but instead simply gave litigants "the right to know the
administrative machinery that will be followed and the right to
suggest that the en banc procedure be set in motion in his case."
Id. at 5. Shenker did stress that a court of appeals has broad
discretion in establishing internal procedures to handle requests
for rehearings - or, as Shenker put it, " 'to devise its own
administrative machinery to provide the means whereby a majority
may order such a hearing.' " Id. (quoting Western Pac. R.R. Corp.
v. Western Pac. R.R. Co., 345 U.S. 247, 250 (1953) (emphasis
added)). But Shenker did not address what is meant by "a majority"
in Sec. 46(c) (or Rule 35(a), which did not yet exist) - and
Shenker certainly did not suggest that the phrase should have
different meanings in different circuits.
In interpreting that phrase, 7 of the courts of appeals follow
the "absolute majority" approach. See Marie Leary, Defining the
"Majority" Vote Requirement in Federal Rule of Appellate Procedure
35(a) for Rehearings En Banc in the United States Courts of Appeals
8 tbl.1 (Federal Judicial Center 2002). Under this approach,
disqualified judges are counted in the base in calculating whether
a majority of judges have voted to hear a case en banc. Thus, in a
circuit with 12 active judges, 7 must vote to hear a case en banc.
If 5 of the 12 active judges are disqualified, all 7 non-
disqualified judges must vote to hear the case en banc. The votes
of 6 of the 7 non-disqualified judges are not enough, as 6 is not a
majority of 12.
Six of the courts of appeals follow the "case majority" approach.
Id. Under this approach, disqualified judges are not counted in the
base in calculating whether a majority of judges have voted to hear
a case en banc. Thus, in a case in which 5 of a circuit's 12 active
judges are disqualified, only 4 judges (a majority of the 7 non-
disqualified judges) must vote to hear a case en banc. (The First
and Third Circuits explicitly qualify the case majority approach by
providing that a case cannot be heard en banc unless a majority of
all active judges - disqualified and non-disqualified - are
eligible to participate.)
Rule 35(a) has been amended to adopt the case majority approach
as a uniform national interpretation of Sec. 46(c). The federal
rules of practice and procedure exist to "maintain consistency,"
which Congress has equated with "promot[ing] the interest of
justice." 28 U.S.C. Sec. 2073(b). The courts of appeals should not
follow two inconsistent approaches in deciding whether sufficient
votes exist to hear a case en banc, especially when there is a
governing statute and governing rule that apply to all circuits and
that use identical terms, and especially when there is nothing
about the local conditions of each circuit that justifies
conflicting approaches.
The case majority approach represents the better interpretation
of the phrase "the circuit judges . . . in regular active service"
in the first sentence of Sec. 46(c). The second sentence of Sec.
46(c) - which defines which judges are eligible to participate in a
case being heard or reheard en banc - uses the similar expression
"all circuit judges in regular active service." It is clear that
"all circuit judges in regular active service" in the second
sentence does not include disqualified judges, as disqualified
judges clearly cannot participate in a case being heard or reheard
en banc. Therefore, assuming that two nearly identical phrases
appearing in adjacent sentences in a statute should be interpreted
in the same way, the best reading of "the circuit judges . . . in
regular active service" in the first sentence of Sec. 46(c) is that
it, too, does not include disqualified judges.
This interpretation of Sec. 46(c) is bolstered by the fact that
the case majority approach has at least two major advantages over
the absolute majority approach:
First, under the absolute majority approach, a disqualified judge
is, as a practical matter, counted as voting against hearing a case
en banc. This defeats the purpose of recusal. To the extent
possible, the disqualification of a judge should not result in the
equivalent of a vote for or against hearing a case en banc.
Second, the absolute majority approach can leave the en banc
court helpless to overturn a panel decision with which almost all
of the circuit's active judges disagree. For example, in a case in
which 5 of a circuit's 12 active judges are disqualified, the case
cannot be heard en banc even if 6 of the 7 non-disqualified judges
strongly disagree with the panel opinion. This permits one active
judge - perhaps sitting on a panel with a visiting judge -
effectively to control circuit precedent, even over the objection
of all of his or her colleagues. See Gulf Power Co. v. FCC, 226
F.3d 1220, 1222-23 (11th Cir. 2000) (Carnes, J., concerning the
denial of reh'g en banc), rev'd sub nom. National Cable & Telecomm.
Ass'n, Inc. v. Gulf Power Co., 534 U.S. 327 (2002). Even though the
en banc court may, in a future case, be able to correct an
erroneous legal interpretation, the en banc court will never be
able to correct the injustice inflicted by the panel on the parties
to the case. Morever [sic], it may take many years before
sufficient non-disqualified judges can be mustered to overturn the
panel's erroneous legal interpretation. In the meantime, the lower
courts of the circuit must apply - and the citizens of the circuit
must conform their behavior to - an interpretation of the law that
almost all of the circuit's active judges believe is incorrect.
The amendment to Rule 35(a) is not meant to alter or affect the
quorum requirement of 28 U.S.C. Sec. 46(d). In particular, the
amendment is not intended to foreclose the possibility that Sec.
46(d) might be read to require that more than half of all circuit
judges in regular active service be eligible to participate in
order for the court to hear or rehear a case en banc.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment. The Committee Note was
modified in three respects. First, the Note was changed to put more
emphasis on the fact that the case majority rule is the best
interpretation of Sec. 46(c). Second, the Note now clarifies that
nothing in the proposed amendment is intended to foreclose courts
from interpreting 28 U.S.C. Sec. 46(d) to provide that a case
cannot be heard or reheard en banc unless a majority of all judges
in regular active service - disqualified or not - are eligible to
participate. Finally, a couple of arguments made by supporters of
the amendment to Rule 35(a) were incorporated into the Note.

-End-



-CITE-
28 USC APPENDIX Rule 36 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 36. Entry of Judgment; Notice

-STATUTE-
(a) Entry. A judgment is entered when it is noted on the docket.
The clerk must prepare, sign, and enter the judgment:
(1) after receiving the court's opinion - but if settlement of
the judgment's form is required, after final settlement; or
(2) if a judgment is rendered without an opinion, as the court
instructs.

(b) Notice. On the date when judgment is entered, the clerk must
serve on all parties a copy of the opinion - or the judgment, if no
opinion was written - and a notice of the date when the judgment
was entered.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This is the typical rule. See 1st Cir. Rule 29; 3rd Cir. Rule 32;
6th Cir. Rule 21. At present, uncertainty exists as to the date of
entry of judgment when the opinion directs subsequent settlement of
the precise terms of the judgment, a common practice in cases
involving enforcement of agency orders. See Stern and Gressman,
Supreme Court Practice, p. 203 (3d Ed., 1962). The principle of
finality suggests that in such cases entry of judgment should be
delayed until approval of the judgment in final form.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (b). Subdivision (b) has been amended so that the
clerk may use electronic means to serve a copy of the opinion or
judgment or to serve notice of the date when judgment was entered
upon parties who have consented to such service.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 37 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 37. Interest on Judgment

-STATUTE-
(a) When the Court Affirms. Unless the law provides otherwise, if
a money judgment in a civil case is affirmed, whatever interest is
allowed by law is payable from the date when the district court's
judgment was entered.
(b) When the Court Reverses. If the court modifies or reverses a
judgment with a direction that a money judgment be entered in the
district court, the mandate must contain instructions about the
allowance of interest.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The first sentence makes it clear that if a money judgment is
affirmed in the court of appeals, the interest which attaches to
money judgments by force of law (see 28 U.S.C. Sec. 1961 and Sec.
2411) upon their initial entry is payable as if no appeal had been
taken, whether or not the mandate makes mention of interest. There
has been some confusion on this point. See Blair v. Durham, 139
F.2d 260 (6th Cir., 1943) and cases cited therein.
In reversing or modifying the judgment of the district court, the
court of appeals may direct the entry of a money judgment, as, for
example, when the court of appeals reverses a judgment
notwithstanding the verdict and directs entry of judgment on the
verdict. In such a case the question may arise as to whether
interest is to run from the date of entry of the judgment directed
by the court of appeals or from the date on which the judgment
would have been entered in the district court except for the
erroneous ruling corrected on appeal. In Briggs v. Pennsylvania R.
Co., 334 U.S. 304, 68 S.Ct. 1039, 92 L.Ed. 1403 (1948), the Court
held that where the mandate of the court of appeals directed entry
of judgment upon a verdict but made no mention of interest from the
date of the verdict to the date of the entry of the judgment
directed by the mandate, the district court was powerless to add
such interest. The second sentence of the proposed rule is a
reminder to the court, the clerk and counsel of the Briggs rule.
Since the rule directs that the matter of interest be disposed of
by the mandate, in cases where interest is simply overlooked, a
party who conceives himself entitled to interest from a date other
than the date of entry of judgment in accordance with the mandate
should be entitled to seek recall of the mandate for determination
of the question.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 38 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 38. Frivolous Appeal - Damages and Costs

-STATUTE-
If a court of appeals determines that an appeal is frivolous, it
may, after a separately filed motion or notice from the court and
reasonable opportunity to respond, award just damages and single or
double costs to the appellee.

-SOURCE-
(As amended Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Compare 28 U.S.C. Sec. 1912. While both the statute and the usual
rule on the subject by courts of appeals (Fourth Circuit Rule 20 is
a typical rule) speak of "damages for delay," the courts of appeals
quite properly allow damages, attorney's fees and other expenses
incurred by an appellee if the appeal is frivolous without
requiring a showing that the appeal resulted in delay. See
Dunscombe v. Sayle, 340 F.2d 311 (5th Cir., 1965), cert. den., 382
U.S. 814, 86 S.Ct. 32, 15 L.Ed.2d 62 (1965); Lowe v. Willacy, 239
F.2d 179 (9th Cir., 1956); Griffith Wellpoint Corp. v. Munro-
Langstroth, Inc., 269 F.2d 64 (1st Cir., 1959); Ginsburg v. Stern,
295 F.2d 698 (3d Cir., 1961). The subjects of interest and damages
are separately regulated, contrary to the present practice of
combining the two (see Fourth Circuit Rule 20) to make it clear
that the awards are distinct and independent. Interest is provided
for by law; damages are awarded by the court in its discretion in
the case of a frivolous appeal as a matter of justice to the
appellee and as a penalty against the appellant.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
The amendment requires that before a court of appeals may impose
sanctions, the person to be sanctioned must have notice and an
opportunity to respond. The amendment reflects the basic principle
enunciated in the Supreme Court's opinion in Roadway Express, Inc.
v. Piper, 447 U.S. 752, 767 (1980), that notice and opportunity to
respond must precede the imposition of sanctions. A separately
filed motion requesting sanctions constitutes notice. A statement
inserted in a party's brief that the party moves for sanctions is
not sufficient notice. Requests in briefs for sanctions have become
so commonplace that it is unrealistic to expect careful responses
to such requests without any indication that the court is actually
contemplating such measures. Only a motion, the purpose of which is
to request sanctions, is sufficient. If there is no such motion
filed, notice must come from the court. The form of notice from the
court and of the opportunity for comment purposely are left to the
court's discretion.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
Only the caption of this rule has been amended. The changes are
intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 39 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 39. Costs

-STATUTE-
(a) Against Whom Assessed. The following rules apply unless the
law provides or the court orders otherwise:
(1) if an appeal is dismissed, costs are taxed against the
appellant, unless the parties agree otherwise;
(2) if a judgment is affirmed, costs are taxed against the
appellant;
(3) if a judgment is reversed, costs are taxed against the
appellee;
(4) if a judgment is affirmed in part, reversed in part,
modified, or vacated, costs are taxed only as the court orders.

(b) Costs For and Against the United States. Costs for or against
the United States, its agency, or officer will be assessed under
Rule 39(a) only if authorized by law.
(c) Costs of Copies. Each court of appeals must, by local rule,
fix the maximum rate for taxing the cost of producing necessary
copies of a brief or appendix, or copies of records authorized by
Rule 30(f). The rate must not exceed that generally charged for
such work in the area where the clerk's office is located and
should encourage economical methods of copying.
(d) Bill of Costs: Objections; Insertion in Mandate.
(1) A party who wants costs taxed must - within 14 days after
entry of judgment - file with the circuit clerk, with proof of
service, an itemized and verified bill of costs.
(2) Objections must be filed within 10 days after service of
the bill of costs, unless the court extends the time.
(3) The clerk must prepare and certify an itemized statement of
costs for insertion in the mandate, but issuance of the mandate
must not be delayed for taxing costs. If the mandate issues
before costs are finally determined, the district clerk must -
upon the circuit clerk's request - add the statement of costs, or
any amendment of it, to the mandate.

(e) Costs on Appeal Taxable in the District Court. The following
costs on appeal are taxable in the district court for the benefit
of the party entitled to costs under this rule:
(1) the preparation and transmission of the record;
(2) the reporter's transcript, if needed to determine the
appeal;
(3) premiums paid for a supersedeas bond or other bond to
preserve rights pending appeal; and
(4) the fee for filing the notice of appeal.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Mar. 10, 1986, eff.
July 1, 1986; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES ON ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). Statutory authorization for taxation of costs is
found in 28 U.S.C. Sec. 1920. The provisions of this subdivision
follow the usual practice in the circuits. A few statutes contain
specific provisions in derogation of these general provisions. (See
28 U.S.C. Sec. 1928, which forbids the award of costs to a
successful plaintiff in a patent infringement action under the
circumstances described by the statute). These statutes are
controlling in cases to which they apply.
Subdivision (b). The rules of the courts of appeals at present
commonly deny costs to the United States except as allowance may be
directed by statute. Those rules were promulgated at a time when
the United States was generally invulnerable to an award of costs
against it, and they appear to be based on the view that if the
United States is not subject to costs if it loses, it ought not be
entitled to recover costs if it wins.
The number of cases affected by such rules has been greatly
reduced by the Act of July 18, 1966, 80 Stat. 308 (1 U.S. Code
Cong. & Ad. News, p. 349 (1966), 89th Cong., 2d Sess., which
amended 28 U.S.C. Sec. 2412, the former general bar to the award of
costs against the United States. Section 2412 as amended generally
places the United States on the same footing as private parties
with respect to the award of costs in civil cases. But the United
States continues to enjoy immunity from costs in certain cases. By
its terms amended section 2412 authorizes an award of costs against
the United States only in civil actions, and it excepts from its
general authorization of an award of costs against the United
States cases which are "otherwise specifically provided (for) by
statute." Furthermore, the Act of July 18, 1966, supra, provides
that the amendments of section 2412 which it effects shall apply
only to actions filed subsequent to the date of its enactment. The
second clause continues in effect, for these and all other cases in
which the United States enjoys immunity from costs, the presently
prevailing rule that the United States may recover costs as the
prevailing party only if it would have suffered them as the losing
party.
Subdivision (c). While only five circuits (D.C. Cir. Rule 20(d);
1st Cir. Rule 31(4); 3d Cir. Rule 35(4); 4th Cir. Rule 21(4); 9th
Cir. Rule 25, as amended June 2, 1967) presently tax the cost of
printing briefs, the proposed rule makes the cost taxable in
keeping with the principle of this rule that all cost items
expended in the prosecution of a proceeding should be borne by the
unsuccessful party.
Subdivision (e). The costs described in this subdivision are
costs of the appeal and, as such, are within the undertaking of the
appeal bond. They are made taxable in the district court for
general convenience. Taxation of the cost of the reporter's
transcript is specifically authorized by 28 U.S.C. Sec. 1920, but
in the absence of a rule some district courts have held themselves
without authority to tax the cost (Perlman v. Feldmann, 116 F.Supp.
102 (D.Conn., 1953); Firtag v. Gendleman, 152 F.Supp. 226 (D.D.C.,
1957); Todd Atlantic Shipyards Corps. v. The Southport, 100 F.Supp.
763 (E.D.S.C., 1951). Provision for taxation of the cost of
premiums paid for supersedeas bonds is common in the local rules of
district courts and the practice is established in the Second,
Seventh, and Ninth Circuits. Berner v. British Commonwealth Pacific
Air Lines, Ltd., 362 F.2d 799 (2d Cir. 1966); Land Oberoesterreich
v. Gude, 93 F.2d 292 (2d Cir., 1937); In re Northern Ind. Oil Co.,
192 F.2d 139 (7th Cir., 1951); Lunn v. F. W. Woolworth, 210 F.2d
159 (9th Cir., 1954).

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Subdivision (c). The proposed amendment would permit variations
among the circuits in regulating the maximum rates taxable as costs
for printing or otherwise reproducing briefs, appendices, and
copies of records authorized by Rule 30(f). The present rule has
had a different effect in different circuits depending upon the
size of the circuit, the location of the clerk's office, and the
location of other cities. As a consequence there was a growing
sense that strict adherence to the rule produces some unfairness in
some of the circuits and the matter should be made subject to local
rule.
Subdivision (d). The present rule makes no provision for
objections to a bill of costs. The proposed amendment would allow
10 days for such objections. Cf. Rule 54(d) of the F.R.C.P. It
provides further that the mandate shall not be delayed for taxation
of costs.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendment to subdivision (c) is intended to increase the
degree of control exercised by the courts of appeals over rates for
printing and copying recoverable as costs. It further requires the
courts of appeals to encourage cost-consciousness by requiring
that, in fixing the rate, the court consider the most economical
methods of printing and copying.
The amendment to subdivision (d) is technical. No substantive
change is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only. All
references to the cost of "printing" have been deleted from
subdivision (c) because commercial printing is so rarely used for
preparation of documents filed with a court of appeals.

-End-



-CITE-
28 USC APPENDIX Rule 40 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 40. Petition for Panel Rehearing

-STATUTE-
(a) Time to File; Contents; Answer; Action by the Court if
Granted.
(1) Time. Unless the time is shortened or extended by order or
local rule, a petition for panel rehearing may be filed within 14
days after entry of judgment. But in a civil case, if the United
States or its officer or agency is a party, the time within which
any party may seek rehearing is 45 days after entry of judgment,
unless an order shortens or extends the time.
(2) Contents. The petition must state with particularity each
point of law or fact that the petitioner believes the court has
overlooked or misapprehended and must argue in support of the
petition. Oral argument is not permitted.
(3) Answer. Unless the court requests, no answer to a petition
for panel rehearing is permitted. But ordinarily rehearing will
not be granted in the absence of such a request.
(4) Action by the Court. If a petition for panel rehearing is
granted, the court may do any of the following:
(A) make a final disposition of the case without reargument;
(B) restore the case to the calendar for reargument or
resubmission; or
(C) issue any other appropriate order.

(b) Form of Petition; Length. The petition must comply in form
with Rule 32. Copies must be served and filed as Rule 31
prescribes. Unless the court permits or a local rule provides
otherwise, a petition for panel rehearing must not exceed 15 pages.

-SOURCE-
(As amended Apr. 30, 1979, eff. Aug. 1, 1979; Apr. 29, 1994, eff.
Dec. 1, 1994; Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This is the usual rule among the circuits, except that the
express prohibition against filing a reply to the petition is found
only in the rules of the Fourth, Sixth and Eighth Circuits (it is
also contained in Supreme Court Rule 58(3)). It is included to save
time and expense to the party victorious on appeal. In the very
rare instances in which a reply is useful, the court will ask for
it.

NOTES OF ADVISORY COMMITTEE ON RULES - 1979 AMENDMENT
Subdivision (a). The Standing Committee added to the first
sentence of Rule 40(a) the words "or by local rule," to conform to
current practice in the circuits. The Standing Committee believes
the change noncontroversial.
Subdivision (b). The proposed amendment would eliminate the
distinction drawn in the present rule between printed briefs and
those duplicated from typewritten pages in fixing their maximum
length. See Note to Rule 28. Since petitions for rehearing must be
prepared in a short time, making typographic printing less likely,
the maximum number of pages is fixed at 15, the figure used in the
present rule for petitions duplicated by means other than
typographic printing.

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). The amendment lengthens the time for filing a
petition for rehearing from 14 to 45 days in civil cases involving
the United States or its agencies or officers. It has no effect
upon the time for filing in criminal cases. The amendment makes
nation-wide the current practice in the District of Columbia and
the Tenth Circuits, see D.C. Cir. R. 15(a), 10th Cir. R. 40.3. This
amendment, analogous to the provision in Rule 4(a) extending the
time for filing a notice of appeal in cases involving the United
States, recognizes that the Solicitor General needs time to conduct
a thorough review of the merits of a case before requesting a
rehearing. In a case in which a court of appeals believes it
necessary to restrict the time for filing a rehearing petition, the
amendment provides that the court may do so by order. Although the
first sentence of Rule 40 permits a court of appeals to shorten or
lengthen the usual 14 day filing period by order or by local rule,
the sentence governing appeals in civil cases involving the United
States purposely limits a court's power to alter the 45 day period
to orders in specific cases. If a court of appeals could adopt a
local rule shortening the time for filing a petition for rehearing
in all cases involving the United States, the purpose of the
amendment would be defeated.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 41 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 41. Mandate: Contents; Issuance and Effective Date; Stay

-STATUTE-
(a) Contents. Unless the court directs that a formal mandate
issue, the mandate consists of a certified copy of the judgment, a
copy of the court's opinion, if any, and any direction about costs.
(b) When Issued. The court's mandate must issue 7 calendar days
after the time to file a petition for rehearing expires, or 7
calendar days after entry of an order denying a timely petition for
panel rehearing, petition for rehearing en banc, or motion for stay
of mandate, whichever is later. The court may shorten or extend the
time.
(c) Effective Date. The mandate is effective when issued.
(d) Staying the Mandate.
(1) On Petition for Rehearing or Motion. The timely filing of a
petition for panel rehearing, petition for rehearing en banc, or
motion for stay of mandate, stays the mandate until disposition
of the petition or motion, unless the court orders otherwise.
(2) Pending Petition for Certiorari.
(A) A party may move to stay the mandate pending the filing
of a petition for a writ of certiorari in the Supreme Court.
The motion must be served on all parties and must show that the
certiorari petition would present a substantial question and
that there is good cause for a stay.
(B) The stay must not exceed 90 days, unless the period is
extended for good cause or unless the party who obtained the
stay files a petition for the writ and so notifies the circuit
clerk in writing within the period of the stay. In that case,
the stay continues until the Supreme Court's final disposition.
(C) The court may require a bond or other security as a
condition to granting or continuing a stay of the mandate.
(D) The court of appeals must issue the mandate immediately
when a copy of a Supreme Court order denying the petition for
writ of certiorari is filed.

-SOURCE-
(As amended Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998; Apr. 29, 2002, eff. Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The proposed rule follows the rule or practice in a majority of
circuits by which copies of the opinion and the judgment serve in
lieu of a formal mandate in the ordinary case. Compare Supreme
Court Rule 59. Although 28 U.S.C. Sec. 2101(c) permits a writ of
certiorari to be filed within 90 days after entry of judgment,
seven of the eight circuits which now regulate the matter of stays
pending application for certiorari limit the initial stay of the
mandate to the 30-day period provided in the proposed rule. Compare
D.C. Cir. Rule 27(e).

NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
Subdivision (a). The amendment conforms Rule 41(a) to the
amendment made to Rule 40(a). The amendment keys the time for
issuance of the mandate to the expiration of the time for filing a
petition for rehearing, unless such a petition is filed in which
case the mandate issues 7 days after the entry of the order denying
the petition. Because the amendment to Rule 40(a) lengthens the
time for filing a petition for rehearing in civil cases involving
the United States from 14 to 45 days, the rule requiring the
mandate to issue 21 days after the entry of judgment would cause
the mandate to issue while the government is still considering
requesting a rehearing. Therefore, the amendment generally requires
the mandate to issue 7 days after the expiration of the time for
filing a petition for rehearing.
Subdivision (b). The amendment requires a party who files a
motion requesting a stay of mandate to file, at the same time,
proof of service on all other parties. The old rule required the
party to give notice to the other parties; the amendment merely
requires the party to provide the court with evidence of having
done so.
The amendment also states that the motion must show that a
petition for certiorari would present a substantial question and
that there is good cause for a stay. The amendment is intended to
alert the parties to the fact that a stay of mandate is not granted
automatically and to the type of showing that needs to be made. The
Supreme Court has established conditions that must be met before it
will stay a mandate. See Robert L. Stern et al., Supreme Court
Practice Sec. 17.19 (6th ed. 1986).

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.
Several substantive changes are made in this rule, however.
Subdivision (b). The existing rule provides that the mandate
issues 7 days after the time to file a petition for panel rehearing
expires unless such a petition is timely filed. If the petition is
denied, the mandate issues 7 days after entry of the order denying
the petition. Those provisions are retained but the amendments
further provide that if a timely petition for rehearing en banc or
motion for stay of mandate is filed, the mandate does not issue
until 7 days after entry of an order denying the last of all such
requests. If a petition for rehearing or a petition for rehearing
en banc is granted, the court enters a new judgment after the
rehearing and the mandate issues within the normal time after entry
of that judgment.
Subdivision (c). Subdivision (c) is new. It provides that the
mandate is effective when the court issues it. A court of appeals'
judgment or order is not final until issuance of the mandate; at
that time the parties' obligations become fixed. This amendment is
intended to make it clear that the mandate is effective upon
issuance and that its effectiveness is not delayed until receipt of
the mandate by the trial court or agency, or until the trial court
or agency acts upon it. This amendment is consistent with the
current understanding. Unless the court orders that the mandate
issue earlier than provided in the rule, the parties can easily
calculate the anticipated date of issuance and verify issuance with
the clerk's office. In those instances in which the court orders
earlier issuance of the mandate, the entry of the order on the
docket alerts the parties to that fact.
Subdivision (d). Amended paragraph (1) provides that the filing
of a petition for panel rehearing, a petition for rehearing en banc
or a motion for a stay of mandate pending petition to the Supreme
Court for a writ of certiorari stays the issuance of the mandate
until the court disposes of the petition or motion. The provision
that a petition for rehearing en banc stays the mandate is a
companion to the amendment of Rule 35 that deletes the language
stating that a request for a rehearing en banc does not affect the
finality of the judgment or stay the issuance of the mandate. The
Committee's objective is to treat a request for a rehearing en banc
like a petition for panel rehearing so that a request for a
rehearing en banc will suspend the finality of the court of
appeals' judgment and delay the running of the period for filing a
petition for writ of certiorari. Because the filing of a petition
for rehearing en banc will stay the mandate, a court of appeals
will need to take final action on the petition but the procedure
for doing so is left to local practice.
Paragraph (1) also provides that the filing of a motion for a
stay of mandate pending petition to the Supreme Court for a writ of
certiorari stays the mandate until the court disposes of the
motion. If the court denies the motion, the court must issue the
mandate 7 days after entering the order denying the motion. If the
court grants the motion, the mandate is stayed according to the
terms of the order granting the stay. Delaying issuance of the
mandate eliminates the need to recall the mandate if the motion for
a stay is granted. If, however, the court believes that it would be
inappropriate to delay issuance of the mandate until disposition of
the motion for a stay, the court may order that the mandate issue
immediately.
Paragraph (2). The amendment changes the maximum period for a
stay of mandate, absent the court of appeals granting an extension
for cause, to 90 days. The presumptive 30-day period was adopted
when a party had to file a petition for a writ of certiorari in
criminal cases within 30 days after entry of judgment. Supreme
Court Rule 13.1 now provides that a party has 90 days after entry
of judgment by a court of appeals to file a petition for a writ of
certiorari whether the case is civil or criminal.
The amendment does not require a court of appeals to grant a stay
of mandate that is coextensive with the period granted for filing a
petition for a writ of certiorari. The granting of a stay and the
length of the stay remain within the discretion of the court of
appeals. The amendment means only that a 90-day stay may be granted
without a need to show cause for a stay longer than 30 days.
Subparagraph (C) is not new; it has been moved from the end of
the rule to this position.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (b). Subdivision (b) directs that the mandate of a
court must issue 7 days after the time to file a petition for
rehearing expires or 7 days after the court denies a timely
petition for panel rehearing, petition for rehearing en banc, or
motion for stay of mandate, whichever is later. Intermediate
Saturdays, Sundays, and legal holidays are counted in computing
that 7-day deadline, which means that, except when the 7-day
deadline ends on a weekend or legal holiday, the mandate issues
exactly one week after the triggering event.
Fed. R. App. P. 26(a)(2) has been amended to provide that, in
computing any period of time, one should "[e]xclude intermediate
Saturdays, Sundays, and legal holidays when the period is less than
11 days, unless stated in calendar days." This change in the method
of computing deadlines means that 7-day deadlines (such as that in
subdivision (b)) have been lengthened as a practical matter. Under
the new computation method, a mandate would never issue sooner than
9 actual days after a triggering event, and legal holidays could
extend that period to as much as 13 days.
Delaying mandates for 9 or more days would introduce significant
and unwarranted delay into appellate proceedings. For that reason,
subdivision (b) has been amended to require that mandates issue 7
calendar days after a triggering event.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 42 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 42. Voluntary Dismissal

-STATUTE-
(a) Dismissal in the District Court. Before an appeal has been
docketed by the circuit clerk, the district court may dismiss the
appeal on the filing of a stipulation signed by all parties or on
the appellant's motion with notice to all parties.
(b) Dismissal in the Court of Appeals. The circuit clerk may
dismiss a docketed appeal if the parties file a signed dismissal
agreement specifying how costs are to be paid and pay any fees that
are due. But no mandate or other process may issue without a court
order. An appeal may be dismissed on the appellant's motion on
terms agreed to by the parties or fixed by the court.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). This subdivision is derived from FRCP 73(a)
without change of substance.
Subdivision (b). The first sentence is a common provision in
present circuit rules. The second sentence is added. Compare
Supreme Court Rule 60.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 43 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 43. Substitution of Parties

-STATUTE-
(a) Death of a Party.
(1) After Notice of Appeal Is Filed. If a party dies after a
notice of appeal has been filed or while a proceeding is pending
in the court of appeals, the decedent's personal representative
may be substituted as a party on motion filed with the circuit
clerk by the representative or by any party. A party's motion
must be served on the representative in accordance with Rule 25.
If the decedent has no representative, any party may suggest the
death on the record, and the court of appeals may then direct
appropriate proceedings.
(2) Before Notice of Appeal Is Filed - Potential Appellant. If
a party entitled to appeal dies before filing a notice of appeal,
the decedent's personal representative - or, if there is no
personal representative, the decedent's attorney of record - may
file a notice of appeal within the time prescribed by these
rules. After the notice of appeal is filed, substitution must be
in accordance with Rule 43(a)(1).
(3) Before Notice of Appeal Is Filed - Potential Appellee. If a
party against whom an appeal may be taken dies after entry of a
judgment or order in the district court, but before a notice of
appeal is filed, an appellant may proceed as if the death had not
occurred. After the notice of appeal is filed, substitution must
be in accordance with Rule 43(a)(1).

(b) Substitution for a Reason Other Than Death. If a party needs
to be substituted for any reason other than death, the procedure
prescribed in Rule 43(a) applies.
(c) Public Officer: Identification; Substitution.
(1) Identification of Party. A public officer who is a party to
an appeal or other proceeding in an official capacity may be
described as a party by the public officer's official title
rather than by name. But the court may require the public
officer's name to be added.
(2) Automatic Substitution of Officeholder. When a public
officer who is a party to an appeal or other proceeding in an
official capacity dies, resigns, or otherwise ceases to hold
office, the action does not abate. The public officer's successor
is automatically substituted as a party. Proceedings following
the substitution are to be in the name of the substituted party,
but any misnomer that does not affect the substantial rights of
the parties may be disregarded. An order of substitution may be
entered at any time, but failure to enter an order does not
affect the substitution.

-SOURCE-
(As amended Mar. 10, 1986, eff. July 1, 1986; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). The first three sentences described a procedure
similar to the rule on substitution in civil actions in the
district court. See FRCP 25(a). The fourth sentence expressly
authorizes an appeal to be taken against one who has died after the
entry of judgment. Compare FRCP 73(b), which impliedly authorizes
such an appeal.
The sixth sentence authorizes an attorney of record for the
deceased to take an appeal on behalf of successors in interest if
the deceased has no representative. At present, if a party entitled
to appeal dies before the notice of appeal is filed, the appeal can
presumably be taken only by his legal representative and must be
taken within the time ordinarily prescribed. 13 Cyclopedia of
Federal Procedure (3d Ed.) Sec. 63.21. The states commonly make
special provisions for the event of the death of a party entitled
to appeal, usually by extending the time otherwise prescribed.
Rules of Civil Procedure for Superior Courts of Arizona, Rule
73(t), 16 A.R.S.; New Jersey Rev. Rules 1:3-3; New York Civil
Practice Law and Rules, Sec. 1022; Wisconsin Statutes Ann.
274.01(2). The provision in the proposed rule is derived from
California Code of Civil Procedure, Sec. 941.
Subdivision (c). This subdivision is derived from FRCP 25(d) and
Supreme Court Rule 48, with appropriate changes.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 43(a) and (c) are technical. No
substantive change is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 44 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 44. Case Involving a Constitutional Question When the United
States or the Relevant State is Not a Party

-STATUTE-
(a) Constitutional Challenge to Federal Statute. If a party
questions the constitutionality of an Act of Congress in a
proceeding in which the United States or its agency, officer, or
employee is not a party in an official capacity, the questioning
party must give written notice to the circuit clerk immediately
upon the filing of the record or as soon as the question is raised
in the court of appeals. The clerk must then certify that fact to
the Attorney General.
(b) Constitutional Challenge to State Statute. If a party
questions the constitutionality of a statute of a State in a
proceeding in which that State or its agency, officer, or employee
is not a party in an official capacity, the questioning party must
give written notice to the circuit clerk immediately upon the
filing of the record or as soon as the question is raised in the
court of appeals. The clerk must then certify that fact to the
attorney general of the State.

-SOURCE-
(As amended Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule is now found in the rules of a majority of the
circuits. It is in response to the Act of August 24, 1937 (28
U.S.C. Sec. 2403), which requires all courts of the United States
to advise the Attorney General of the existence of an action or
proceeding of the kind described in the rule.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Rule 44 requires that a party who "questions the
constitutionality of an Act of Congress" in a proceeding in which
the United States is not a party must provide written notice of
that challenge to the clerk. Rule 44 is designed to implement 28
U.S.C. Sec. 2403(a), which states that: "In any action, suit or
proceeding in a court of the United States to which the United
States or any agency, officer or employee thereof is not a party,
wherein the constitutionality of any Act of Congress affecting the
public interest is drawn in question, the court shall certify such
fact to the Attorney General, and shall permit the United States to
intervene . . . for argument on the question of constitutionality."
The subsequent section of the statute - Sec. 2403(b) - contains
virtually identical language imposing upon the courts the duty to
notify the attorney general of a state of a constitutional
challenge to any statute of that state. But Sec. 2403(b), unlike
Sec. 2403(a), was not implemented in Rule 44.
Rule 44 has been amended to correct this omission. The text of
former Rule 44 regarding constitutional challenges to federal
statutes now appears as Rule 44(a), while new language regarding
constitutional challenges to state statutes now appears as Rule
44(b).
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 45 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 45. Clerk's Duties

-STATUTE-
(a) General Provisions.
(1) Qualifications. The circuit clerk must take the oath and
post any bond required by law. Neither the clerk nor any deputy
clerk may practice as an attorney or counselor in any court while
in office.
(2) When Court Is Open. The court of appeals is always open for
filing any paper, issuing and returning process, making a motion,
and entering an order. The clerk's office with the clerk or a
deputy in attendance must be open during business hours on all
days except Saturdays, Sundays, and legal holidays. A court may
provide by local rule or by order that the clerk's office be open
for specified hours on Saturdays or on legal holidays other than
New Year's Day, Martin Luther King, Jr.'s Birthday, Washington's
Birthday, Memorial Day, Independence Day, Labor Day, Columbus
Day, Veterans' Day, Thanksgiving Day, and Christmas Day.

(b) Records.
(1) The Docket. The circuit clerk must maintain a docket and an
index of all docketed cases in the manner prescribed by the
Director of the Administrative Office of the United States
Courts. The clerk must record all papers filed with the clerk and
all process, orders, and judgments.
(2) Calendar. Under the court's direction, the clerk must
prepare a calendar of cases awaiting argument. In placing cases
on the calendar for argument, the clerk must give preference to
appeals in criminal cases and to other proceedings and appeals
entitled to preference by law.
(3) Other Records. The clerk must keep other books and records
required by the Director of the Administrative Office of the
United States Courts, with the approval of the Judicial
Conference of the United States, or by the court.

(c) Notice of an Order or Judgment. Upon the entry of an order or
judgment, the circuit clerk must immediately serve a notice of
entry on each party, with a copy of any opinion, and must note the
date of service on the docket. Service on a party represented by
counsel must be made on counsel.
(d) Custody of Records and Papers. The circuit clerk has custody
of the court's records and papers. Unless the court orders or
instructs otherwise, the clerk must not permit an original record
or paper to be taken from the clerk's office. Upon disposition of
the case, original papers constituting the record on appeal or
review must be returned to the court or agency from which they were
received. The clerk must preserve a copy of any brief, appendix, or
other paper that has been filed.

-SOURCE-
(As amended Mar. 1, 1971, eff. July 1, 1971; Mar. 10, 1986, eff.
July 1, 1986; Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 29, 2002, eff.
Dec. 1, 2002; Apr. 25, 2005, eff. Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
The duties imposed upon clerks of the courts of appeals by this
rule are those imposed by rule or practice in a majority of the
circuits. The second sentence of subdivision (a) authorizing the
closing of the clerk's office on Saturday and non-national legal
holidays follows a similar provision respecting the district court
clerk's office found in FRCP 77(c) and in FRCrP 56.

NOTES OF ADVISORY COMMITTEE ON RULES - 1971 AMENDMENT
The amendment adds Columbus Day to the list of legal holidays.
See the Note accompanying the amendment of Rule 26(a).

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendment to Rule 45(b) permits the courts of appeals to
maintain computerized dockets. The Committee believes that the
Administrative Office of the United States Courts ought to have
maximum flexibility in prescribing the format of this docket in
order to ensure a smooth transition from manual to automated
systems and subsequent adaptation to technological improvements.
The amendments to Rules 45(a) and (d) are technical. No
substantive change is intended. The Birthday of Martin Luther King,
Jr. has been added to the list of national holidays.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Subdivision (c). Subdivision (c) has been amended so that the
clerk may use electronic means to serve notice of entry of an order
or judgment upon parties who have consented to such service.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Subdivision (a)(2). Rule 45(a)(2) has been amended to refer to
the third Monday in February as "Washington's Birthday." A federal
statute officially designates the holiday as "Washington's
Birthday," reflecting the desire of Congress specially to honor the
first president of the United States. See 5 U.S.C. Sec. 6103(a).
During the 1998 restyling of the Federal Rules of Appellate
Procedure, references to "Washington's Birthday" were mistakenly
changed to "Presidents' Day." The amendment corrects that error.
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.

-End-



-CITE-
28 USC APPENDIX Rule 46 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 46. Attorneys

-STATUTE-
(a) Admission to the Bar.
(1) Eligibility. An attorney is eligible for admission to the
bar of a court of appeals if that attorney is of good moral and
professional character and is admitted to practice before the
Supreme Court of the United States, the highest court of a state,
another United States court of appeals, or a United States
district court (including the district courts for Guam, the
Northern Mariana Islands, and the Virgin Islands).
(2) Application. An applicant must file an application for
admission, on a form approved by the court that contains the
applicant's personal statement showing eligibility for
membership. The applicant must subscribe to the following oath or
affirmation:
"I, ____________, do solemnly swear [or affirm] that I will
conduct myself as an attorney and counselor of this court,
uprightly and according to law; and that I will support the
Constitution of the United States."

(3) Admission Procedures. On written or oral motion of a member
of the court's bar, the court will act on the application. An
applicant may be admitted by oral motion in open court. But,
unless the court orders otherwise, an applicant need not appear
before the court to be admitted. Upon admission, an applicant
must pay the clerk the fee prescribed by local rule or court
order.

(b) Suspension or Disbarment.
(1) Standard. A member of the court's bar is subject to
suspension or disbarment by the court if the member:
(A) has been suspended or disbarred from practice in any
other court; or
(B) is guilty of conduct unbecoming a member of the court's
bar.

(2) Procedure. The member must be given an opportunity to show
good cause, within the time prescribed by the court, why the
member should not be suspended or disbarred.
(3) Order. The court must enter an appropriate order after the
member responds and a hearing is held, if requested, or after the
time prescribed for a response expires, if no response is made.

(c) Discipline. A court of appeals may discipline an attorney who
practices before it for conduct unbecoming a member of the bar or
for failure to comply with any court rule. First, however, the
court must afford the attorney reasonable notice, an opportunity to
show cause to the contrary, and, if requested, a hearing.

-SOURCE-
(As amended Mar. 10, 1986, eff. July 1, 1986; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
Subdivision (a). The basic requirement of membership in the bar
of the Supreme Court, or of the highest court of a state, or in
another court of appeals or a district court is found, with minor
variations, in the rules of ten circuits. The only other
requirement in those circuits is that the applicant be of good
moral and professional character. In the District of Columbia
Circuit applicants other than members of the District of Columbia
District bar or the Supreme Court bar must claim membership in the
bar of the highest court of a state, territory or possession for
three years prior to application for admission (D.C. Cir. Rule 7).
Members of the District of Columbia District bar and the Supreme
Court bar again excepted, applicants for admission to the District
of Columbia Circuit bar must meet precisely defined prelaw and law
school study requirements (D.C. Cir. Rule 7 1/2 ).
A few circuits now require that application for admission be made
by oral motion by a sponsor member in open court. The proposed rule
permits both the application and the motion by the sponsor member
to be in writing, and permits action on the motion without the
appearance of the applicant or the sponsor, unless the court
otherwise orders.
Subdivision (b). The provision respecting suspension or
disbarment is uniform. Third Circuit Rule 8(3) is typical.
Subdivision (c). At present only Fourth Circuit Rule 36 contains
an equivalent provision. The purpose of this provision is to make
explicit the power of a court of appeals to impose sanctions less
serious than suspension or disbarment for the breach of rules. It
also affords some measure of control over attorneys who are not
members of the bar of the court. Several circuits permit a non-
member attorney to file briefs and motions, membership being
required only at the time of oral argument. And several circuits
permit argument pro hac vice by non-member attorneys.

NOTES OF ADVISORY COMMITTEE ON RULES - 1986 AMENDMENT
The amendments to Rules 46(a) and (b) are technical. No
substantive change is intended.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 47 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 47. Local Rules by Courts of Appeals

-STATUTE-
(a) Local Rules.
(1) Each court of appeals acting by a majority of its judges in
regular active service may, after giving appropriate public
notice and opportunity for comment, make and amend rules
governing its practice. A generally applicable direction to
parties or lawyers regarding practice before a court must be in a
local rule rather than an internal operating procedure or
standing order. A local rule must be consistent with - but not
duplicative of - Acts of Congress and rules adopted under 28
U.S.C. Sec. 2072 and must conform to any uniform numbering system
prescribed by the Judicial Conference of the United States. Each
circuit clerk must send the Administrative Office of the United
States Courts a copy of each local rule and internal operating
procedure when it is promulgated or amended.
(2) A local rule imposing a requirement of form must not be
enforced in a manner that causes a party to lose rights because
of a nonwillful failure to comply with the requirement.

(b) Procedure When There Is No Controlling Law. A court of
appeals may regulate practice in a particular case in any manner
consistent with federal law, these rules, and local rules of the
circuit. No sanction or other disadvantage may be imposed for
noncompliance with any requirement not in federal law, federal
rules, or the local circuit rules unless the alleged violator has
been furnished in the particular case with actual notice of the
requirement.

-SOURCE-
(As amended Apr. 27, 1995, eff. Dec. 1, 1995; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1967
This rule continues the authority now vested in individual courts
of appeals by 28 U.S.C. Sec. 2071 to make rules consistent with
rules of practice and procedure promulgated by the Supreme Court.

NOTES OF ADVISORY COMMITTEE ON RULES - 1995 AMENDMENT
Subdivision (a). This rule is amended to require that a generally
applicable direction regarding practice before a court of appeals
must be in a local rule rather than an internal operating procedure
or some other general directive. It is the intent of this rule that
a local rule may not bar any practice that these rules explicitly
or implicitly permit. Subdivision (b) allows a court of appeals to
regulate practice in an individual case by entry of an order in the
case. The amendment also reflects the requirement that local rules
be consistent not only with the national rules but also with Acts
of Congress. The amendment also states that local rules should not
repeat national rules and Acts of Congress.
The amendment also requires that the numbering of local rules
conform with any uniform numbering system that may be prescribed by
the Judicial Conference. Lack of uniform numbering might create
unnecessary traps for counsel and litigants. A uniform numbering
system would make it easier for an increasingly national bar and
for litigants to locate a local rule that applies to a particular
procedural issue.
Paragraph (2) is new. Its aim is to protect against loss of
rights in the enforcement of local rules relating to matters of
form. The proscription of paragraph (2) is narrowly drawn -
covering only violations that are not willful and only those
involving local rules directed to matters of form. It does not
limit the court's power to impose substantive penalties upon a
party if it or its attorney stubbornly or repeatedly violates a
local rule, even one involving merely a matter of form. Nor does it
affect the court's power to enforce local rules that involve more
than mere matters of form.
Subdivision (b). This rule provides flexibility to the court in
regulating practice in a particular case when there is no
controlling law. Specifically, it permits the court to regulate
practice in any manner consistent with Acts of Congress, with rules
adopted under 28 U.S.C. Sec. 2072, and with the circuit's local
rules.
The amendment to this rule disapproves imposing any sanction or
other disadvantage on a person for noncompliance with such a
directive, unless the alleged violator has been furnished in a
particular case with actual notice of the requirement. There should
be no adverse consequence to a party or attorney for violating
special requirements relating to practice before a particular court
unless the party or attorney has actual notice of those
requirements.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language of the rule is amended to make the rule more easily
understood. In addition to changes made to improve the
understanding, the Advisory Committee has changed language to make
style and terminology consistent throughout the appellate rules.
These changes are intended to be stylistic only.

-End-



-CITE-
28 USC APPENDIX Rule 48 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
TITLE VII. GENERAL PROVISIONS

-HEAD-
Rule 48. Masters

-STATUTE-
(a) Appointment; Powers. A court of appeals may appoint a special
master to hold hearings, if necessary, and to recommend factual
findings and disposition in matters ancillary to proceedings in the
court. Unless the order referring a matter to a master specifies or
limits the master's powers, those powers include, but are not
limited to, the following:
(1) regulating all aspects of a hearing;
(2) taking all appropriate action for the efficient performance
of the master's duties under the order;
(3) requiring the production of evidence on all matters
embraced in the reference; and
(4) administering oaths and examining witnesses and parties.

(b) Compensation. If the master is not a judge or court employee,
the court must determine the master's compensation and whether the
cost is to be charged to any party.

-SOURCE-
(As amended Apr. 29, 1994, eff. Dec. 1, 1994; Apr. 24, 1998, eff.
Dec. 1, 1998.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1994 AMENDMENT
The text of the existing Rule 48 concerning the title was moved
to Rule 1.
This new Rule 48 authorizes a court of appeals to appoint a
special master to make recommendations concerning ancillary
matters. The courts of appeals have long used masters in contempt
proceedings where the issue is compliance with an enforcement
order. See Polish National Alliance v. NLRB, 159 F.2d 38 (7th Cir.
1946), NLRB v. Arcade-Sunshine Co., 132 F.2d 8 (D.C. Cir. 1942);
NLRB v. Remington Rand, Inc., 130 F.2d 919 (2d Cir. 1942). There
are other instances when the question before a court of appeals
requires a factual determination. An application for fees or
eligibility for Criminal Justice Act status on appeal are examples.
Ordinarily when a factual issue is unresolved, a court of appeals
remands the case to the district court or agency that originally
heard the case. It is not the Committee's intent to alter that
practice. However, when factual issues arise in the first instance
in the court of appeals, such as fees for representation on appeal,
it would be useful to have authority to refer such determinations
to a master for a recommendation.

COMMITTEE NOTES ON RULES - 1998 AMENDMENT
The language and organization of the rule are amended to make the
rule more easily understood. In addition to changes made to improve
the understanding, the Advisory Committee has changed language to
make style and terminology consistent throughout the appellate
rules. These changes are intended to be stylistic only.

-End-


-CITE-
28 USC APPENDIX APPENDIX OF FORMS 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
APPENDIX OF FORMS

-HEAD-
APPENDIX OF FORMS

-End-



-CITE-
28 USC APPENDIX Form 1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
APPENDIX OF FORMS

-HEAD-
Form 1. Notice of Appeal to a Court of Appeals From a Judgment or
Order of a District Court

-STATUTE-

UNITED STATES DISTRICT COURT FOR THE ____ DISTRICT OF ______
FILE NUMBER ____
A.B., Plaintiff
v.
] Notice of Appeal
C. D., Defendant

Notice is hereby given that ___(here name all parties taking the
appeal)___, (plaintiffs) (defendants) in the above named case,*
hereby appeal to the United States Court of Appeals for the ___
Circuit (from the final judgment) (from an order (describing it))
entered in this action on the ___ day of _________, 20_.
(s)____________
Attorney for ______
Address: ________

* See Rule 3(c) for permissible ways of identifying appellants.

-SOURCE-
(As amended Apr. 22, 1993, eff. Dec. 1, 1993; Mar. 27, 2003, eff.
Dec. 1, 2003.)


-End-



-CITE-
28 USC APPENDIX Form 2 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
APPENDIX OF FORMS

-HEAD-
Form 2. Notice of Appeal to a Court of Appeals From a Decision of
the United States Tax Court

-STATUTE-

UNITED STATES TAX COURT
WASHINGTON, D.C.
A.B., Petitioner
v.
Commissioner of
] Docket No.____
Internal Revenue,
Respondent
Notice of Appeal
Notice is hereby given that ___(here name all parties taking the
appeal) *___ hereby appeal to the United States Court of Appeals
for the ___ Circuit from (that part of) the decision of this court
entered in the above captioned proceeding on the ____ day of
___________, 20_ (relating to __________).
(s)____________
Counsel for ______
Address: ________

* See Rule 3(c) for permissible ways of identifying appellants.

-SOURCE-
(As amended Apr. 22, 1993, eff. Dec. 1, 1993; Mar. 27, 2003, eff.
Dec. 1, 2003.)


-End-



-CITE-
28 USC APPENDIX Form 3 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
APPENDIX OF FORMS

-HEAD-
Form 3. Petition for Review of Order of an Agency, Board,
Commission or Officer

-STATUTE-
UNITED STATES COURT OF APPEALS
FOR THE ____ CIRCUIT

A.B., Petitioner

v.

XYZ Commission,

] Petition for Review

Respondent

___(here name all parties bringing the petition) *___ hereby
petition the court for review of the Order of the XYZ Commission
(describe the order) entered on _____, 20_.
(s)_____________,
Attorney for Petitioners
Address:_________

* See Rule 15.

-SOURCE-
(As amended Apr. 22, 1993, eff. Dec. 1, 1993; Mar. 27, 2003, eff.
Dec. 1, 2003.)

-End-



-CITE-
28 USC APPENDIX Form 4 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
APPENDIX OF FORMS

-HEAD-
Form 4. Affidavit to Accompany Motion for Leave to Appeal in Forma
Pauperis


-STATUTE-
<p><img src="http://uscode.house.gov/images/code06/Apf4p1.gif" height=579 alt="Image of item"><p>

<p><img src="http://uscode.house.gov/images/code06/Apf4p2.gif" width=576 height=579 alt="Image of item"><p>

<p><img src="http://uscode.house.gov/images/code06/Apf4p3.gif" width=576 height=579 alt="Image of item"><p>

<p><img src="http://uscode.house.gov/images/code06/Apf4p4.gif" width=576 height=579 alt="Image of item"><p>

(AS AMENDED APR. 24, 1998, EFF. DEC. 1, 1998.)

-End-



-CITE-
28 USC APPENDIX Form 5 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF APPELLATE PROCEDURE
APPENDIX OF FORMS

-HEAD-
Form 5. Notice of Appeal to a Court of Appeals from a Judgment or
Order of a District Court or a Bankruptcy Appellate Panel

-STATUTE-
UNITED STATES DISTRICT COURT FOR THE ____
DISTRICT OF ______

<p><img src="http://uscode.house.gov/images/code06/28AApF5.gif" width=576 height=579 alt="Image of item"><p>


Notice of Appeal to United States Court of Appeals for the ______
Circuit
________, the plaintiff [or defendant or other party] appeals to
the United States Court of Appeals for the ______ Circuit from the
final judgment [or order or decree] of the district court for the
district of ______ [or bankruptcy appellate panel of the ______
circuit], entered in this case on ______, 20__ [here describe the
judgment, order, or decree] __________
The parties to the judgment [or order or decree] appealed from
and the names and addresses of their respective attorneys are as
follows:
Dated ____________
Signed ____________
Attorney for Appellant
Address: ___________
______________

-SOURCE-
(As added Apr. 25, 1989, eff. Dec. 1, 1989; amended Mar. 27, 2003,
eff. Dec. 1, 2003.)

Form 6


-MISC1-
<p><img src="http://uscode.house.gov/images/code06/28af6.gif" width=576 height=579 alt="Image of item"><p>


-SOURCE-
(As added Apr. 29, 2002, eff. Dec. 1, 2002.)


-MISC1-
COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Changes Made After Publication and Comments. No changes were made
to the text of the proposed amendment or to the Committee Note.
TITLE 28, APPENDIX - RULES OF CIVIL PROCEDURE

-End-


-CITE-
28 USC APPENDIX FEDERAL RULES OF CIVIL PROCEDURE 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE

-HEAD-
FEDERAL RULES OF CIVIL PROCEDURE


-MISC1-
(AS AMENDED TO JANUARY 3, 2007)



HISTORICAL NOTE
The original Rules of Civil Procedure for the District Courts
were adopted by order of the Supreme Court on Dec. 20, 1937,
transmitted to Congress by the Attorney General on Jan. 3, 1938,
and became effective on Sept. 16, 1938.
The Rules have been amended Dec. 28, 1939, eff. Apr. 3, 1941;
Dec. 27, 1946, eff. Mar. 19, 1948; Dec. 29, 1948, eff. Oct. 20,
1949; Apr. 30, 1951, eff. Aug. 1, 1951; Apr. 17, 1961, eff. July
19, 1961; Jan. 21, 1963, eff. July 1, 1963; Feb. 28, 1966, eff.
July 1, 1966; Dec. 4, 1967, eff. July 1, 1968; Mar. 30, 1970, eff.
July 1, 1970; Mar. 1, 1971, eff. July 1, 1971; Nov. 20, 1972, and
Dec. 18, 1972, eff. July 1, 1975; Apr. 29, 1980, eff. Aug. 1, 1980;
Oct. 21, 1980, Pub. L. 96-481, title II, Sec. 205(a), (b), 94 Stat.
2330; Jan. 12, 1983, Pub. L. 97-462, Secs. 2-4, 96 Stat. 2527-2530,
eff. Feb. 26, 1983; Apr. 28, 1983, eff. Aug. 1, 1983; Apr. 29,
1985, eff. Aug. 1, 1985; Mar. 2, 1987, eff. Aug. 1, 1987; Apr. 25,
1988, eff. Aug. 1, 1988; Nov. 18, 1988, Pub. L. 100-690, title VII,
Secs. 7047(b), 7049, 7050, 102 Stat. 4401; Apr. 30, 1991, eff. Dec.
1, 1991; Dec. 9, 1991, Pub. L. 102-198, Sec. 11, 105 Stat. 1626;
Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 27, 1995, eff. Dec. 1, 1995;
Apr. 23, 1996, eff. Dec. 1, 1996; Apr. 11, 1997, eff. Dec. 1, 1997;
Apr. 24, 1998, eff. Dec. 1, 1998; Apr. 26, 1999, eff. Dec. 1, 1999;
Apr. 17, 2000, eff. Dec. 1, 2000; Apr. 23, 2001, eff. Dec. 1, 2001;
Apr. 29, 2002, eff. Dec. 1, 2002; Mar. 27, 2003, eff. Dec. 1, 2003;
Apr. 25, 2005, eff. Dec. 1, 2005; Apr. 12, 2006, eff. Dec. 1, 2006.

I. SCOPE OF RULES - ONE FORM OF ACTION
Rule
1. Scope and Purpose of Rules.
2. One Form of Action.

II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS
3. Commencement of Action.
4. Summons.
4.1. Service of Other Process.
5. Service and Filing of Pleadings and Other Papers.
5.1. Constitutional Challenge to a Statute - Notice,
Certification, and Intervention.
6. Time.

III. PLEADINGS AND MOTIONS
7. Pleadings Allowed; Form of Motions.
7.1. Disclosure Statement.
8. General Rules of Pleading.
9. Pleading Special Matters.
10. Form of Pleadings.
11. Signing of Pleadings, Motions, and Other Papers;
Representations to Court; Sanctions.
12. Defenses and Objections - When and How Presented - By
Pleading or Motion - Motion for Judgment on the
Pleadings.
13. Counterclaim and Cross-Claim.
14. Third-Party Practice.
15. Amended and Supplemental Pleadings.
16. Pretrial Conferences; Scheduling; Management.

IV. PARTIES
17. Parties Plaintiff and Defendant; Capacity.
18. Joinder of Claims and Remedies.
19. Joinder of Persons Needed for Just Adjudication.
20. Permissive Joinder of Parties.
21. Misjoinder and Non-Joinder of Parties.
22. Interpleader.
23. Class Actions.
23.1. Derivative Actions by Shareholders.
23.2. Actions Relating to Unincorporated Associations.
24. Intervention.
25. Substitution of Parties.

V. DEPOSITIONS AND DISCOVERY
26. General Provisions Governing Discovery; Duty of
Disclosure.
27. Depositions Before Action or Pending Appeal.
28. Persons Before Whom Depositions May Be Taken.
29. Stipulations Regarding Discovery Procedure.
30. Depositions Upon Oral Examination.
31. Depositions Upon Written Questions.
32. Use of Depositions in Court Proceedings.
33. Interrogatories to Parties.
34. Production of Documents, Electronically Stored
Information, and Things and Entry Upon Land for
Inspection and Other Purposes.
35. Physical and Mental Examinations of Persons.
36. Requests for Admission.
37. Failure to Make Disclosures or Cooperate in Discovery;
Sanctions.

VI. TRIALS
38. Jury Trial of Right.
39. Trial by Jury or by the Court.
40. Assignment of Cases for Trial.
41. Dismissal of Actions.
42. Consolidation; Separate Trials.
43. Taking of Testimony.
44. Proof of Official Record.
44.1. Determination of Foreign Law.
45. Subpoena.
46. Exceptions Unnecessary.
47. Selection of Jurors.
48. Number of Jurors - Participation in Verdict.
49. Special Verdicts and Interrogatories.
50. Judgment as a Matter of Law in Jury Trials;
Alternative Motion for New Trial; Conditional
Rulings.
51. Instructions to Jury; Objections; Preserving a Claim
of Error.
52. Findings by the Court; Judgment on Partial Findings.
53. Masters.

VII. JUDGMENT
54. Judgments; Costs.
55. Default.
56. Summary Judgment.
57. Declaratory Judgments.
58. Entry of Judgment.
59. New Trials; Amendment of Judgments.
60. Relief From Judgment or Order.
61. Harmless Error.
62. Stay of Proceedings To Enforce a Judgment.
63. Inability of a Judge to Proceed.

VIII. PROVISIONAL AND FINAL REMEDIES
64. Seizure of Person or Property.
65. Injunctions.
65.1. Security: Proceedings Against Sureties.
66. Receivers Appointed by Federal Courts.
67. Deposit in Court.
68. Offer of Judgment.
69. Execution.
70. Judgment for Specific Acts; Vesting Title.
71. Process in Behalf of and Against Persons Not Parties.

IX. SPECIAL PROCEEDINGS
71A. Condemnation of Property.
72. Magistrate Judges; Pretrial Orders.
73. Magistrate Judges; Trial by Consent and Appeal.
[74 to 76. Abrogated.]

X. DISTRICT COURTS AND CLERKS
77. District Courts and Clerks.
78. Motion Day.
79. Books and Records Kept by the Clerk and Entries
Therein.
80. Stenographer; Stenographic Report or Transcript as
Evidence.

XI. GENERAL PROVISIONS
81. Applicability in General.
82. Jurisdiction and Venue Unaffected.
83. Rules by District Courts; Judge's Directives.
84. Forms.
85. Title.
86. Effective Date.

APPENDIX OF FORMS
Form
1. Summons.
1A. Notice of Lawsuit and Request for Waiver of Service of
Summons.
1B. Waiver of Service of Summons.
2. Allegation of Jurisdiction.
3. Complaint on a Promissory Note.
4. Complaint on an Account.
5. Complaint for Goods Sold and Delivered.
6. Complaint for Money Lent.
7. Complaint for Money Paid by Mistake.
8. Complaint for Money Had and Received.
9. Complaint for Negligence.
10. Complaint for Negligence Where Plaintiff Is Unable To
Determine Definitely Whether the Person Responsible
Is C.D. or E.F. or Whether Both Are Responsible and
Where His Evidence May Justify a Finding of
Wilfulness or of Recklessness or of Negligence.
11. Complaint for Conversion.
12. Complaint for Specific Performance of Contract To
Convey Land.
13. Complaint on Claim for Debt and To Set Aside
Fraudulent Conveyance Under Rule 18(b).
14. Complaint for Negligence Under Federal Employer's
Liability Act.
15. Complaint for Damages Under Merchant Marine Act.
16. Complaint for Infringement of Patent.
17. Complaint for Infringement of Copyright and Unfair
Competition.
18. Complaint for Interpleader and Declaratory Relief.
[18-A. Abrogated.]
19. Motion To Dismiss, Presenting Defenses of Failure To
State a Claim, of Lack of Service of Process, of
Improper Venue, and of Lack of Jurisdiction Under
Rule 12(b).
20. Answer Presenting Defenses Under Rule 12(b).
21. Answer to Complaint Set Forth in Form 8, With
Counterclaim for Interpleader.
[22. Eliminated.]
22-A. Summons and Complaint Against Third-Party Defendant.
22-B. Motion To Bring in Third-Party Defendant.
23. Motion To Intervene as a Defendant under Rule 24.
24. Request for Production of Documents, etc., Under Rule
34.
25. Request for Admission Under Rule 36.
26. Allegation of Reason for Omitting Party.
[27. Abrogated.]
28. Notice: Condemnation.
29. Complaint: Condemnation.
30. Suggestion of Death Upon the Record Under Rule
25(a)(1).
31. Judgment on Jury Verdict.
32. Judgment on Decision by the Court.
33. Notice of Availability of a Magistrate Judge to
Exercise Jurisdiction.
34. Consent to Exercise of Jurisdiction by a United States
Magistrate Judge.
34A. Order of Reference.
35. Report of Parties' Planning Meeting.

SUPPLEMENTAL RULES FOR ADMIRALTY OR MARITIME CLAIMS AND ASSET
FORFEITURE ACTIONS
Rule
A. Scope of Rules.
B. In Personam Actions: Attachment and Garnishment.
C. In Rem Actions: Special Provisions.
D. Possessory, Petitory, and Partition Actions.
E. Actions in Rem and Quasi in Rem: General Provisions.
F. Limitation of Liability.
G. Forfeiture Actions in Rem.


REFERENCES TO EQUITY RULES
The Federal Rules of Civil Procedure supplant the Equity Rules
since in general they cover the field now covered by the Equity
Rules and the Conformity Act (former section 724 of this title).
This table shows the Equity Rules to which references are made in
the notes to the Federal Rules of Civil Procedure.


Equity Rules Federal Rules
of Civil
Procedure
--------------------------------------------------------------------
1 77
2 77
3 79
4 77
5 77
6 78
7 4, 70
8 6, 70
9 70
10 18, 54
11 71
12 3, 4, 5, 12, 55
13 4
14 4
15 4, 45
16 6, 55
17 55
18 7, 8
19 1, 15, 61
20 12
21 11, 12
22 1
23 1, 39
24 11
25 8, 9, 10, 19
26 18, 20, 82
27 23
28 15
29 7, 12, 42, 55
30 8, 13, 82
31 7, 8, 12, 55
32 15
33 7, 12
34 15
35 15
36 11
37 17, 19, 20, 24
38 23
39 19
40 20
41 17
42 19, 20
43 12, 21
44 12, 21
45 25
46 43, 61
47 26
48 43
49 53
50 30, 80
51 30, 53
52 45, 53
53 53
54 26
55 30
56 40
57 40
58 26, 33, 34, 36
59 53
60 53
61 53
61 1/2 53
62 53
63 53
64 26
65 53
66 53
67 53
68 53
69 59
70 17
70 1/2 52
71 54
72 60, 61
73 65
74 62
75 75
76 75
77 76
78 43
79 83
80 6
81 86
--------------------------------------------------------------------


RULES OF CIVIL PROCEDURE FOR THE UNITED STATES DISTRICT COURTS (!1)


-FOOTNOTE-

(!1) Title amended December 29, 1948, effective October 20,
1949.


-End-


-CITE-
28 USC APPENDIX I. SCOPE OF RULES - ONE FORM OF
ACTION 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
I. SCOPE OF RULES - ONE FORM OF ACTION

-HEAD-
I. SCOPE OF RULES - ONE FORM OF ACTION

-End-



-CITE-
28 USC APPENDIX Rule 1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
I. SCOPE OF RULES - ONE FORM OF ACTION

-HEAD-
Rule 1. Scope and Purpose of Rules

-STATUTE-
These rules govern the procedure in the United States district
courts in all suits of a civil nature whether cognizable as cases
at law or in equity or in admiralty, with the exceptions stated in
Rule 81. They shall be construed and administered to secure the
just, speedy, and inexpensive determination of every action.

-SOURCE-
(As amended Dec. 29, 1948, eff. Oct. 20, 1949; Feb. 28, 1966, eff.
July 1, 1966; Apr. 22, 1993, eff. Dec. 1, 1993.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
1. Rule 81 states certain limitations in the application of these
rules to enumerated special proceedings.
2. The expression "district courts of the United States"
appearing in the statute authorizing the Supreme Court of the
United States to promulgate rules of civil procedure does not
include the district courts held in the Territories and insular
possessions. See Mookini et al. v. United States, 303 U.S. 201, 58
S.Ct. 543, 82 L.Ed. 748 (1938).
3. These rules are drawn under the authority of the act of June
19, 1934, U.S.C., Title 28, Sec. 723b [see 2072] (Rules in actions
at law; Supreme Court authorized to make), and Sec. 723c [see 2072]
(Union of equity and action at law rules; power of Supreme Court)
and also other grants of rule making power to the Court. See Clark
and Moore, A New Federal Civil Procedure - I. The Background, 44
Yale L.J. 387, 391 (1935). Under Sec. 723b after the rules have
taken effect all laws in conflict therewith are of no further force
or effect. In accordance with Sec. 723c the Court has united the
general rules prescribed for cases in equity with those in actions
at law so as to secure one form of civil action and procedure for
both. See Rule 2 (One Form of Action). For the former practice in
equity and at law see U.S.C., Title 28, Secs. 723 and 730 [see 2071
et seq.] (conferring power on the Supreme Court to make rules of
practice in equity) and the [former] Equity Rules promulgated
thereunder; U.S.C., Title 28, [former] Sec. 724 (Conformity act):
[former] Equity Rule 22 (Action at Law Erroneously Begun as Suit in
Equity - Transfer); [former] Equity Rule 23 (Matters Ordinarily
Determinable at Law When Arising in Suit in Equity to be Disposed
of Therein); U.S.C., Title 28, [former] Secs. 397 (Amendments to
pleadings when case brought to wrong side of court), and 398
(Equitable defenses and equitable relief in actions at law).
4. With the second sentence compare U.S.C., Title 28, [former]
Secs. 777 (Defects of form; amendments), 767 (Amendment of
process); [former] Equity Rule 19 (Amendments Generally).

NOTES OF ADVISORY COMMITTEE ON RULES - 1948 AMENDMENT
The change in nomenclature conforms to the official designation
of district courts in Title 28, U.S.C., Sec. 132(a).

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
This is the fundamental change necessary to effect unification of
the civil and admiralty procedure. Just as the 1938 rules abolished
the distinction between actions at law and suits in equity, this
change would abolish the distinction between civil actions and
suits in admiralty. See also Rule 81.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
The purpose of this revision, adding the words "and administered"
to the second sentence, is to recognize the affirmative duty of the
court to exercise the authority conferred by these rules to ensure
that civil litigation is resolved not only fairly, but also without
undue cost or delay. As officers of the court, attorneys share this
responsibility with the judge to whom the case is assigned.

-End-



-CITE-
28 USC APPENDIX Rule 2 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
I. SCOPE OF RULES - ONE FORM OF ACTION

-HEAD-
Rule 2. One Form of Action

-STATUTE-
There shall be one form of action to be known as "civil action."


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
1. This rule modifies U.S.C., Title 28, [former] Sec. 384 (Suits
in equity, when not sustainable). U.S.C., Title 28, Secs. 723 and
730 [see 2071 et seq.] (conferring power on the Supreme Court to
make rules of practice in equity), are unaffected insofar as they
relate to the rule making power in admiralty. These sections,
together with Sec. 723b [see 2072] (Rules in actions at law;
Supreme Court authorized to make) are continued insofar as they are
not inconsistent with Sec. 723c [see 2072] (Union of equity and
action at law rules; power of Supreme Court). See Note 3 to Rule 1.
U.S.C., Title 28, [former] Secs. 724 (Conformity act), 397
(Amendments to pleadings when case brought to wrong side of court)
and 398 (Equitable defenses and equitable relief in actions at law)
are superseded.
2. Reference to actions at law or suits in equity in all statutes
should now be treated as referring to the civil action prescribed
in these rules.
3. This rule follows in substance the usual introductory
statements to code practices which provide for a single action and
mode of procedure, with abolition of forms of action and procedural
distinctions. Representative statutes are N.Y. Code 1848 (Laws
1848, ch. 379) Sec. 62; N.Y.C.P.A. (1937) Sec. 8; Calif.Code
Civ.Proc. (Deering, 1937) Sec. 307; 2 Minn.Stat. (Mason, 1927) Sec.
9164; 2 Wash.Rev.Stat.Ann. (Remington, 1932) Secs. 153, 255.

-End-


-CITE-
28 USC APPENDIX II. COMMENCEMENT OF ACTION;
SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-End-



-CITE-
28 USC APPENDIX Rule 3 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
Rule 3. Commencement of Action

-STATUTE-
A civil action is commenced by filing a complaint with the court.


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
1. Rule 5(e) defines what constitutes filing with the court.
2. This rule governs the commencement of all actions, including
those brought by or against the United States or an officer or
agency thereof, regardless of whether service is to be made
personally pursuant to Rule 4(d), or otherwise pursuant to Rule
4(e).
3. With this rule compare [former] Equity Rule 12 (Issue of
Subpoena - Time for Answer) and the following statutes (and other
similar statutes) which provide a similar method for commencing an
action:

U.S.C., Title 28:

Sec. 45 [former] (District courts; practice and procedure in
certain cases under interstate commerce laws).
Sec. 762 [see 1402] (Petition in suit against United States).
Sec. 766 [see 2409] (Partition suits where United States is tenant
in common or joint tenant).

4. This rule provides that the first step in an action is the
filing of the complaint. Under Rule 4(a) this is to be followed
forthwith by issuance of a summons and its delivery to an officer
for service. Other rules providing for dismissal for failure to
prosecute suggest a method available to attack unreasonable delay
in prosecuting an action after it has been commenced. When a
Federal or State statute of limitations is pleaded as a defense, a
question may arise under this rule whether the mere filing of the
complaint stops the running of the statute, or whether any further
step is required, such as, service of the summons and complaint or
their delivery to the marshal for service. The answer to this
question may depend on whether it is competent for the Supreme
Court, exercising the power to make rules of procedure without
affecting substantive rights, to vary the operation of statutes of
limitations. The requirement of Rule 4(a) that the clerk shall
forthwith issue the summons and deliver it to the marshal for
service will reduce the chances of such a question arising.

-End-



-CITE-
28 USC APPENDIX Rule 4 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
Rule 4. Summons

-STATUTE-
(a) Form. The summons shall be signed by the clerk, bear the seal
of the court, identify the court and the parties, be directed to
the defendant, and state the name and address of the plaintiff's
attorney or, if unrepresented, of the plaintiff. It shall also
state the time within which the defendant must appear and defend,
and notify the defendant that failure to do so will result in a
judgment by default against the defendant for the relief demanded
in the complaint. The court may allow a summons to be amended.
(b) Issuance. Upon or after filing the complaint, the plaintiff
may present a summons to the clerk for signature and seal. If the
summons is in proper form, the clerk shall sign, seal, and issue it
to the plaintiff for service on the defendant. A summons, or a copy
of the summons if addressed to multiple defendants, shall be issued
for each defendant to be served.
(c) Service with Complaint; by Whom Made.
(1) A summons shall be served together with a copy of the
complaint. The plaintiff is responsible for service of a summons
and complaint within the time allowed under subdivision (m) and
shall furnish the person effecting service with the necessary
copies of the summons and complaint.
(2) Service may be effected by any person who is not a party
and who is at least 18 years of age. At the request of the
plaintiff, however, the court may direct that service be effected
by a United States marshal, deputy United States marshal, or
other person or officer specially appointed by the court for that
purpose. Such an appointment must be made when the plaintiff is
authorized to proceed in forma pauperis pursuant to 28 U.S.C.
Sec. 1915 or is authorized to proceed as a seaman under 28 U.S.C.
Sec. 1916.

(d) Waiver of Service; Duty to Save Costs of Service; Request to
Waive.
(1) A defendant who waives service of a summons does not
thereby waive any objection to the venue or to the jurisdiction
of the court over the person of the defendant.
(2) An individual, corporation, or association that is subject
to service under subdivision (e), (f), or (h) and that receives
notice of an action in the manner provided in this paragraph has
a duty to avoid unnecessary costs of serving the summons. To
avoid costs, the plaintiff may notify such a defendant of the
commencement of the action and request that the defendant waive
service of a summons. The notice and request
(A) shall be in writing and shall be addressed directly to
the defendant, if an individual, or else to an officer or
managing or general agent (or other agent authorized by
appointment or law to receive service of process) of a
defendant subject to service under subdivision (h);
(B) shall be dispatched through first-class mail or other
reliable means;
(C) shall be accompanied by a copy of the complaint and shall
identify the court in which it has been filed;
(D) shall inform the defendant, by means of a text prescribed
in an official form promulgated pursuant to Rule 84, of the
consequences of compliance and of a failure to comply with the
request;
(E) shall set forth the date on which the request is sent;
(F) shall allow the defendant a reasonable time to return the
waiver, which shall be at least 30 days from the date on which
the request is sent, or 60 days from that date if the defendant
is addressed outside any judicial district of the United
States; and
(G) shall provide the defendant with an extra copy of the
notice and request, as well as a prepaid means of compliance in
writing.

If a defendant located within the United States fails to comply
with a request for waiver made by a plaintiff located within the
United States, the court shall impose the costs subsequently
incurred in effecting service on the defendant unless good cause
for the failure be shown.
(3) A defendant that, before being served with process, timely
returns a waiver so requested is not required to serve an answer
to the complaint until 60 days after the date on which the
request for waiver of service was sent, or 90 days after that
date if the defendant was addressed outside any judicial district
of the United States.
(4) When the plaintiff files a waiver of service with the
court, the action shall proceed, except as provided in paragraph
(3), as if a summons and complaint had been served at the time of
filing the waiver, and no proof of service shall be required.
(5) The costs to be imposed on a defendant under paragraph (2)
for failure to comply with a request to waive service of a
summons shall include the costs subsequently incurred in
effecting service under subdivision (e), (f), or (h), together
with the costs, including a reasonable attorney's fee, of any
motion required to collect the costs of service.

(e) Service Upon Individuals Within a Judicial District of the
United States. Unless otherwise provided by federal law, service
upon an individual from whom a waiver has not been obtained and
filed, other than an infant or an incompetent person, may be
effected in any judicial district of the United States:
(1) pursuant to the law of the state in which the district
court is located, or in which service is effected, for the
service of a summons upon the defendant in an action brought in
the courts of general jurisdiction of the State; or
(2) by delivering a copy of the summons and of the complaint to
the individual personally or by leaving copies thereof at the
individual's dwelling house or usual place of abode with some
person of suitable age and discretion then residing therein or by
delivering a copy of the summons and of the complaint to an agent
authorized by appointment or by law to receive service of
process.

(f) Service Upon Individuals in a Foreign Country. Unless
otherwise provided by federal law, service upon an individual from
whom a waiver has not been obtained and filed, other than an infant
or an incompetent person, may be effected in a place not within any
judicial district of the United States:
(1) by any internationally agreed means reasonably calculated
to give notice, such as those means authorized by the Hague
Convention on the Service Abroad of Judicial and Extrajudicial
Documents; or
(2) if there is no internationally agreed means of service or
the applicable international agreement allows other means of
service, provided that service is reasonably calculated to give
notice:
(A) in the manner prescribed by the law of the foreign
country for service in that country in an action in any of its
courts of general jurisdiction; or
(B) as directed by the foreign authority in response to a
letter rogatory or letter of request; or
(C) unless prohibited by the law of the foreign country, by
(i) delivery to the individual personally of a copy of the
summons and the complaint; or
(ii) any form of mail requiring a signed receipt, to be
addressed and dispatched by the clerk of the court to the
party to be served; or

(3) by other means not prohibited by international agreement as
may be directed by the court.

(g) Service Upon Infants and Incompetent Persons. Service upon an
infant or an incompetent person in a judicial district of the
United States shall be effected in the manner prescribed by the law
of the state in which the service is made for the service of
summons or other like process upon any such defendant in an action
brought in the courts of general jurisdiction of that state.
Service upon an infant or an incompetent person in a place not
within any judicial district of the United States shall be effected
in the manner prescribed by paragraph (2)(A) or (2)(B) of
subdivision (f) or by such means as the court may direct.
(h) Service Upon Corporations and Associations. Unless otherwise
provided by federal law, service upon a domestic or foreign
corporation or upon a partnership or other unincorporated
association that is subject to suit under a common name, and from
which a waiver of service has not been obtained and filed, shall be
effected:
(1) in a judicial district of the United States in the manner
prescribed for individuals by subdivision (e)(1), or by
delivering a copy of the summons and of the complaint to an
officer, a managing or general agent, or to any other agent
authorized by appointment or by law to receive service of process
and, if the agent is one authorized by statute to receive service
and the statute so requires, by also mailing a copy to the
defendant, or
(2) in a place not within any judicial district of the United
States in any manner prescribed for individuals by subdivision
(f) except personal delivery as provided in paragraph (2)(C)(i)
thereof.

(i) Serving the United States, Its Agencies, Corporations,
Officers, or Employees.
(1) Service upon the United States shall be effected
(A) by delivering a copy of the summons and of the complaint
to the United States attorney for the district in which the
action is brought or to an assistant United States attorney or
clerical employee designated by the United States attorney in a
writing filed with the clerk of the court or by sending a copy
of the summons and of the complaint by registered or certified
mail addressed to the civil process clerk at the office of the
United States attorney and
(B) by also sending a copy of the summons and of the
complaint by registered or certified mail to the Attorney
General of the United States at Washington, District of
Columbia, and
(C) in any action attacking the validity of an order of an
officer or agency of the United States not made a party, by
also sending a copy of the summons and of the complaint by
registered or certified mail to the officer or agency.

(2)(A) Service on an agency or corporation of the United
States, or an officer or employee of the United States sued only
in an official capacity, is effected by serving the United States
in the manner prescribed by Rule 4(i)(1) and by also sending a
copy of the summons and complaint by registered or certified mail
to the officer, employee, agency, or corporation.
(B) Service on an officer or employee of the United States sued
in an individual capacity for acts or omissions occurring in
connection with the performance of duties on behalf of the United
States - whether or not the officer or employee is sued also in
an official capacity - is effected by serving the United States
in the manner prescribed by Rule 4(i)(1) and by serving the
officer or employee in the manner prescribed by Rule 4(e), (f),
or (g).
(3) The court shall allow a reasonable time to serve process
under Rule 4(i) for the purpose of curing the failure to serve:
(A) all persons required to be served in an action governed
by Rule 4(i)(2)(A), if the plaintiff has served either the
United States attorney or the Attorney General of the United
States, or
(B) the United States in an action governed by Rule
4(i)(2)(B), if the plaintiff has served an officer or employee
of the United States sued in an individual capacity.

(j) Service Upon Foreign, State, or Local Governments.
(1) Service upon a foreign state or a political subdivision,
agency, or instrumentality thereof shall be effected pursuant to
28 U.S.C. Sec. 1608.
(2) Service upon a state, municipal corporation, or other
governmental organization subject to suit shall be effected by
delivering a copy of the summons and of the complaint to its
chief executive officer or by serving the summons and complaint
in the manner prescribed by the law of that state for the service
of summons or other like process upon any such defendant.

(k) Territorial Limits of Effective Service.
(1) Service of a summons or filing a waiver of service is
effective to establish jurisdiction over the person of a
defendant
(A) who could be subjected to the jurisdiction of a court of
general jurisdiction in the state in which the district court
is located, or
(B) who is a party joined under Rule 14 or Rule 19 and is
served at a place within a judicial district of the United
States and not more than 100 miles from the place from which
the summons issues, or
(C) who is subject to the federal interpleader jurisdiction
under 28 U.S.C. Sec. 1335, or
(D) when authorized by a statute of the United States.

(2) If the exercise of jurisdiction is consistent with the
Constitution and laws of the United States, serving a summons or
filing a waiver of service is also effective, with respect to
claims arising under federal law, to establish personal
jurisdiction over the person of any defendant who is not subject
to the jurisdiction of the courts of general jurisdiction of any
state.

(l) Proof of Service. If service is not waived, the person
effecting service shall make proof thereof to the court. If service
is made by a person other than a United States marshal or deputy
United States marshal, the person shall make affidavit thereof.
Proof of service in a place not within any judicial district of the
United States shall, if effected under paragraph (1) of subdivision
(f), be made pursuant to the applicable treaty or convention, and
shall, if effected under paragraph (2) or (3) thereof, include a
receipt signed by the addressee or other evidence of delivery to
the addressee satisfactory to the court. Failure to make proof of
service does not affect the validity of the service. The court may
allow proof of service to be amended.
(m) Time Limit for Service. If service of the summons and
complaint is not made upon a defendant within 120 days after the
filing of the complaint, the court, upon motion or on its own
initiative after notice to the plaintiff, shall dismiss the action
without prejudice as to that defendant or direct that service be
effected within a specified time; provided that if the plaintiff
shows good cause for the failure, the court shall extend the time
for service for an appropriate period. This subdivision does not
apply to service in a foreign country pursuant to subdivision (f)
or (j)(1).
(n) Seizure of Property; Service of Summons Not Feasible.
(1) If a statute of the United States so provides, the court
may assert jurisdiction over property. Notice to claimants of the
property shall then be sent in the manner provided by the statute
or by service of a summons under this rule.
(2) Upon a showing that personal jurisdiction over a defendant
cannot, in the district where the action is brought, be obtained
with reasonable efforts by service of summons in any manner
authorized by this rule, the court may assert jurisdiction over
any of the defendant's assets found within the district by
seizing the assets under the circumstances and in the manner
provided by the law of the state in which the district court is
located.

-SOURCE-
(As amended Jan. 21, 1963, eff. July 1, 1963; Feb. 28, 1966, eff.
July 1, 1966; Apr. 29, 1980, eff. Aug. 1, 1980; Pub. L. 97-462,
Sec. 2, Jan. 12, 1983, 96 Stat. 2527; Mar. 2, 1987, eff. Aug. 1,
1987; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 17, 2000, eff. Dec. 1,
2000.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivision (a). With the provision permitting additional
summons upon request of the plaintiff compare [former] Equity Rule
14 (Alias Subpoena) and the last sentence of [former] Equity Rule
12 (Issue of Subpoena - Time for Answer).
Note to Subdivision (b). This rule prescribes a form of summons
which follows substantially the requirements stated in [former]
Equity Rules 12 (Issue of Subpoena - Time for Answer) and 7
(Process, Mesne and Final).
U.S.C., Title 28, Sec. 721 [now 1691] (Sealing and testing of
writs) is substantially continued insofar as it applies to a
summons, but its requirements as to teste of process are
superseded. U.S.C., Title 28, [former] Sec. 722 (Teste of process,
day of), is superseded.
See Rule 12(a) for a statement of the time within which the
defendant is required to appear and defend.
Note to Subdivision (c). This rule does not affect U.S.C., Title
28, Sec. 503 [see 566], as amended June 15, 1935 (Marshals; duties)
and such statutes as the following insofar as they provide for
service of process by a marshal, but modifies them insofar as they
may imply service by a marshal only:

U.S.C., Title 15:

Sec. 5 (Bringing in additional parties) (Sherman Act)
Sec. 10 (Bringing in additional parties)
Sec. 25 (Restraining violations; procedure)

U.S.C., Title 28:

Sec. 45 [former] (Practice and procedure in certain cases under
the interstate commerce laws)

Compare [former] Equity Rule 15 (Process, by Whom Served).
Note to Subdivision (d). Under this rule the complaint must
always be served with the summons.
Paragraph (1). For an example of a statute providing for service
upon an agent of an individual see U.S.C., Title 28, Sec. 109 [now
1400, 1694] (Patent cases).
Paragraph (3). This enumerates the officers and agents of a
corporation or of a partnership or other unincorporated association
upon whom service of process may be made, and permits service of
process only upon the officers, managing or general agents, or
agents authorized by appointment or by law, of the corporation,
partnership or unincorporated association against which the action
is brought. See Christian v. International Ass'n of Machinists, 7
F.(2d) 481 (D.C.Ky., 1925) and Singleton v. Order of Railway
Conductors of America, 9 F.Supp. 417 (D.C.Ill., 1935). Compare
Operative Plasterers' and Cement Finishers' International Ass'n of
the United States and Canada v. Case, 93 F.(2d) 56 (App.D.C.,
1937).
For a statute authorizing service upon a specified agent and
requiring mailing to the defendant, see U.S.C., Title 6, Sec. 7
[now Title 31, Sec. 9306] (Surety companies as sureties;
appointment of agents; service of process).
Paragraphs (4) and (5) provide a uniform and comprehensive method
of service for all actions against the United States or an officer
or agency thereof. For statutes providing for such service, see
U.S.C., Title 7, Secs. 217 (Proceedings for suspension of orders),
499k (Injunctions; application of injunction laws governing orders
of Interstate Commerce Commission), 608c(15)(B) (Court review of
ruling of Secretary of Agriculture), and 855 (making Sec.
608c(15)(B) applicable to orders of the Secretary of Agriculture as
to handlers of anti-hog-cholera serum and hog-cholera virus);
U.S.C., Title 26, [former] Sec. 1569 (Bill in chancery to clear
title to realty on which the United States has a lien for taxes);
U.S.C., Title 28, [former] Secs. 45 (District Courts; practice and
procedure in certain cases under the interstate commerce laws),
[former] 763 (Petition in suit against the United States; service;
appearance by district attorney), 766 [now 2409] (Partition suits
where United States is tenant in common or joint tenant), 902 [now
2410] (Foreclosure of mortgages or other liens on property in which
the United States has an interest). These and similar statutes are
modified insofar as they prescribe a different method of service or
dispense with the service of a summons.
For the [former] Equity Rule on service, see [former] Equity Rule
13 (Manner of Serving Subpoena).
Note to Subdivision (e). The provisions for the service of a
summons or of notice or of an order in lieu of summons contained in
U.S.C., Title 8, Sec. 405 [see 1451] (Cancellation of certificates
of citizenship fraudulently or illegally procured) (service by
publication in accordance with State law); U.S.C., Title 28, Sec.
118 [now 1655] (Absent defendants in suits to enforce liens);
U.S.C., Title 35, Sec. 72a [now 146, 291] (Jurisdiction of District
Court of United States for the District of Columbia in certain
equity suits where adverse parties reside elsewhere) (service by
publication against parties residing in foreign countries); U.S.C.,
Title 38, Sec. 445 [now 1984] (Action against the United States on
a veteran's contract of insurance) (parties not inhabitants of or
not found within the District may be served with an order of the
court, personally or by publication) and similar statutes are
continued by this rule. Title 24, Sec. 378 [now Title 13, Sec. 336]
of the Code of the District of Columbia (Publication against
nonresident; those absent for six months; unknown heirs or
devisees; for divorce or in rem; actual service beyond District) is
continued by this rule.
Note to Subdivision (f). This rule enlarges to some extent the
present rule as to where service may be made. It does not, however,
enlarge the jurisdiction of the district courts.
U.S.C., Title 28, Secs. 113 [now 1392] (Suits in States
containing more than one district) (where there are two or more
defendants residing in different districts), [former] 115 (Suits of
a local nature), 116 [now 1392] (Property in different districts in
same State), [former] 838 (Executions run in all districts of
State); U.S.C., Title 47, Sec. 13 (Action for damages against a
railroad or telegraph company whose officer or agent in control of
a telegraph line refuses or fails to operate such line in a certain
manner - "upon any agent of the company found in such state");
U.S.C., Title 49, Sec. 321(c) [see 13304(a)] (Requiring designation
of a process agent by interstate motor carriers and in case of
failure so to do, service may be made upon any agent in the State)
and similar statutes, allowing the running of process throughout a
State, are substantially continued.
U.S.C., Title 15, Secs. 5 (Bringing in additional parties)
(Sherman Act), 25 (Restraining violations; procedure); U.S.C.,
Title 28, Secs. 44 [now 2321] (Procedure in certain cases under
interstate commerce laws; service of processes of court), 117 [now
754, 1692] (Property in different States in same circuit;
jurisdiction of receiver), 839 [now 2413] (Executions; run in every
State and Territory) and similar statutes, providing for the
running of process beyond the territorial limits of a State, are
expressly continued.
Note to Subdivision (g). With the second sentence compare
[former] Equity Rule 15 (Process, by Whom Served).
Note to Subdivision (h). This rule substantially continues
U.S.C., Title 28, [former] Sec. 767 (Amendment of process).

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
Subdivision (b). Under amended subdivision (e) of this rule, an
action may be commenced against a nonresident of the State in which
the district court is held by complying with State procedures.
Frequently the form of the summons or notice required in these
cases by State law differs from the Federal form of summons
described in present subdivision (b) and exemplified in Form 1. To
avoid confusion, the amendment of subdivision (b) states that a
form of summons or notice, corresponding "as nearly as may be" to
the State form, shall be employed. See also a corresponding
amendment of Rule 12(a) with regard to the time to answer.
Subdivision (d)(4). This paragraph, governing service upon the
United States, is amended to allow the use of certified mail as an
alternative to registered mail for sending copies of the papers to
the Attorney General or to a United States officer or agency. Cf.
N.J. Rule 4:5-2. See also the amendment of Rule 30(f)(1).
Subdivision (d)(7). Formerly a question was raised whether this
paragraph, in the context of the rule as a whole, authorized
service in original Federal actions pursuant to State statutes
permitting service on a State official as a means of bringing a
nonresident motorist defendant into court. It was argued in McCoy
v. Siler, 205 F.2d 498, 501-2 (3d Cir.) (concurring opinion), cert.
denied, 346 U.S. 872, 74 S.Ct. 120, 98 L.Ed. 380 (1953), that the
effective service in those cases occurred not when the State
official was served but when notice was given to the defendant
outside the State, and that subdivision (f) (Territorial limits of
effective service), as then worded, did not authorize out-of-State
service. This contention found little support. A considerable
number of cases held the service to be good, either by fixing upon
the service on the official within the State as the effective
service, thus satisfying the wording of subdivision (f) as it then
stood, see Holbrook v. Cafiero, 18 F.R.D. 218 (D.Md. 1955);
Pasternack v. Dalo, 17 F.R.D. 420; (W.D.Pa. 1955); cf. Super Prods.
Corp. v. Parkin, 20 F.R.D. 377 (S.D.N.Y. 1957), or by reading
paragraph (7) as not limited by subdivision (f). See Griffin v.
Ensign, 234 F.2d 307 (3d Cir. 1956); 2 Moore's Federal Practice,
&#182; 4.19 (2d ed. 1948); 1 Barron & Holtzoff, Federal Practice &
Procedure Sec. 182.1 (Wright ed. 1960); Comment, 27 U. of
Chi.L.Rev. 751 (1960). See also Olberding v. Illinois Central R.R.,
201 F.2d 582 (6th Cir.), rev'd on other grounds, 346 U.S. 338, 74
S.Ct. 83, 98 L.Ed. 39 (1953); Feinsinger v. Bard, 195 F.2d 45 (7th
Cir. 1952).
An important and growing class of State statutes base personal
jurisdiction over nonresidents on the doing of acts or on other
contacts within the State, and permit notice to be given the
defendant outside the State without any requirement of service on a
local State official. See, e.g., Ill.Ann.Stat. ch. 110, Secs. 16,
17 (Smith-Hurd 1956); Wis.Stat. Sec. 262.06 (1959). This service,
employed in original Federal actions pursuant to paragraph (7), has
also been held proper. See Farr & Co. v. Cia. Intercontinental de
Nav. de Cuba, 243 F.2d 342 (2d Cir. 1957); Kappus v. Western Hills
Oil, Inc., 24 F.R.D. 123 (E.D.Wis. 1959); Star v. Rogalny, 162
F.Supp. 181 (E.D.Ill. 1957). It has also been held that the clause
of paragraph (7) which permits service "in the manner prescribed by
the law of the state," etc., is not limited by subdivision (c)
requiring that service of all process be made by certain designated
persons. See Farr & Co. v. Cia. Intercontinental de Nav. de Cuba,
supra. But cf. Sappia v. Lauro Lines, 130 F.Supp. 810 (S.D.N.Y.
1955).
The salutary results of these cases are intended to be preserved.
See paragraph (7), with a clarified reference to State law, and
amended subdivisions (e) and (f).
Subdivision (e). For the general relation between subdivisions
(d) and (e), see 2 Moore, supra, &#182; 4.32.
The amendment of the first sentence inserting the word
"thereunder" supports the original intention that the "order of
court" must be authorized by a specific United States statute. See
1 Barron & Holtzoff, supra, at 731. The clause added at the end of
the first sentence expressly adopts the view taken by commentators
that, if no manner of service is prescribed in the statute or
order, the service may be made in a manner stated in Rule 4. See 2
Moore, supra, &#182; 4.32, at 1004; Smit, International Aspects of
Federal Civil Procedure, 61 Colum.L.Rev. 1031, 1036-39 (1961). But
see Commentary, 5 Fed. Rules Serv. 791 (1942).
Examples of the statutes to which the first sentence relates are
28 U.S.C. Sec. 2361 (Interpleader; process and procedure); 28
U.S.C. Sec. 1655 (Lien enforcement; absent defendants).
The second sentence, added by amendment, expressly allows resort
in original Federal actions to the procedures provided by State law
for effecting service on nonresident parties (as well as on
domiciliaries not found within the State). See, as illustrative,
the discussion under amended subdivision (d)(7) of service pursuant
to State nonresident motorist statutes and other comparable State
statutes. Of particular interest is the change brought about by the
reference in this sentence to State procedures for commencing
actions against nonresidents by attachment and the like,
accompanied by notice. Although an action commenced in a State
court by attachment may be removed to the Federal court if ordinary
conditions for removal are satisfied, see 28 U.S.C. Sec. 1450;
Rorick v. Devon Syndicate, Ltd., 307 U.S. 299, 59 S.Ct. 877, 83
L.Ed. 1303 (1939); Clark v. Wells, 203 U.S. 164, 27 S.Ct. 43, 51
L.Ed. 138 (1906), there has heretofore been no provision recognized
by the courts for commencing an original Federal civil action by
attachment. See Currie, Attachment and Garnishment in the Federal
Courts, 59 Mich.L.Rev. 337 (1961), arguing that this result came
about through historical anomaly. Rule 64, which refers to
attachment, garnishment, and similar procedures under State law,
furnishes only provisional remedies in actions otherwise validly
commenced. See Big Vein Coal Co. v. Read, 229 U.S. 31, 33 S.Ct.
694, 57 L.Ed. 1953 (1913); Davis v. Ensign-Bickford Co., 139 F.2d
624 (8th Cir. 1944); 7 Moore's Federal Practice &#182; 64.05 (2d
ed. 1954); 3 Barron & Holtzoff, Federal Practice & Procedure Sec.
1423 (Wright ed. 1958); but cf. Note, 13 So.Calif.L.Rev. 361
(1940). The amendment will now permit the institution of original
Federal actions against nonresidents through the use of familiar
State procedures by which property of these defendants is brought
within the custody of the court and some appropriate service is
made up them.
The necessity of satisfying subject-matter jurisdictional
requirements and requirements of venue will limit the practical
utilization of these methods of effecting service. Within those
limits, however, there appears to be no reason for denying
plaintiffs means of commencing actions in Federal courts which are
generally available in the State courts. See 1 Barron & Holtzoff,
supra, at 374-80; Nordbye, Comments on Proposed Amendments to Rules
of Civil Procedure for the United States District Courts, 18 F.R.D.
105, 106 (1956); Note, 34 Corn.L.Q. 103 (1948); Note, 13
So.Calif.L.Rev. 361 (1940).
If the circumstances of a particular case satisfy the applicable
Federal law (first sentence of Rule 4(e), as amended) and the
applicable State law (second sentence), the party seeking to make
the service may proceed under the Federal or the State law, at his
option.
See also amended Rule 13(a), and the Advisory Committee's Note
thereto.
Subdivision (f). The first sentence is amended to assure the
effectiveness of service outside the territorial limits of the
State in all the cases in which any of the rules authorize service
beyond those boundaries. Besides the preceding provisions of Rule
4, see Rule 71A(d)(3). In addition, the new second sentence of the
subdivision permits effective service within a limited area outside
the State in certain special situations, namely, to bring in
additional parties to a counterclaim or cross-claim (Rule 13(h)),
impleaded parties (Rule 14), and indispensable or conditionally
necessary parties to a pending action (Rule 19); and to secure
compliance with an order of commitment for civil contempt. In those
situations effective service can be made at points not more than
100 miles distant from the courthouse in which the action is
commenced, or to which it is assigned or transferred for trial.
The bringing in of parties under the 100-mile provision in the
limited situations enumerated is designed to promote the objective
of enabling the court to determine entire controversies. In the
light of present-day facilities for communication and travel, the
territorial range of the service allowed, analogous to that which
applies to the service of a subpoena under Rule 45(e)(1), can
hardly work hardship on the parties summoned. The provision will be
especially useful in metropolitan areas spanning more than one
State. Any requirements of subject-matter jurisdiction and venue
will still have to be satisfied as to the parties brought in,
although these requirements will be eased in some instances when
the parties can be regarded as "ancillary." See Pennsylvania R.R.
v. Erie Avenue Warehouse Co., 5 F.R.Serv.2d 14a.62, Case 2 (3d Cir.
1962); Dery v. Wyer, 265 F.2d 804 (2d Cir. 1959); United Artists
Corp. v. Masterpiece Productions, Inc., 221 F.2d 213 (2d Cir.
1955); Lesnik v. Public Industrials Corp., 144 F.2d 968 (2d Cir.
1944); Vaughn v. Terminal Transp. Co., 162 F.Supp. 647 (E.D.Tenn.
1957); and compare the fifth paragraph of the Advisory Committee's
Note to Rule 4(e), as amended. The amendment is but a moderate
extension of the territorial reach of Federal process and has ample
practical justification. See 2 Moore, supra. Sec. 4.01[13] (Supp.
1960); 1 Barron & Holtzoff, supra, Sec. 184; Note, 51 Nw.U.L.Rev.
354 (1956). But cf. Nordbye, Comments on Proposed Amendments to
Rules of Civil Procedure for the United States District Courts, 18
F.R.D. 105, 106 (1956).
As to the need for enlarging the territorial area in which orders
of commitment for civil contempt may be served, see Graber v.
Graber, 93 F.Supp. 281 (D.D.C. 1950); Teele Soap Mfg. Co. v. Pine
Tree Products Co., Inc., 8 F.Supp. 546 (D.N.H. 1934); Mitchell v.
Dexter, 244 Fed. 926 (1st Cir. 1917); in re Graves, 29 Fed. 60
(N.D. Iowa 1886).
As to the Court's power to amend subdivisions (e) and (f) as here
set forth, see Mississippi Pub. Corp. v. Murphree, 326 U.S. 438, 66
S.Ct. 242, 90 L.Ed. 185 (1946).
Subdivision (i). The continual increase of civil litigation
having international elements makes it advisable to consolidate,
amplify, and clarify the provisions governing service upon parties
in foreign countries. See generally Jones, International Judicial
Assistance: Procedural Chaos and a Program for Reform, 62 Yale L.J.
515 (1953); Longley, Serving Process, Subpoenas and Other Documents
in Foreign Territory, Proc. A.B.A., Sec. Int'l & Comp. L. 34
(1959); Smit, International Aspects of Federal Civil Procedure, 61
Colum.L.Rev. 1031 (1961).
As indicated in the opening lines of new subdivision (i),
referring to the provisions of subdivision (e), the authority for
effecting foreign service must be found in a statute of the United
States or a statute or rule of court of the State in which the
district court is held providing in terms or upon proper
interpretation for service abroad upon persons not inhabitants of
or found within the State. See the Advisory Committee's Note to
amended Rule 4(d)(7) and Rule 4(e). For examples of Federal and
State statutes expressly authorizing such service, see 8 U.S.C.
Sec. 1451(b); 35 U.S.C. Secs. 146, 293; Me.Rev.Stat., ch. 22, Sec.
70 (Supp. 1961); Minn.Stat.Ann. Sec. 303.13 (1947); N.Y.Veh. &
Tfc.Law Sec. 253. Several decisions have construed statutes to
permit service in foreign countries, although the matter is not
expressly mentioned in the statutes. See, e.g., Chapman v. Superior
Court, 162 Cal.App.2d 421, 328 P.2d 23 (Dist.Ct.App. 1958); Sperry
v. Fliegers, 194 Misc. 438, 86 N.Y.S.2d 830 (Sup.Ct. 1949); Ewing
v. Thompson, 233 N.C. 564, 65 S.E.2d 17 (1951); Rushing v. Bush,
260 S.W.2d 900 (Tex.Ct.Civ.App. 1953). Federal and State statutes
authorizing service on nonresidents in such terms as to warrant the
interpretation that service abroad is permissible include 15 U.S.C.
Secs. 77v(a), 78aa, 79y; 28 U.S.C. Sec. 1655; 38 U.S.C. Sec.
784(a); Ill.Ann.Stat. ch. 110, Secs. 16, 17 (Smith-Hurd 1956);
Wis.Stat. Sec. 262.06 (1959).
Under subdivisions (e) and (i), when authority to make foreign
service is found in a Federal statute or statute or rule of court
of a State, it is always sufficient to carry out the service in the
manner indicated therein. Subdivision (i) introduces considerable
further flexibility by permitting the foreign service and return
thereof to be carried out in any of a number of other alternative
ways that are also declared to be sufficient. Other aspects of
foreign service continue to be governed by the other provisions of
Rule 4. Thus, for example, subdivision (i) effects no change in the
form of the summons, or the issuance of separate or additional
summons, or the amendment of service.
Service of process beyond the territorial limits of the United
States may involve difficulties not encountered in the case of
domestic service. Service abroad may be considered by a foreign
country to require the performance of judicial, and therefore
"sovereign," acts within its territory, which that country may
conceive to be offensive to its policy or contrary to its law. See
Jones, supra, at 537. For example, a person not qualified to serve
process according to the law of the foreign country may find
himself subject to sanctions if he attempts service therein. See
Inter-American Judicial Committee, Report on Uniformity of
Legislation on International Cooperation in Judicial Procedures 20
(1952). The enforcement of a judgment in the foreign country in
which the service was made may be embarrassed or prevented if the
service did not comport with the law of that country. See ibid.
One of the purposes of subdivision (i) is to allow accommodation
to the policies and procedures of the foreign country. It is
emphasized, however, that the attitudes of foreign countries vary
considerably and that the question of recognition of United States
judgments abroad is complex. Accordingly, if enforcement is to be
sought in the country of service, the foreign law should be
examined before a choice is made among the methods of service
allowed by subdivision (i).
Subdivision (i)(1). Subparagraph (a) of paragraph (1), permitting
service by the method prescribed by the law of the foreign country
for service on a person in that country in a civil action in any of
its courts of general jurisdiction, provides an alternative that is
likely to create least objection in the place of service and also
is likely to enhance the possibilities of securing ultimate
enforcement of the judgment abroad. See Report on Uniformity of
Legislation on International Cooperation in Judicial Procedures,
supra.
In certain foreign countries service in aid of litigation pending
in other countries can lawfully be accomplished only upon request
to the foreign court, which in turn directs the service to be made.
In many countries this has long been a customary way of
accomplishing the service. See In re Letters Rogatory out of First
Civil Court of City of Mexico, 261 Fed. 652 (S.D.N.Y. 1919); Jones,
supra, at 543; Comment, 44 Colum.L.Rev. 72 (1944); Note, 58 Yale
L.J. 1193 (1949). Subparagraph (B) of paragraph (1), referring to a
letter rogatory, validates this method. A proviso, applicable to
this subparagraph and the preceding one, requires, as a safeguard,
that the service made shall be reasonably calculated to give actual
notice of the proceedings to the party. See Milliken v. Meyer, 311
U.S. 457, 61 S.Ct. 339, 85 L.Ed. 278 (1940).
Subparagraph (C) of paragraph (1), permitting foreign service by
personal delivery on individuals and corporations, partnerships,
and associations, provides for a manner of service that is not only
traditionally preferred, but also is most likely to lead to actual
notice. Explicit provision for this manner of service was thought
desirable because a number of Federal and State statutes permitting
foreign service do not specifically provide for service by personal
delivery abroad, see e.g., 35 U.S.C. Secs. 146, 293; 46 [App.]
U.S.C. Sec. 1292; Calif.Ins.Code Sec. 1612; N.Y.Veh. & Tfc.Law Sec.
253, and it also may be unavailable under the law of the country in
which the service is made.
Subparagraph (D) of paragraph (1), permitting service by certain
types of mail, affords a manner of service that is inexpensive and
expeditious, and requires a minimum of activity within the foreign
country. Several statutes specifically provide for service in a
foreign country by mail, e.g., Hawaii Rev.Laws Secs. 230-31, 230-32
(1955); Minn.Stat.Ann. Sec. 303.13 (1947); N.Y.Civ.Prac.Act, Sec.
229-b; N.Y.Veh. & Tfc.Law Sec. 253, and it has been sanctioned by
the courts even in the absence of statutory provision specifying
that form of service. Zurini v. United States, 189 F.2d 722 (8th
Cir. 1951); United States v. Cardillo, 135 F.Supp. 798 (W.D.Pa.
1955); Autogiro Co. v. Kay Gyroplanes, Ltd., 55 F.Supp. 919 (D.D.C.
1944). Since the reliability of postal service may vary from
country to country, service by mail is proper only when it is
addressed to the party to be served and a form of mail requiring a
signed receipt is used. An additional safeguard is provided by the
requirement that the mailing be attended to be the clerk of the
court. See also the provisions of paragraph (2) of this subdivision
(i) regarding proof of service by mail.
Under the applicable law it may be necessary, when the defendant
is an infant or incompetent person, to deliver the summons and
complaint to a guardian, committee, or similar fiduciary. In such a
case it would be advisable to make service under subparagraph (A),
(B), or (E).
Subparagraph (E) of paragraph (1) adds flexibility by permitting
the court by order to tailor the manner of service to fit the
necessities of a particular case or the peculiar requirements of
the law of the country in which the service is to be made. A
similar provision appears in a number of statutes, e.g., 35 U.S.C.
Secs. 146, 293; 38 U.S.C. Sec. 784(a); 46 [App.] U.S.C. Sec. 1292.
The next-to-last sentence of paragraph (1) permits service under
(C) and (E) to be made by any person who is not a party and is not
less than 18 years of age or who is designated by court order or by
the foreign court. Cf. Rule 45(c); N.Y.Civ.Prac.Act Secs. 233, 235.
This alternative increases the possibility that the plaintiff will
be able to find a process server who can proceed unimpeded in the
foreign country; it also may improve the chances of enforcing the
judgment in the country of service. Especially is the alternative
valuable when authority for the foreign service is found in a
statute or rule of court that limits the group of eligible process
servers to designated officials or special appointees who, because
directly connected with another "sovereign," may be particularly
offensive to the foreign country. See generally Smit, supra, at
1040-41. When recourse is had to subparagraph (A) or (B) the
identity of the process server always will be determined by the law
of the foreign country in which the service is made.
The last sentence of paragraph (1) sets forth an alternative
manner for the issuance and transmission of the summons for
service. After obtaining the summons from the clerk, the plaintiff
must ascertain the best manner of delivering the summons and
complaint to the person, court, or officer who will make the
service. Thus the clerk is not burdened with the task of
determining who is permitted to serve process under the law of a
particular country or the appropriate governmental or
nongovernmental channel for forwarding a letter rogatory. Under
(D), however, the papers must always be posted by the clerk.
Subdivision (i)(2). When service is made in a foreign country,
paragraph (2) permits methods for proof of service in addition to
those prescribed by subdivision (g). Proof of service in accordance
with the law of the foreign country is permitted because foreign
process servers, unaccustomed to the form or the requirement of
return of service prevalent in the United States, have on occasion
been unwilling to execute the affidavit required by Rule 4(g). See
Jones, supra, at 537; Longley, supra, at 35. As a corollary of the
alternate manner of service in subdivision (i)(1)(E), proof of
service as directed by order of the court is permitted. The special
provision for proof of service by mail is intended as an additional
safeguard when that method is used. On the type of evidence of
delivery that may be satisfactory to a court in lieu of a signed
receipt, see Aero Associates, Inc. v. La Metropolitana, 183 F.Supp.
357 (S.D.N.Y. 1960).

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
The wording of Rule 4(f) is changed to accord with the amendment
of Rule 13(h) referring to Rule 19 as amended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1980 AMENDMENT
Subdivision (a). This is a technical amendment to conform this
subdivision with the amendment of subdivision (c).
Subdivision (c). The purpose of this amendment is to authorize
service of process to be made by any person who is authorized to
make service in actions in the courts of general jurisdiction of
the state in which the district court is held or in which service
is made.
There is a troublesome ambiguity in Rule 4. Rule 4(c) directs
that all process is to be served by the marshal, by his deputy, or
by a person specially appointed by the court. But Rule 4(d)(7)
authorizes service in certain cases "in the manner prescribed by
the law of the state in which the district court is held. . . ."
And Rule 4(e), which authorizes service beyond the state and
service in quasi in rem cases when state law permits such service,
directs that "service may be made . . . under the circumstances and
in the manner prescribed in the [state] statute or rule." State
statutes and rules of the kind referred to in Rule 4(d)(7) and Rule
4(e) commonly designate the persons who are to make the service
provided for, e.g., a sheriff or a plaintiff. When that is so, may
the persons so designated by state law make service, or is service
in all cases to be made by a marshal or by one specially appointed
under present Rule 4(c)? The commentators have noted the ambiguity
and have suggested the desirability of an amendment. See 2 Moore's
Federal Practice &#182; 4.08 (1974); Wright & Miller, Federal
Practice and Procedure: Civil Sec. 1092 (1969). And the ambiguity
has given rise to unfortunate results. See United States for the
use of Tanos v. St. Paul Mercury Ins. Co., 361 F. 2d 838 (5th Cir.
1966); Veeck v. Commodity Enterprises, Inc., 487 F. 2d 423 (9th
Cir. 1973).
The ambiguity can be resolved by specific amendments to Rules
4(d)(7) and 4(e), but the Committee is of the view that there is no
reason why Rule 4(c) should not generally authorize service of
process in all cases by anyone authorized to make service in the
courts of general jurisdiction of the state in which the district
court is held or in which service is made. The marshal continues to
be the obvious, always effective officer for service of process.

LEGISLATIVE STATEMENT - 1983 AMENDMENT

128 CONGRESSIONAL RECORD H9848, DEC. 15, 1982
Mr. EDWARDS of California. Mr. Speaker, in July Mr. McClory and I
brought before the House a bill to delay the effective date of
proposed changes in rule 4 of the Federal Rules of Civil Procedure,
dealing with service of process. The Congress enacted that
legislation and delayed the effective date so that we could cure
certain problems in the proposed amendments to rule 4.
Since that time, Mr. McClory and I introduced a bill, H.R. 7154,
that cures those problems. It was drafted in consultation with
representatives of the Department of Justice, the Judicial
Conference of the United States, and others.
The Department of Justice and the Judicial Conference have
endorsed the bill and have urged its prompt enactment. Indeed, the
Department of Justice has indicated that the changes occasioned by
the bill will facilitate its collection of debts owned to the
Government.
I have a letter from the Office of Legislative Affairs of the
Department of Justice supporting the bill that I will submit for
the Record. Also, I am submitting for the Record a section-by-
section analysis of the bill.
H.R. 7154 makes much needed changes in rule 4 of the Federal
Rules of Civil Procedure and is supported by all interested
parties. I urge my colleagues to support it.

U.S. Department of Justice.
Office of Legislative Affairs,
Washington, D.C., December 10, 1982.
Hon. Peter W. Rodino, Jr.,
Chairman, Committee on the Judiciary, House of Representatives,
Washington, D.C.
Dear Mr. Chairman: This is to proffer the views of the Department
of Justice on H.R. 7154, the proposed Federal Rules of Civil
Procedure Amendments Act of 1982. While the agenda is extremely
tight and we appreciate that fact, we do reiterate that this
Department strongly endorses the enactment of H.R. 7154. We would
greatly appreciate your watching for any possible way to enact this
legislation expeditiously.
H.R. 7154 would amend Rule 4 of the Federal Rules of Civil
Procedure to relieve effectively the United States Marshals Service
of the duty of routinely serving summonses and complaints for
private parties in civil actions and would thus achieve a goal this
Department has long sought. Experience has shown that the Marshals
Service's increasing workload and limited budget require such major
relief from the burdens imposed by its role as process-server in
all civil actions.
The bill would also amend Rule 4 to permit certain classes of
defendants to be served by first class mail with a notice and
acknowledgment of receipt form enclosed. We have previously
expressed a preference for the service-by-mail provisions of the
proposed amendments to Rule 4 which the Supreme Court transmitted
to Congress on April 28, 1982.
The amendments proposed by the Supreme Court would permit service
by registered or certified mail, return receipt requested. We had
regarded the Supreme Court proposal as the more efficient because
it would not require and affirmative act of signing and mailing on
the part of a defendant. Moreover, the Supreme Court proposal would
permit the entry of a default judgment if the record contained a
returned receipt showing acceptance by the defendant or a returned
envelope showing refusal of the process by the defendant and
subsequent service and notice by first class mail. However, critics
of that system of mail service have argued that certified mail is
not an effective method of providing actual notice to defendants of
claims against them because signatures may be illegible or may not
match the name of the defendant, or because it may be difficult to
determine whether mail has been "unclaimed" or "refused," the
latter providing the sole basis for a default judgment.
As you know, in light of these criticisms the Congress enacted
Public Law 97-227 (H.R. 6663) postponing the effective date of the
proposed amendments to Rule 4 until October 1, 1983, so as to
facilitate further review of the problem. This Department opposed
the delay in the effective date, primarily because the Supreme
Court's proposed amendments also contained urgently needed
provisions designed to relieve the United States Marshals of the
burden of serving summonses and complaints in private civil
actions. In our view, these necessary relief provisions are readily
separable from the issues of service by certified mail and the
propriety of default judgment after service by certified mail which
the Congress felt warranted additional review.
During the floor consideration of H.R. 6663 Congressman Edwards
and other proponents of the delayed effective date pledged to
expedite the review of the proposed amendments to Rule 4, given the
need to provide prompt relief for the Marshals Service in the
service of process area. In this spirit Judiciary Committee staff
consulted with representatives of this Department, the Judicial
Conference, and others who had voiced concern about the proposed
amendments.
H.R. 7154 is the product of those consultations and accommodated
the concerns of the Department in a very workable and acceptable
manner.
Accordingly, we are satisfied that the provisions of H.R. 7154
merit the support of all three branches of the Federal Government
and everyone else who has a stake in the fair and efficient service
of process in civil actions. We urge prompt consideration of H.R.
7154 by the Committee.(!1)
The Office of Management and Budget has advised that there is no
objection to the submission of this report from the standpoint of
the Administration's program.
Sincerely,
Robert A. McConnell,
Assistant Attorney General.
_______

(!1) In addition to amending Rule 4, we have previously
recommended: (a) amendments to 28 U.S.C. Sec. 569(b) redefining the
Marshals traditional role by eliminating the statutory requirement
that they serve subpoenas, as well as summonses and complaints,
and; (b) amendments to 28 U.S.C. Sec. 1921 changing the manner and
level in which marshal fees are charged for serving private civil
process. These legislative changes are embodied in Section 10 of S.
2567 and the Department's proposed fiscal year 1983 Appropriations
Authorization bill. If, in the Committee's judgment, efforts to
incorporate these suggested amendments in H.R. 7154 would in any
way impede consideration of the bill during the few remaining
legislative days in the 97th Congress, we would urge that they be
separately considered early in the 98th Congress.

H.R. 7154 - FEDERAL RULES OF CIVIL PROCEDURE AMENDMENTS ACT OF 1982

BACKGROUND
The Federal Rules of Civil Procedure set forth the procedures to
be followed in civil actions and proceedings in United States
district courts. These rules are usually amended by a process
established by 28 U.S.C. 2072, often referred to as the "Rules
Enabling Act". The Rules Enabling Act provides that the Supreme
Court can propose new rules of "practice and procedure" and
amendments to existing rules by transmitting them to Congress after
the start of a regular session but not later than May 1. The rules
and amendments so proposed take effect 90 days after transmittal
unless legislation to the contrary is enacted.(!1)
On April 28, 1982, the Supreme Court transmitted to Congress
several proposed amendments to the Federal Rules of Civil
Procedure, the Federal Rules of Criminal Procedure (which govern
criminal cases and proceedings in Federal courts), and the Rules
and Forms Governing Proceedings in the United States District
Courts under sections 2254 and 2255 of Title 28, United States Code
(which govern habeas corpus proceedings). These amendments were to
have taken effect on August 1, 1982.
The amendments to Rule 4 of the Federal Rules of Civil Procedure
were intended primarily to relieve United States marshals of the
burden of serving summonses and complaints in private civil
actions. Appendix II, at 7 (Report of the Committee on Rules of
Practice and Procedure), 16 (Advisory Committee Note). The
Committee received numerous complaints that the changes not only
failed to achieve that goal, but that in the process the changes
saddled litigators with flawed mail service, deprived litigants of
the use of effective local procedures for service, and created a
time limit for service replete with ambiguities that could only be
resolved by costly litigation. See House Report No. 97-662, at 2-4
(1982).
In order to consider these criticisms, Congress enacted Public
Law 97-227, postponing the effective date of the proposed
amendments to Rule 4 until October 1, 1983.(!2) Accordingly, in
order to help shape the policy behind, and the form of, the
proposed amendments, Congress must enact legislation before October
1, 1983.(!3)
With that deadline and purpose in mind, consultations were held
with representatives of the Judicial Conference, the Department of
Justice, and others who had voiced concern about the proposed
amendments. H.R. 7154 is the product of those consultations. The
bill seeks to effectuate the policy of relieving the Marshals
Service of the duty of routinely serving summonses and complaints.
It provides a system of service by mail modeled upon a system found
to be effective in California, and finally, it makes appropriate
stylistic, grammatical, and other changes in Rule 4.

NEED FOR THE LEGISLATION

1. CURRENT RULE 4
Rule 4 of the Federal Rules of Civil Procedure relates to the
issuance and service of process. Subsection (c) authorizes service
of process by personnel of the Marshals Service, by a person
specially appointed by the Court, or "by a person authorized to
serve process in an action brought in the courts of general
jurisdiction of the state in which the district court is held or in
which service is made." Subsection (d) describes how a summons and
complaint must be served and designates those persons who must be
served in cases involving specified categories of defendants. Mail
service is not directly authorized. Subsection (d)(7), however,
authorizes service under the law of the state in which the district
court sits upon defendants described in subsections (d)(1) (certain
individuals) and (d)(3) (organizations). Thus, if state law
authorizes service by mail of a summons and complaint upon an
individual or organization described in subsections (d)(1) or (3),
then subsection (d)(7) authorizes service by mail for United States
district courts in that state.(!4)

2. REDUCING THE ROLE OF MARSHALS
The Supreme Court's proposed modifications of Rule 4 were
designed to alleviate the burden on the Marshals Service of serving
summonses and complaints in private civil actions. Appendix II, at
7 (Report of the Committee on Rules of Practice and Procedure), 16
(Advisory Committee Note). While the Committee received no
complaints about the goal of reducing the role of the Marshals
Service, the Court's proposals simply failed to achieve that goal.
See House Report No. 97-662, at 2-3 (1982).
The Court's proposed Rule 4(c)(2)(B) required the Marshals
Service to serve summonses and complaints "pursuant to any
statutory provision expressly providing for service by a United
States Marshal or his deputy." (!5) One such statutory provision is
28 U.S.C. 569(b), which compels marshals to "execute all lawful
writs, process and orders issued under authority of the United
States, including those of the courts * * *." (emphasis added).
Thus, any party could have invoked 28 U.S.C. 569(b) to utilize a
marshal for service of a summons and complaint, thereby thwarting
the intent of the new subsection to limit the use of marshals. The
Justice Department acknowledges that the proposed subsection did
not accomplish its objectives.(!6)
Had 28 U.S.C. 569(b) been inconsistent with proposed Rule
4(c)(2)(B), the latter would have nullified the former under 28
U.S.C. 2072, which provides that "All laws in conflict with such
rules shall be of no further force or effect after such rules have
taken effect." Since proposed Rule 4(c)(2)(B) specifically referred
to statutes such as 28 U.S.C. 569(b), however, the new subsection
did not conflict with 28 U.S.C. 569(b) and did not, therefore,
supersede it.
H.R. 7154 cures this problem and achieves the desired reduction
in the role of the Marshals Service by authorizing marshals to
serve summonses and complaints "on behalf of the United States". By
so doing, H.R. 7154 eliminates the loophole in the Court's proposed
language and still provides for service by marshals on behalf of
the Government.(!7)

3. MAIL SERVICE
The Supreme Court's proposed subsection (d)(7) and (8)
authorized, as an alternative to personal service, mail service of
summonses and complaints on individuals and organizations described
in subsection (d)(1) and (3), but only through registered or
certified mail, restricted delivery. Critics of that system of mail
service argued that registered and certified mail were not
necessarily effective methods of providing actual notice to
defendants of claims against them. This was so, they argued,
because signatures may be illegible or may not match the name of
the defendant, or because it may be difficult to determine whether
mail has been "unclaimed" or "refused", the latter apparently
providing the sole basis for a default judgment.(!8)
H.R. 7154 provides for a system of service by mail similar to the
system now used in California. See Cal. Civ. Pro. Sec. 415.30 (West
1973). Service would be by ordinary mail with a notice and
acknowledgment of receipt form enclosed. If the defendant returns
the acknowledgment form to the sender within 20 days of mailing,
the sender files the return and service is complete. If the
acknowledgment is not returned within 20 days of mailing, then
service must be effected through some other means provided for in
the Rules.
This system of mail service avoids the notice problems created by
the registered and certified mail procedures proposed by the
Supreme Court. If the proper person receives the notice and returns
the acknowledgment, service is complete. If the proper person does
not receive the mailed form, or if the proper person receives the
notice but fails to return the acknowledgment form, another method
of service authorized by law is required.(!9) In either instance,
however, the defendant will receive actual notice of the claim. In
order to encourage defendants to return the acknowledgment form,
the court can order a defendant who does not return it to pay the
costs of service unless the defendant can show good cause for the
failure to return it.

4. THE LOCAL OPTION
The Court's proposed amendments to Rule 4 deleted the provision
in current subsection (d)(7) that authorizes service of a summons
and complaint upon individuals and organizations "in the manner
prescribed by the law of the state in which the district court is
held for the service of summons or other like process upon any such
defendant in an action brought in the courts of general
jurisdiction of that state." The Committee received a variety of
complaints about the deletion of this provision. Those in favor of
preserving the local option saw no reason to forego systems of
service that had been successful in achieving effective
notice.(!10)
H.R. 7154 carries forward the policy of the current rule and
permits a party to serve a summons and complaint upon individuals
and organizations described in Rule 4(d)(1) and (3) in accordance
with the law of the state in which the district court sits. Thus,
the bill authorizes four methods of serving a summons and complaint
on such defendants: (1) service by a nonparty adult (Rule
4(c)(2)(A)); (2) service by personnel of the Marshals Service, if
the party qualifies, such as because the party is proceeding in
forma pauperis (Rule 4(c)(2)(B)); (3) service in any manner
authorized by the law of the state in which the district court is
held (Rule 4(c)(2)(C)(i)); or (4) service by regular mail with a
notice and acknowledgment of receipt form enclosed (Rule
4(c)(2)(C)(ii)).(!11)

5. TIME LIMITS
Rule 4 does not currently provide a time limit within which
service must be completed. Primarily because United States marshals
currently effect service of process, no time restriction has been
deemed necessary. Appendix II, at 18 (Advisory Committee Note).
Along with the proposed changes to subdivisions (c) and (d) to
reduce the role of the Marshals Service, however, came new
subdivision (j), requiring that service of a summons and complaint
be made within 120 days of the filing of the complaint. If service
were not accomplished within that time, proposed subdivision (j)
required that the action "be dismissed as to that defendant without
prejudice upon motion or upon the court's own initiative". Service
by mail was deemed made for purposes of subdivision (j) "as of the
date on which the process was accepted, refused, or returned as
unclaimed".(!12)
H.R. 7154 adopts a policy of limiting the time to effect service.
It provides that if a summons and complaint have not been served
within 120 days of the filing of the complaint and the plaintiff
fails to show "good cause" for not completing service within that
time, then the court must dismiss the action as to the unserved
defendant. H.R. 7154 ensures that a plaintiff will be notified of
an attempt to dismiss the action. If dismissal for failure to serve
is raised by the court upon its own motion, the legislation
requires that the court provide notice to the plaintiff. If
dismissal is sought by someone else, Rule 5(a) of the Federal Rules
of Civil Procedure requires that the motion be served upon the
plaintiff.
Like proposed subsection (j), H.R. 7154 provides that a dismissal
for failure to serve within 120 days shall be "without prejudice".
Proposed subsection (j) was criticized by some for ambiguity
because, it was argued, neither the text of subsection (j) nor the
Advisory Committee Note indicated whether a dismissal without
prejudice would toll a statute of limitation. See House Report 97-
662, at 3-4 (1982). The problem would arise when a plaintiff files
the complaint within the applicable statute of limitation period
but does not effect service within 120 days. If the statute of
limitation period expires during that period, and if the
plaintiff's action is dismissed "without prejudice", can the
plaintiff refile the complaint and maintain the action? The answer
depends upon how the statute of limitation is tolled.(!13)
If the law provides that the statute of limitation is tolled by
filing and service of the complaint, then a dismissal under H.R.
7154 for failure to serve within the 120 days would, by the terms
of the law controlling the tolling, bar the plaintiff from later
maintaining the cause of action.(!14) If the law provides that the
statute of limitation is tolled by filing alone, then the status of
the plaintiff's cause of action turns upon the plaintiff's
diligence. If the plaintiff has not been diligent, the court will
dismiss the complaint for failure to serve within 120 days, and the
plaintiff will be barred from later maintaining the cause of action
because the statute of limitation has run. A dismissal without
prejudice does not confer upon the plaintiff any rights that the
plaintiff does not otherwise possess and leaves a plaintiff whose
action has been dismissed in the same position as if the action had
never been filed.(!15) If, on the other hand, the plaintiff has
made reasonable efforts to effect service, then the plaintiff can
move under Rule 6(b) to enlarge the time within which to serve or
can oppose dismissal for failure to serve. A court would
undoubtedly permit such a plaintiff additional time within which to
effect service. Thus, a diligent plaintiff can preserve the cause
of action. This result is consistent with the policy behind the
time limit for service and with statutes of limitation, both of
which are designed to encourage prompt movement of civil actions in
the federal courts.

6. CONFORMING AND CLARIFYING SUBSECTIONS (D)(4) AND (5)
Current subsections (d)(4) and (5) prescribe which persons must
be served in cases where an action is brought against the United
States or an officer or agency of the United States. Under
subsection (d)(4), where the United States is the named defendant,
service must be made as follows: (1) personal service upon the
United States attorney, an assistant United States attorney, or a
designated clerical employee of the United States attorney in the
district in which the action is brought; (2) registered or
certified mail service to the Attorney General of the United States
in Washington, D.C.; and (3) registered or certified mail service
to the appropriate officer or agency if the action attacks an order
of that officer or agency but does not name the officer or agency
as a defendant. Under subsection (d)(5), where an officer or agency
of the United States is named as a defendant, service must be made
as in subsection (d)(4), except that personal service upon the
officer or agency involved is required.(!16)
The time limit for effecting service in H.R. 7154 would present
significant difficulty to a plaintiff who has to arrange for
personal service upon an officer or agency that may be thousands of
miles away. There is little reason to require different types of
service when the officer or agency is named as a party, and H.R.
7154 therefore conforms the manner of service under subsection
(d)(5) to the manner of service under subsection (d)(4).

SECTION-BY-SECTION ANALYSIS

SECTION 1
Section 1 provides that the short title of the bill is the
"Federal Rules of Civil Procedure Amendments Act of 1982".

SECTION 2
Section 2 of the bill consists of 7 numbered paragraphs, each
amending a different part of Rule 4 of the Federal Rules of Civil
Procedure.
Paragraph (1) deletes the requirement in present Rule 4(a) that a
summons be delivered for service to the marshal or other person
authorized to serve it. As amended by the legislation, Rule 4(a)
provides that the summons be delivered to "the plaintiff or the
plaintiff's attorney, who shall be responsible for prompt service
of the summons and complaint". This change effectuates the policy
proposed by the Supreme Court. See Appendix II, at - (Advisory
Committee Note).
Paragraph (2) amends current Rule 4(c), which deals with the
service of process. New Rule 4(c)(1) requires that all process,
other than a subpoena or a summons and complaint, be served by the
Marshals Service or by a person especially appointed for that
purpose. Thus, the Marshals Service or persons specially appointed
will continue to serve all process other than subpoenas and
summonses and complaints, a policy identical to that proposed by
the Supreme Court. See Appendix II, at 8 (Report of the Judicial
Conference Committee on Rules of Practice and Procedure). The
service of subpoenas is governed by Rule 45,(!17) and the service
of summonses and complaints is governed by new Rule 4(c)(2).
New Rule 4(c)(2)(A) sets forth the general rule that summonses
and complaints shall be served by someone who is at least 18 years
old and not a party to the action or proceeding. This is consistent
with the Court's proposal. Appendix II, at 16 (Advisory Committee
Note). Subparagraphs (B) and (C) of new Rule 4(c)(2) set forth
exceptions to this general rule.
Subparagraph (B) sets forth 3 exceptions to the general rule.
First, subparagraph (B)(i) requires the Marshals Service (or
someone specially appointed by the court) to serve summonses and
complaints on behalf of a party proceeding in forma pauperis or a
seaman authorized to proceed under 28 U.S.C. 1916. This is
identical to the Supreme Court's proposal. See Appendix II, at 3
(text of proposed rule), 16 (Advisory Committee Note). Second,
subparagraph (B)(ii) requires the Marshals Service (or someone
specially appointed by the court) to serve a summons and complaint
when the court orders the marshals to do so in order properly to
effect service in that particular action.(!18) This, except for
nonsubstantive changes in phrasing, is identical to the Supreme
Court's proposal. See Appendix II, at 3 (text of proposed rule), 16
(Advisory Committee Note).
Subparagraph (C) of new Rule 4(c)(2) provides 2 exceptions to the
general rule of service by a nonparty adult. These exceptions apply
only when the summons and complaint is to be served upon persons
described in Rule 4(d)(1) (certain individuals) or Rule 4(d)(3)
(organizations).(!19) First, subparagraph (C)(i) permits service of
a summons and complaint in a manner authorized by the law of the
state in which the court sits. This restates the option to follow
local law currently found in Rule 4(d)(7) and would authorize
service by mail if the state law so allowed. The method of mail
service in that instance would, of course, be the method permitted
by state law.
Second, subparagraph (C)(ii) permits service of a summons and
complaint by regular mail. The sender must send to the defendant,
by first-class mail, postage prepaid, a copy of the summons and
complaint, together with 2 copies of a notice and acknowledgment of
receipt of summons and complaint form and a postage prepaid return
envelope addressed to the sender. If a copy of the notice and
acknowledgment form is not received by the sender within 20 days
after the date of mailing, then service must be made under Rule
4(c)(2)(A) or (B) (i.e., by a nonparty adult or, if the person
qualifies,(!20) by personnel of the Marshals Service or a person
specially appointed by the court) in the manner prescribed by Rule
4(d)(1) or (3) (i.e., personal or substituted service).
New Rule 4(c)(2)(D) permits a court to penalize a person who
avoids service by mail. It authorizes the court to order a person
who does not return the notice and acknowledgment form within 20
days after mailing to pay the costs of service, unless that person
can show good cause for failing to return the form. The purpose of
this provision is to encourage the prompt return of the form so
that the action can move forward without unnecessary delay.
Fairness requires that a person who causes another additional and
unnecessary expense in effecting service ought to reimburse the
party who was forced to bear the additional expense.
Subparagraph (E) of rule 4(c)(2) requires that the notice and
acknowledgment form described in new Rule 4(c)(2)(C)(ii) be
executed under oath or affirmation. This provision tracks the
language of 28 U.S.C. 1746, which permits the use of unsworn
declarations under penalty of perjury whenever an oath or
affirmation is required. Statements made under penalty of perjury
are subject to 18 U.S,C. 1621(2), which provides felony penalties
for someone who "willfully subscribes as true any material matter
which he does not believe to be true". The requirement that the
form be executed under oath or affirmation is intended to encourage
truthful submissions to the court, as the information contained in
the form is important to the parties.(!21)
New Rule 4(c)(3) authorizes the court freely to make special
appointments to serve summonses and complaints under Rule
4(c)(2)(B) and all other process under Rule 4(c)(1). This carries
forward the policy of present Rule 4(c).
Paragraph (3) of section 2 of the bill makes a non-substantive
change in the caption of Rule 4(d) in order to reflect more
accurately the provisions of Rule 4(d). Paragraph (3) also deletes
a provision on service of a summons and complaint pursuant to state
law. This provision is redundant in view of new Rule 4(c)(2)(C)(i).
Paragraph (4) of section 2 of the bill conforms Rule 4(d)(5) to
present Rule 4(d)(4). Rule 4(d)(5) is amended to provide that
service upon a named defendant agency or officer of the United
States shall be made by "sending" a copy of the summons and
complaint "by registered or certified mail" to the defendant.(!22)
Rule 4(d)(5) currently provides for service by "delivering" the
copies to the defendant, but 28 U.S.C. 1391(e) authorizes delivery
upon a defendant agency or officer outside of the district in which
the action is brought by means of certified mail. Hence, the change
is not a marked departure from current practice.
Paragraph (5) of section 2 of the bill amends the caption of Rule
4(e) in order to describe subdivision (e) more accurately.
Paragraph (6) of section 2 of the bill amends Rule 4(g), which
deals with return of service. Present rule 4(g) is not changed
except to provide that, if service is made pursuant to the new
system of mail service (Rule 4(c)(2)(C)(ii)), the plaintiff or the
plaintiff's attorney must file with the court the signed
acknowledgment form returned by the person served.
Paragraph (7) of section 2 of the bill adds new subsection (j) to
provide a time limitation for the service of a summons and
complaint. New Rule 4(j) retains the Supreme Court's requirement
that a summons and complaint be served within 120 days of the
filing of the complaint. See Appendix II, at 18 (Advisory Committee
Note).(!23) The plaintiff must be notified of an effort or
intention to dismiss the action. This notification is mandated by
subsection (j) if the dismissal is being raised on the court's own
initiative and will be provided pursuant to Rule 5 (which requires
service of motions upon the adverse party) if the dismissal is
sought by someone else.(!24) The plaintiff may move under Rule 6(b)
to enlarge the time period. See Appendix II, at 1d. (Advisory
Committee Note). If service is not made within the time period or
enlarged time period, however, and if the plaintiff fails to show
"good cause" for not completing service, then the court must
dismiss the action as to the unserved defendant. The dismissal is
"without prejudice". The term "without prejudice" means that the
dismissal does not constitute an adjudication of the merits of the
complaint. A dismissal "without prejudice" leaves a plaintiff whose
action has been dismissed in the position in which that person
would have been if the action had never been filed.

SECTION 3
Section 3 of the bill amends the Appendix of Forms at the end of
the Federal Rules of Civil Procedure by adding a new form 18A,
"Notice and Acknowledgment for Service by Mail". This new form is
required by new Rule 4(c)(2)(C)(ii), which requires that the notice
and acknowledgment form used with service by regular mail conform
substantially to Form 18A.
Form 18A as set forth in section 3 of the bill is modeled upon a
form used in California.(!25) It contains 2 parts. The first part
is a notice to the person being served that tells that person that
the enclosed summons and complaint is being served pursuant to Rule
4(c)(2)(C)(ii); advises that person to sign and date the
acknowledgment form and indicate the authority to receive service
if the person served is not the party to the action (e.g., the
person served is an officer of the organization being served); and
warns that failure to return the form to the sender within 20 days
may result in the court ordering the party being served to pay the
expenses involved in effecting service. The notice also warns that
if the complaint is not responded to within 20 days, a default
judgment can be entered against the party being served. The notice
is dated under penalty of perjury by the plaintiff or the
plaintiff's attorney.(!26)
The second part of the form contains the acknowledgment of
receipt of the summons and complaint. The person served must
declare on this part of the form, under penalty of perjury, the
date and place of service and the person's authority to receive
service.

SECTION 4
Section 4 of the bill provides that the changes in Rule 4 made by
H.R. 7154 will take effect 45 days after enactment, thereby giving
the bench and bar, as well as other interested persons and
organizations (such as the Marshals Service), an opportunity to
prepare to implement the changes made by the legislation. The
delayed effective date means that service of process issued before
the effective date will be made in accordance with current Rule 4.
Accordingly, all process in the hands of the Marshals Service prior
to the effective date will be served by the Marshals Service under
the present rule.

SECTION 5
Section 5 of the bill provides that the amendments to Rule 4
proposed by the Supreme Court (whose effective date was postponed
by Public Law 97-227) shall not take effect. This is necessary
because under Public Law 97-227 the proposed amendments will take
effect on October 1, 1983.

_______

(!1) The drafting of the rules and amendments is actually done by
a committee of the Judicial Conference of the United States. In the
case of the Federal Rules of Civil Procedure, the initial draft is
prepared by the Advisory Committee on Civil Rules. The Advisory
Committee's draft is then reviewed by the Committee on Rules of
Practice and Procedure, which must give its approval to the draft.
Any draft approved by that committee is forwarded to the Judicial
Conference. If the Judicial Conference approves the draft, it
forwards the draft to the Supreme Court. The Judicial Conference's
role in the rule-making process is defined by 28 U.S.C. 331.
For background information about how the Judicial Conference
committees operate, see Wright, "Procedural Reform: Its Limitation
and Its Future," 1 Ga.L.Rev. 563, 565-66 (1967) (civil rules);
statement of United States District Judge Roszel C. Thomsen,
Hearings on Proposed Amendments to the Federal Rules of Criminal
Procedure Before the Subcommittee on Criminal Justice of the House
Committee on the Judiciary, 93d Cong., 2d Sess. at 25 (1974)
(criminal rules); statement of United States Circuit Judge J.
Edward Lumbard, id. at 203 (criminal rules); J. Weinstein, Reform
of Federal Court Rulemaking Procedure (1977); Weinstein, "Reform of
Federal Rulemaking Procedures," 76 Colum.L.Rev. 905 (1976).
(!2) All of the other amendments, including all of the proposed
amendments to the Federal Rules of Criminal Procedure and the Rules
and Forms Governing Proceedings in the United States District
Courts under sections 2254 and 2255 of Title 28, United States
Code, took effect on August 1, 1982, as scheduled.
(!3) The President has urged Congress to act promptly. See
President's Statement on Signing H.R. 6663 into Law, 18 Weekly
Comp. of Pres. Doc. 982 (August 2, 1982).
(!4) Where service of a summons is to be made upon a party who is
neither an inhabitant of, nor found within, the state where the
district court sits, subsection (e) authorizes service under a
state statute or rule of court that provides for service upon such
a party. This would authorize mail service if the state statute or
rule of court provided for service by mail.
(!5) The Court's proposal authorized service by the Marshals
Service in other situations. This authority, however, was not seen
as thwarting the underlying policy of limiting the use of marshals.
See Appendix II, at 16, 17 (Advisory Committee Note).
(!6) Appendix I, at 2 (letter of Assistant Attorney General
Robert A. McConnell).
(!7) The provisions of H.R. 7154 conflict with 28 U.S.C. 569(b)
because the latter is a broader command to marshals to serve all
federal court process. As a later statutory enactment, however,
H.R. 7154 supersedes 28 U.S.C. 569(b), thereby achieving the goal
of reducing the role of marshals.
(!8) Proposed Rule 4(d)(8) provided that "Service . . . shall not
be the basis for the entry of a default or a judgment by default
unless the record contains a return receipt showing acceptance by
the defendant or a returned envelope showing refusal of the process
by the defendant." This provision reflects a desire to preclude
default judgments on unclaimed mail. See Appendix II, at 7 (Report
of the Committee on Rules of Practice and Procedure).
The interpretation of Rule 4(d)(8) to require a refusal of
delivery in order to have a basis for a default judgment, while
undoubtedly the interpretation intended and the interpretation that
reaches the fairest result, may not be the only possible
interpretation. Since a default judgment can be entered for
defendant's failure to respond to the complaint once defendant has
been served and the time to answer the complaint has run, it can be
argued that a default judgment can be obtained where the mail was
unclaimed because proposed subsection (j), which authorized
dismissal of a complaint not served within 120 days, provided that
mail service would be deemed made "on the date on which the process
was accepted, refused, or returned as unclaimed" (emphasis added).
(!9) See p. 15 infra.
(!10) Proponents of the California system of mail service, in
particular, saw no reason to supplant California's proven method of
mail service with a certified mail service that they believed
likely to result in default judgments without actual notice to
defendants. See House Report No. 97-662, at 3 (1982).
(!11) The parties may, of course, stipulate to service, as is
frequently done now.
(!12) While return of the letter as unclaimed was deemed service
for the purpose of determining whether the plaintiff's action could
be dismissed, return of the letter as unclaimed was not service for
the purpose of entry of a default judgment against the defendant.
See note 8 supra.
(!13) The law governing the tolling of a statute of limitation
depends upon the type of civil action involved. In adversity
action, state law governs tolling. Walker v. Armco Steel Corp., 446
U.S. 740 (1980). In Walker, plaintiff had filed his complaint and
thereby commenced the action under Rule 3 of the Federal Rules of
Civil Procedure within the statutory period. He did not, however,
serve the summons and complaint until after the statutory period
had run. The Court held that state law (which required both filing
and service within the statutory period) governed, barring
plaintiff's action.
In the federal question action, the courts of appeals have
generally held that Rule 3 governs, so that the filing of the
complaint tolls a statute of limitation. United States v. Wahl, 538
F.2d 285 (6th Cir. 1978); Windbrooke Dev. Co. v. Environmental
Enterprises Inc. of Fla., 524 F.2d 461 (5th Cir. 1975);
Metropolitan Paving Co. v. International Union of Operating
Engineers, 439 F.2d 300 (10th Cir. 1971); Moore Co. v. Sid
Richardson Carbon & Gasoline Co., 347 F.2d 921 (8th Cir.), cert.
denied, 383 U.S. 925, reh. denied, 384 U.S. 914 (1965); Hoffman v.
Halden, 268 F.2d 280 (9th Cir. 1959). The continued validity of
this line of cases, however, must be questioned in light of the
Walker case, even though the Court in that case expressly reserved
judgment about federal question actions, see Walker v. Armco Steel
Corp., 446 U.S. 741, 751 n.11 (1980).
(!14) The same result obtains even if service occurs within the
120 day period, if the service occurs after the statute of
limitation has run.
(!15) See p. 19 infra.
(!16) See p. 17 infra.
(!17) Rule 45(c) provides that "A subpoena may be served by the
marshal, by his deputy, or by any other person who is not a party
and is not less than 18 years of age."
(!18) Some litigators have voiced concern that there may be
situations in which personal service by someone other than a member
of the Marshals Service may present a risk of injury to the person
attempting to make the service. For example, a hostile defendant
may have a history of injuring persons attempting to serve process.
Federal judges undoubtedly will consider the risk of harm to
private persons who would be making personal service when deciding
whether to order the Marshals Service to make service under Rule
4(c)(2)(B)(iii).
(!19) The methods of service authorized by Rule 4(c)(2)(C) may be
invoked by any person seeking to effect service. Thus, a nonparty
adult who receives the summons and complaint for service under Rule
4(c)(1) may serve them personally or by mail in the manner
authorized by Rule 4(c)(2)(C)(ii). Similarly, the Marshals Service
may utilize the mail service authorized by Rule 4(c)(2)(C)(ii) when
serving a summons and complaint under Rule 4(c)(2)(B)(i)(iii). When
serving a summons and complaint under Rule 4(c)(2)(B)(ii), however,
the Marshals Service must serve in the manner set forth in the
court's order. If no particular manner of service is specified,
then the Marshals Service may utilize Rule 4(c)(2)(C)(ii). It would
not seem to be appropriate, however, for the Marshals Service to
utilize Rule 4(c)(2)(C)(ii) in a situation where a previous attempt
to serve by mail failed. Thus, it would not seem to be appropriate
for the Marshals Service to attempt service by regular mail when
serving a summons and complaint on behalf of a plaintiff who is
proceeding in forma pauperis if that plaintiff previously attempted
unsuccessfully to serve the defendant by mail.
(!20) To obtain service by personnel of the Marshals Service or
someone specially appointed by the court, a plaintiff who has
unsuccessfully attempted mail service under Rule 4(c)(2)(C)(ii)
must meet the conditions of Rule 4(c)(2)(B) - for example, the
plaintiff must be proceeding in forma pauperis.
(!21) For example, the sender must state the date of mailing on
the form. If the form is not returned to the sender within 20 days
of that date, then the plaintiff must serve the defendant in
another manner and the defendant may be liable for the costs of
such service. Thus, a defendant would suffer the consequences of a
misstatement about the date of mailing.
(!22) See p. 12 supra.
(!23) The 120 day period begins to run upon the filing of each
complaint. Thus, where a defendant files a cross-claim against the
plaintiff, the 120 day period begins to run upon the filing of the
cross-complaint, not upon the filing of the plaintiff's complaint
initiating the action.
(!24) The person who may move to dismiss can be the putative
defendant (i.e., the person named as defendant in the complaint
filed with the court) or, in multi-party actions, another party to
the action. (If the putative defendant moves to dismiss and the
failure to effect service is due to that person's evasion of
service, a court should not dismiss because the plaintiff has "good
cause" for not completing service.)
(!25) See Cal. Civ. Pro. Sec. 415.30 (West 1973).
(!26) See p. 16 supra.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Purposes of Revision. The general purpose of this revision is to
facilitate the service of the summons and complaint. The revised
rule explicitly authorizes a means for service of the summons and
complaint on any defendant. While the methods of service so
authorized always provide appropriate notice to persons against
whom claims are made, effective service under this rule does not
assure that personal jurisdiction has been established over the
defendant served.
First, the revised rule authorizes the use of any means of
service provided by the law not only of the forum state, but also
of the state in which a defendant is served, unless the defendant
is a minor or incompetent.
Second, the revised rule clarifies and enhances the cost-saving
practice of securing the assent of the defendant to dispense with
actual service of the summons and complaint. This practice was
introduced to the rule in 1983 by an act of Congress authorizing
"service-by-mail," a procedure that effects economic service with
cooperation of the defendant. Defendants that magnify costs of
service by requiring expensive service not necessary to achieve
full notice of an action brought against them are required to bear
the wasteful costs. This provision is made available in actions
against defendants who cannot be served in the districts in which
the actions are brought.
Third, the revision reduces the hazard of commencing an action
against the United States or its officers, agencies, and
corporations. A party failing to effect service on all the offices
of the United States as required by the rule is assured adequate
time to cure defects in service.
Fourth, the revision calls attention to the important effect of
the Hague Convention and other treaties bearing on service of
documents in foreign countries and favors the use of
internationally agreed means of service. In some respects, these
treaties have facilitated service in foreign countries but are not
fully known to the bar.
Finally, the revised rule extends the reach of federal courts to
impose jurisdiction over the person of all defendants against whom
federal law claims are made and who can be constitutionally
subjected to the jurisdiction of the courts of the United States.
The present territorial limits on the effectiveness of service to
subject a defendant to the jurisdiction of the court over the
defendant's person are retained for all actions in which there is a
state in which personal jurisdiction can be asserted consistently
with state law and the Fourteenth Amendment. A new provision
enables district courts to exercise jurisdiction, if permissible
under the Constitution and not precluded by statute, when a federal
claim is made against a defendant not subject to the jurisdiction
of any single state.
The revised rule is reorganized to make its provisions more
accessible to those not familiar with all of them. Additional
subdivisions in this rule allow for more captions; several overlaps
among subdivisions are eliminated; and several disconnected
provisions are removed, to be relocated in a new Rule 4.1.
The Caption of the Rule. Prior to this revision, Rule 4 was
entitled "Process" and applied to the service of not only the
summons but also other process as well, although these are not
covered by the revised rule. Service of process in eminent domain
proceedings is governed by Rule 71A. Service of a subpoena is
governed by Rule 45, and service of papers such as orders, motions,
notices, pleadings, and other documents is governed by Rule 5.
The revised rule is entitled "Summons" and applies only to that
form of legal process. Unless service of the summons is waived, a
summons must be served whenever a person is joined as a party
against whom a claim is made. Those few provisions of the former
rule which relate specifically to service of process other than a
summons are relocated in Rule 4.1 in order to simplify the text of
this rule.
Subdivision (a). Revised subdivision (a) contains most of the
language of the former subdivision (b). The second sentence of the
former subdivision (b) has been stricken, so that the federal court
summons will be the same in all cases. Few states now employ
distinctive requirements of form for a summons and the
applicability of such a requirement in federal court can only serve
as a trap for an unwary party or attorney. A sentence is added to
this subdivision authorizing an amendment of a summons. This
sentence replaces the rarely used former subdivision 4(h). See 4A
Wright & Miller, Federal Practice and Procedure Sec. 1131 (2d ed.
1987).
Subdivision (b). Revised subdivision (b) replaces the former
subdivision (a). The revised text makes clear that the
responsibility for filling in the summons falls on the plaintiff,
not the clerk of the court. If there are multiple defendants, the
plaintiff may secure issuance of a summons for each defendant, or
may serve copies of a single original bearing the names of multiple
defendants if the addressee of the summons is effectively
identified.
Subdivision (c). Paragraph (1) of revised subdivision (c) retains
language from the former subdivision (d)(1). Paragraph (2) retains
language from the former subdivision (a), and adds an appropriate
caution regarding the time limit for service set forth in
subdivision (m).
The 1983 revision of Rule 4 relieved the marshals' offices of
much of the burden of serving the summons. Subdivision (c)
eliminates the requirement for service by the marshal's office in
actions in which the party seeking service is the United States.
The United States, like other civil litigants, is now permitted to
designate any person who is 18 years of age and not a party to
serve its summons.
The court remains obligated to appoint a marshal, a deputy, or
some other person to effect service of a summons in two classes of
cases specified by statute: actions brought in forma pauperis or by
a seaman. 28 U.S.C. Secs. 1915, 1916. The court also retains
discretion to appoint a process server on motion of a party. If a
law enforcement presence appears to be necessary or advisable to
keep the peace, the court should appoint a marshal or deputy or
other official person to make the service. The Department of
Justice may also call upon the Marshals Service to perform services
in actions brought by the United States. 28 U.S.C. Sec. 651.
Subdivision (d). This text is new, but is substantially derived
from the former subdivisions (c)(2)(C) and (D), added to the rule
by Congress in 1983. The aims of the provision are to eliminate the
costs of service of a summons on many parties and to foster
cooperation among adversaries and counsel. The rule operates to
impose upon the defendant those costs that could have been avoided
if the defendant had cooperated reasonably in the manner
prescribed. This device is useful in dealing with defendants who
are furtive, who reside in places not easily reached by process
servers, or who are outside the United States and can be served
only at substantial and unnecessary expense. Illustratively, there
is no useful purpose achieved by requiring a plaintiff to comply
with all the formalities of service in a foreign country, including
costs of translation, when suing a defendant manufacturer, fluent
in English, whose products are widely distributed in the United
States. See Bankston v. Toyota Motor Corp., 889 F.2d 172 (8th Cir.
1989).
The former text described this process as service-by-mail. This
language misled some plaintiffs into thinking that service could be
effected by mail without the affirmative cooperation of the
defendant. E.g., Gulley v. Mayo Foundation, 886 F.2d 161 (8th Cir.
1989). It is more accurate to describe the communication sent to
the defendant as a request for a waiver of formal service.
The request for waiver of service may be sent only to defendants
subject to service under subdivision (e), (f), or (h). The United
States is not expected to waive service for the reason that its
mail receiving facilities are inadequate to assure that the notice
is actually received by the correct person in the Department of
Justice. The same principle is applied to agencies, corporations,
and officers of the United States and to other governments and
entities subject to service under subdivision (j). Moreover, there
are policy reasons why governmental entities should not be
confronted with the potential for bearing costs of service in cases
in which they ultimately prevail. Infants or incompetent persons
likewise are not called upon to waive service because, due to their
presumed inability to understand the request and its consequences,
they must generally be served through fiduciaries.
It was unclear whether the former rule authorized mailing of a
request for "acknowledgement of service" to defendants outside the
forum state. See 1 R. Casad, Jurisdiction in Civil Actions (2d Ed.)
5-29, 30 (1991) and cases cited. But, as Professor Casad observed,
there was no reason not to employ this device in an effort to
obtain service outside the state, and there are many instances in
which it was in fact so used, with respect both to defendants
within the United States and to defendants in other countries.
The opportunity for waiver has distinct advantages to a foreign
defendant. By waiving service, the defendant can reduce the costs
that may ultimately be taxed against it if unsuccessful in the
lawsuit, including the sometimes substantial expense of translation
that may be wholly unnecessary for defendants fluent in English.
Moreover, a foreign defendant that waives service is afforded
substantially more time to defend against the action than if it had
been formally served: under Rule 12, a defendant ordinarily has
only 20 days after service in which to file its answer or raise
objections by motion, but by signing a waiver it is allowed 90 days
after the date the request for waiver was mailed in which to submit
its defenses. Because of the additional time needed for mailing and
the unreliability of some foreign mail services, a period of 60
days (rather than the 30 days required for domestic transmissions)
is provided for a return of a waiver sent to a foreign country.
It is hoped that, since transmission of the notice and waiver
forms is a private nonjudicial act, does not purport to effect
service, and is not accompanied by any summons or directive from a
court, use of the procedure will not offend foreign sovereignties,
even those that have withheld their assent to formal service by
mail or have objected to the "service-by-mail" provisions of the
former rule. Unless the addressee consents, receipt of the request
under the revised rule does not give rise to any obligation to
answer the lawsuit, does not provide a basis for default judgment,
and does not suspend the statute of limitations in those states
where the period continues to run until service. Nor are there any
adverse consequences to a foreign defendant, since the provisions
for shifting the expense of service to a defendant that declines to
waive service apply only if the plaintiff and defendant are both
located in the United States.
With respect to a defendant located in a foreign country like the
United Kingdom, which accepts documents in English, whose Central
Authority acts promptly in effecting service, and whose policies
discourage its residents from waiving formal service, there will be
little reason for a plaintiff to send the notice and request under
subdivision (d) rather than use convention methods. On the other
hand, the procedure offers significant potential benefits to a
plaintiff when suing a defendant that, though fluent in English, is
located in a country where, as a condition to formal service under
a convention, documents must be translated into another language or
where formal service will be otherwise costly or time-consuming.
Paragraph (1) is explicit that a timely waiver of service of a
summons does not prejudice the right of a defendant to object by
means of a motion authorized by Rule 12(b)(2) to the absence of
jurisdiction over the defendant's person, or to assert other
defenses that may be available. The only issues eliminated are
those involving the sufficiency of the summons or the sufficiency
of the method by which it is served.
Paragraph (2) states what the present rule implies: the defendant
has a duty to avoid costs associated with the service of a summons
not needed to inform the defendant regarding the commencement of an
action. The text of the rule also sets forth the requirements for a
Notice and Request for Waiver sufficient to put the cost-shifting
provision in place. These requirements are illustrated in Forms 1A
and 1B, which replace the former Form 18-A.
Paragraph (2)(A) is explicit that a request for waiver of service
by a corporate defendant must be addressed to a person qualified to
receive service. The general mail rooms of large organizations
cannot be required to identify the appropriate individual recipient
for an institutional summons.
Paragraph (2)(B) permits the use of alternatives to the United
States mails in sending the Notice and Request. While private
messenger services or electronic communications may be more
expensive than the mail, they may be equally reliable and on
occasion more convenient to the parties. Especially with respect to
transmissions to foreign countries, alternative means may be
desirable, for in some countries facsimile transmission is the most
efficient and economical means of communication. If electronic
means such as facsimile transmission are employed, the sender
should maintain a record of the transmission to assure proof of
transmission if receipt is denied, but a party receiving such a
transmission has a duty to cooperate and cannot avoid liability for
the resulting cost of formal service if the transmission is
prevented at the point of receipt.
A defendant failing to comply with a request for waiver shall be
given an opportunity to show good cause for the failure, but
sufficient cause should be rare. It is not a good cause for failure
to waive service that the claim is unjust or that the court lacks
jurisdiction. Sufficient cause not to shift the cost of service
would exist, however, if the defendant did not receive the request
or was insufficiently literate in English to understand it. It
should be noted that the provisions for shifting the cost of
service apply only if the plaintiff and the defendant are both
located in the United States, and accordingly a foreign defendant
need not show "good cause" for its failure to waive service.
Paragraph (3) extends the time for answer if, before being served
with process, the defendant waives formal service. The extension is
intended to serve as an inducement to waive service and to assure
that a defendant will not gain any delay by declining to waive
service and thereby causing the additional time needed to effect
service. By waiving service, a defendant is not called upon to
respond to the complaint until 60 days from the date the notice was
sent to it - 90 days if the notice was sent to a foreign country -
rather than within the 20 day period from date of service specified
in Rule 12.
Paragraph (4) clarifies the effective date of service when
service is waived; the provision is needed to resolve an issue
arising when applicable law requires service of process to toll the
statute of limitations. E.g., Morse v. Elmira Country Club, 752
F.2d 35 (2d Cir. 1984). Cf. Walker v. Armco Steel Corp., 446 U.S.
740 (1980).
The provisions in former subdivision (c)(2)(C)(ii) of this rule
may have been misleading to some parties. Some plaintiffs, not
reading the rule carefully, supposed that receipt by the defendant
of the mailed complaint had the effect both of establishing the
jurisdiction of the court over the defendant's person and of
tolling the statute of limitations in actions in which service of
the summons is required to toll the limitations period. The revised
rule is clear that, if the waiver is not returned and filed, the
limitations period under such a law is not tolled and the action
will not otherwise proceed until formal service of process is
effected.
Some state limitations laws may toll an otherwise applicable
statute at the time when the defendant receives notice of the
action. Nevertheless, the device of requested waiver of service is
not suitable if a limitations period which is about to expire is
not tolled by filing the action. Unless there is ample time, the
plaintiff should proceed directly to the formal methods for service
identified in subdivisions (e), (f), or (h).
The procedure of requesting waiver of service should also not be
used if the time for service under subdivision (m) will expire
before the date on which the waiver must be returned. While a
plaintiff has been allowed additional time for service in that
situation, e.g., Prather v. Raymond Constr. Co., 570 F. Supp. 278
(N.D. Ga. 1983), the court could refuse a request for additional
time unless the defendant appears to have evaded service pursuant
to subdivision (e) or (h). It may be noted that the presumptive
time limit for service under subdivision (m) does not apply to
service in a foreign country.
Paragraph (5) is a cost-shifting provision retained from the
former rule. The costs that may be imposed on the defendant could
include, for example, the cost of the time of a process server
required to make contact with a defendant residing in a guarded
apartment house or residential development. The paragraph is
explicit that the costs of enforcing the cost-shifting provision
are themselves recoverable from a defendant who fails to return the
waiver. In the absence of such a provision, the purpose of the rule
would be frustrated by the cost of its enforcement, which is likely
to be high in relation to the small benefit secured by the
plaintiff.
Some plaintiffs may send a notice and request for waiver and,
without waiting for return of the waiver, also proceed with efforts
to effect formal service on the defendant. To discourage this
practice, the cost-shifting provisions in paragraphs (2) and (5)
are limited to costs of effecting service incurred after the time
expires for the defendant to return the waiver. Moreover, by
returning the waiver within the time allowed and before being
served with process, a defendant receives the benefit of the longer
period for responding to the complaint afforded for waivers under
paragraph (3).
Subdivision (e). This subdivision replaces former subdivisions
(c)(2)(C)(i) and (d)(1). It provides a means for service of summons
on individuals within a judicial district of the United States.
Together with subdivision (f), it provides for service on persons
anywhere, subject to constitutional and statutory constraints.
Service of the summons under this subdivision does not
conclusively establish the jurisdiction of the court over the
person of the defendant. A defendant may assert the territorial
limits of the court's reach set forth in subdivision (k), including
the constitutional limitations that may be imposed by the Due
Process Clause of the Fifth Amendment.
Paragraph (1) authorizes service in any judicial district in
conformity with state law. This paragraph sets forth the language
of former subdivision (c)(2)(C)(i), which authorized the use of the
law of the state in which the district court sits, but adds as an
alternative the use of the law of the state in which the service is
effected.
Paragraph (2) retains the text of the former subdivision (d)(1)
and authorizes the use of the familiar methods of personal or abode
service or service on an authorized agent in any judicial district.
To conform to these provisions, the former subdivision (e)
bearing on proceedings against parties not found within the state
is stricken. Likewise stricken is the first sentence of the former
subdivision (f), which had restricted the authority of the federal
process server to the state in which the district court sits.
Subdivision (f). This subdivision provides for service on
individuals who are in a foreign country, replacing the former
subdivision (i) that was added to Rule 4 in 1963. Reflecting the
pattern of Rule 4 in incorporating state law limitations on the
exercise of jurisdiction over persons, the former subdivision (i)
limited service outside the United States to cases in which
extraterritorial service was authorized by state or federal law.
The new rule eliminates the requirement of explicit authorization.
On occasion, service in a foreign country was held to be improper
for lack of statutory authority. E.g., Martens v. Winder, 341 F.2d
197 (9th Cir.), cert. denied, 382 U.S. 937 (1965). This authority,
however, was found to exist by implication. E.g., SEC v. VTR, Inc.,
39 F.R.D. 19 (S.D.N.Y. 1966). Given the substantial increase in the
number of international transactions and events that are the
subject of litigation in federal courts, it is appropriate to infer
a general legislative authority to effect service on defendants in
a foreign country.
A secondary effect of this provision for foreign service of a
federal summons is to facilitate the use of federal long-arm law in
actions brought to enforce the federal law against defendants who
cannot be served under any state law but who can be
constitutionally subjected to the jurisdiction of the federal
court. Such a provision is set forth in paragraph (2) of
subdivision (k) of this rule, applicable only to persons not
subject to the territorial jurisdiction of any particular state.
Paragraph (1) gives effect to the Hague Convention on the Service
Abroad of Judicial and Extrajudicial Documents, which entered into
force for the United States on February 10, 1969. See 28 U.S.C.A.,
Fed.R.Civ.P. 4 (Supp. 1986). This Convention is an important means
of dealing with problems of service in a foreign country. See
generally 1 B. Ristau, International Judicial Assistance Secs. 4-1-
1 to 4-5-2 (1990). Use of the Convention procedures, when
available, is mandatory if documents must be transmitted abroad to
effect service. See Volkswagenwerk Aktiengesellschaft v. Schlunk,
486 U.S. 694 (1988) (noting that voluntary use of these procedures
may be desirable even when service could constitutionally be
effected in another manner); J. Weis, The Federal Rules and the
Hague Conventions: Concerns of Conformity and Comity, 50 U. Pitt.
L. Rev. 903 (1989). Therefore, this paragraph provides that, when
service is to be effected outside a judicial district of the United
States, the methods of service appropriate under an applicable
treaty shall be employed if available and if the treaty so
requires.
The Hague Convention furnishes safeguards against the abridgment
of rights of parties through inadequate notice. Article 15 provides
for verification of actual notice or a demonstration that process
was served by a method prescribed by the internal laws of the
foreign state before a default judgment may be entered. Article 16
of the Convention also enables the judge to extend the time for
appeal after judgment if the defendant shows a lack of adequate
notice either to defend or to appeal the judgment, or has disclosed
a prima facie case on the merits.
The Hague Convention does not specify a time within which a
foreign country's Central Authority must effect service, but
Article 15 does provide that alternate methods may be used if a
Central Authority does not respond within six months. Generally, a
Central Authority can be expected to respond much more quickly than
that limit might permit, but there have been occasions when the
signatory state was dilatory or refused to cooperate for
substantive reasons. In such cases, resort may be had to the
provision set forth in subdivision (f)(3).
Two minor changes in the text reflect the Hague Convention.
First, the term "letter of request" has been added. Although these
words are synonymous with "letter rogatory," "letter of request" is
preferred in modern usage. The provision should not be interpreted
to authorize use of a letter of request when there is in fact no
treaty obligation on the receiving country to honor such a request
from this country or when the United States does not extend
diplomatic recognition to the foreign nation. Second, the passage
formerly found in subdivision (i)(1)(B), "when service in either
case is reasonably calculated to give actual notice," has been
relocated.
Paragraph (2) provides alternative methods for use when
internationally agreed methods are not intended to be exclusive, or
where there is no international agreement applicable. It contains
most of the language formerly set forth in subdivision (i) of the
rule. Service by methods that would violate foreign law is not
generally authorized. Subparagraphs (A) and (B) prescribe the more
appropriate methods for conforming to local practice or using a
local authority. Subparagraph (C) prescribes other methods
authorized by the former rule.
Paragraph (3) authorizes the court to approve other methods of
service not prohibited by international agreements. The Hague
Convention, for example, authorizes special forms of service in
cases of urgency if convention methods will not permit service
within the time required by the circumstances. Other circumstances
that might justify the use of additional methods include the
failure of the foreign country's Central Authority to effect
service within the six-month period provided by the Convention, or
the refusal of the Central Authority to serve a complaint seeking
punitive damages or to enforce the antitrust laws of the United
States. In such cases, the court may direct a special method of
service not explicitly authorized by international agreement if not
prohibited by the agreement. Inasmuch as our Constitution requires
that reasonable notice be given, an earnest effort should be made
to devise a method of communication that is consistent with due
process and minimizes offense to foreign law. A court may in some
instances specially authorize use of ordinary mail. Cf. Levin v.
Ruby Trading Corp., 248 F. Supp. 537 (S.D.N.Y. 1965).
Subdivision (g). This subdivision retains the text of former
subdivision (d)(2). Provision is made for service upon an infant or
incompetent person in a foreign country.
Subdivision (h). This subdivision retains the text of former
subdivision (d)(3), with changes reflecting those made in
subdivision (e). It also contains the provisions for service on a
corporation or association in a foreign country, as formerly found
in subdivision (i).
Frequent use should be made of the Notice and Request procedure
set forth in subdivision (d) in actions against corporations. Care
must be taken, however, to address the request to an individual
officer or authorized agent of the corporation. It is not effective
use of the Notice and Request procedure if the mail is sent
undirected to the mail room of the organization.
Subdivision (i). This subdivision retains much of the text of
former subdivisions (d)(4) and (d)(5). Paragraph (1) provides for
service of a summons on the United States; it amends former
subdivision (d)(4) to permit the United States attorney to be
served by registered or certified mail. The rule does not authorize
the use of the Notice and Request procedure of revised subdivision
(d) when the United States is the defendant. To assure proper
handling of mail in the United States attorney's office, the
authorized mail service must be specifically addressed to the civil
process clerk of the office of the United States attorney.
Paragraph (2) replaces former subdivision (d)(5). Paragraph (3)
saves the plaintiff from the hazard of losing a substantive right
because of failure to comply with the complex requirements of
multiple service under this subdivision. That risk has proved to be
more than nominal. E.g., Whale v. United States, 792 F.2d 951 (9th
Cir. 1986). This provision should be read in connection with the
provisions of subdivision (c) of Rule 15 to preclude the loss of
substantive rights against the United States or its agencies,
corporations, or officers resulting from a plaintiff's failure to
correctly identify and serve all the persons who should be named or
served.
Subdivision (j). This subdivision retains the text of former
subdivision (d)(6) without material change. The waiver-of-service
provision is also inapplicable to actions against governments
subject to service pursuant to this subdivision.
The revision adds a new paragraph (1) referring to the statute
governing service of a summons on a foreign state and its political
subdivisions, agencies, and instrumentalities, the Foreign
Sovereign Immunities Act of 1976, 28 U.S.C. Sec. 1608. The caption
of the subdivision reflects that change.
Subdivision (k). This subdivision replaces the former subdivision
(f), with no change in the title. Paragraph (1) retains the
substance of the former rule in explicitly authorizing the exercise
of personal jurisdiction over persons who can be reached under
state long-arm law, the "100-mile bulge" provision added in 1963,
or the federal interpleader act. Paragraph (1)(D) is new, but
merely calls attention to federal legislation that may provide for
nationwide or even world-wide service of process in cases arising
under particular federal laws. Congress has provided for nationwide
service of process and full exercise of territorial jurisdiction by
all district courts with respect to specified federal actions. See
1 R. Casad, Jurisdiction in Civil Actions (2d Ed.) chap. 5 (1991).
Paragraph (2) is new. It authorizes the exercise of territorial
jurisdiction over the person of any defendant against whom is made
a claim arising under any federal law if that person is subject to
personal jurisdiction in no state. This addition is a companion to
the amendments made in revised subdivisions (e) and (f).
This paragraph corrects a gap in the enforcement of federal law.
Under the former rule, a problem was presented when the defendant
was a non-resident of the United States having contacts with the
United States sufficient to justify the application of United
States law and to satisfy federal standards of forum selection, but
having insufficient contact with any single state to support
jurisdiction under state long-arm legislation or meet the
requirements of the Fourteenth Amendment limitation on state court
territorial jurisdiction. In such cases, the defendant was shielded
from the enforcement of federal law by the fortuity of a favorable
limitation on the power of state courts, which was incorporated
into the federal practice by the former rule. In this respect, the
revision responds to the suggestion of the Supreme Court made in
Omni Capital Int'l v. Rudolf Wolff & Co., Ltd., 484 U.S. 97, 111
(1987).
There remain constitutional limitations on the exercise of
territorial jurisdiction by federal courts over persons outside the
United States. These restrictions arise from the Fifth Amendment
rather than from the Fourteenth Amendment, which limits state-court
reach and which was incorporated into federal practice by the
reference to state law in the text of the former subdivision (e)
that is deleted by this revision. The Fifth Amendment requires that
any defendant have affiliating contacts with the United States
sufficient to justify the exercise of personal jurisdiction over
that party. Cf. Wells Fargo & Co. v. Wells Fargo Express Co., 556
F.2d 406, 418 (9th Cir. 1977). There also may be a further Fifth
Amendment constraint in that a plaintiff's forum selection might be
so inconvenient to a defendant that it would be a denial of "fair
play and substantial justice" required by the due process clause,
even though the defendant had significant affiliating contacts with
the United States. See DeJames v. Magnificent Carriers, 654 F.2d
280, 286 n.3 (3rd Cir.), cert. denied, 454 U.S. 1085 (1981).
Compare World-Wide Volkswagen Corp. v. Woodson, 444 U.S. 286, 293-
294 (1980); Insurance Corp. of Ireland v. Compagnie des Bauxites
de Guinee, 456 U.S. 694, 702-03 (1982); Burger King Corp. v.
Rudzewicz, 471 U.S. 462, 476-78 (1985); Asahi Metal Indus. v.
Superior Court of Cal., Solano County, 480 U.S. 102, 108-13 (1987).
See generally R. Lusardi, Nationwide Service of Process: Due
Process Limitations on the Power of the Sovereign, 33 Vill. L. Rev.
1 (1988).
This provision does not affect the operation of federal venue
legislation. See generally 28 U.S.C. Sec. 1391. Nor does it affect
the operation of federal law providing for the change of venue. 28
U.S.C. Secs. 1404, 1406. The availability of transfer for fairness
and convenience under Sec. 1404 should preclude most conflicts
between the full exercise of territorial jurisdiction permitted by
this rule and the Fifth Amendment requirement of "fair play and
substantial justice."
The district court should be especially scrupulous to protect
aliens who reside in a foreign country from forum selections so
onerous that injustice could result. "[G]reat care and reserve
should be exercised when extending our notions of personal
jurisdiction into the international field." Asahi Metal Indus. v.
Superior Court of Cal., Solano County, 480 U.S. 102, 115 (1987),
quoting United States v. First Nat'l City Bank, 379 U.S. 378, 404
(1965) (Harlan, J., dissenting).
This narrow extension of the federal reach applies only if a
claim is made against the defendant under federal law. It does not
establish personal jurisdiction if the only claims are those
arising under state law or the law of another country, even though
there might be diversity or alienage subject matter jurisdiction as
to such claims. If, however, personal jurisdiction is established
under this paragraph with respect to a federal claim, then 28
U.S.C. Sec. 1367(a) provides supplemental jurisdiction over related
claims against that defendant, subject to the court's discretion to
decline exercise of that jurisdiction under 28 U.S.C. Sec. 1367(c).
Subdivision (l). This subdivision assembles in one place all the
provisions of the present rule bearing on proof of service. No
material change in the rule is effected. The provision that proof
of service can be amended by leave of court is retained from the
former subdivision (h). See generally 4A Wright & Miller, Federal
Practice and Procedure Sec. 1132 (2d ed. 1987).
Subdivision (m). This subdivision retains much of the language of
the present subdivision (j).
The new subdivision explicitly provides that the court shall
allow additional time if there is good cause for the plaintiff's
failure to effect service in the prescribed 120 days, and
authorizes the court to relieve a plaintiff of the consequences of
an application of this subdivision even if there is no good cause
shown. Such relief formerly was afforded in some cases, partly in
reliance on Rule 6(b). Relief may be justified, for example, if the
applicable statute of limitations would bar the refiled action, or
if the defendant is evading service or conceals a defect in
attempted service. E.g., Ditkof v. Owens-Illinois, Inc., 114 F.R.D.
104 (E.D. Mich. 1987). A specific instance of good cause is set
forth in paragraph (3) of this rule, which provides for extensions
if necessary to correct oversights in compliance with the
requirements of multiple service in actions against the United
States or its officers, agencies, and corporations. The district
court should also take care to protect pro se plaintiffs from
consequences of confusion or delay attending the resolution of an
in forma pauperis petition. Robinson v. America's Best Contacts &
Eyeglasses, 876 F.2d 596 (7th Cir. 1989).
The 1983 revision of this subdivision referred to the "party on
whose behalf such service was required," rather than to the
"plaintiff," a term used generically elsewhere in this rule to
refer to any party initiating a claim against a person who is not a
party to the action. To simplify the text, the revision returns to
the usual practice in the rule of referring simply to the plaintiff
even though its principles apply with equal force to defendants who
may assert claims against non-parties under Rules 13(h), 14, 19,
20, or 21.
Subdivision (n). This subdivision provides for in rem and quasi-
in-rem jurisdiction. Paragraph (1) incorporates any requirements
of 28 U.S.C. Sec. 1655 or similar provisions bearing on seizures or
liens.
Paragraph (2) provides for other uses of quasi-in-rem
jurisdiction but limits its use to exigent circumstances.
Provisional remedies may be employed as a means to secure
jurisdiction over the property of a defendant whose person is not
within reach of the court, but occasions for the use of this
provision should be rare, as where the defendant is a fugitive or
assets are in imminent danger of disappearing. Until 1963, it was
not possible under Rule 4 to assert jurisdiction in a federal court
over the property of a defendant not personally served. The 1963
amendment to subdivision (e) authorized the use of state law
procedures authorizing seizures of assets as a basis for
jurisdiction. Given the liberal availability of long-arm
jurisdiction, the exercise of power quasi-in-rem has become almost
an anachronism. Circumstances too spare to affiliate the defendant
to the forum state sufficiently to support long-arm jurisdiction
over the defendant's person are also inadequate to support seizure
of the defendant's assets fortuitously found within the state.
Shaffer v. Heitner, 433 U.S. 186 (1977).

COMMITTEE NOTES ON RULES - 2000 AMENDMENT
Paragraph (2)(B) is added to Rule 4(i) to require service on the
United States when a United States officer or employee is sued in
an individual capacity for acts or omissions occurring in
connection with duties performed on behalf of the United States.
Decided cases provide uncertain guidance on the question whether
the United States must be served in such actions. See Vaccaro v.
Dobre, 81 F.3d 854, 856-857 (9th Cir. 1996); Armstrong v. Sears, 33
F.3d 182, 185-187 (2d Cir. 1994); Ecclesiastical Order of the Ism
of Am v. Chasin, 845 F.2d 113, 116 (6th Cir. 1988); Light v. Wolf,
816 F.2d 746 (D.C. Cir. 1987); see also Simpkins v. District of
Columbia, 108 F.3d 366, 368-369 (D.C. Cir. 1997). Service on the
United States will help to protect the interest of the individual
defendant in securing representation by the United States, and will
expedite the process of determining whether the United States will
provide representation. It has been understood that the individual
defendant must be served as an individual defendant, a requirement
that is made explicit. Invocation of the individual service
provisions of subdivisions (e), (f), and (g) invokes also the
waiver-of-service provisions of subdivision (d).
Paragraph 2(B) reaches service when an officer or employee of the
United States is sued in an individual capacity "for acts or
omissions occurring in connection with the performance of duties on
behalf of the United States." This phrase has been chosen as a
functional phrase that can be applied without the occasionally
distracting associations of such phrases as "scope of employment,"
"color of office," or "arising out of the employment." Many actions
are brought against individual federal officers or employees of the
United States for acts or omissions that have no connection
whatever to their governmental roles. There is no reason to require
service on the United States in these actions. The connection to
federal employment that requires service on the United States must
be determined as a practical matter, considering whether the
individual defendant has reasonable grounds to look to the United
States for assistance and whether the United States has reasonable
grounds for demanding formal notice of the action.
An action against a former officer or employee of the United
States is covered by paragraph (2)(B) in the same way as an action
against a present officer or employee. Termination of the
relationship between the individual defendant and the United States
does not reduce the need to serve the United States.
Paragraph (3) is amended to ensure that failure to serve the
United States in an action governed by paragraph 2(B) does not
defeat an action. This protection is adopted because there will be
cases in which the plaintiff reasonably fails to appreciate the
need to serve the United States. There is no requirement, however,
that the plaintiff show that the failure to serve the United States
was reasonable. A reasonable time to effect service on the United
States must be allowed after the failure is pointed out. An
additional change ensures that if the United States or United
States attorney is served in an action governed by paragraph 2(A),
additional time is to be allowed even though no officer, employee,
agency, or corporation of the United States was served.
GAP Report. The most important changes were made to ensure that
no one would read the seemingly independent provisions of
paragraphs 2(A) and 2(B) to mean that service must be made twice
both on the United States and on the United States employee when
the employee is sued in both official and individual capacities.
The word "only" was added in subparagraph (A) and the new phrase
"whether or not the officer or employee is sued also in an
individual capacity" was inserted in subparagraph (B).
Minor changes were made to include "Employees" in the catchline
for subdivision (i), and to add "or employee" in paragraph 2(A).
Although it may seem awkward to think of suit against an employee
in an official capacity, there is no clear definition that
separates "officers" from "employees" for this purpose. The
published proposal to amend Rule 12(a)(3) referred to actions
against an employee sued in an official capacity, and it seemed
better to make the rules parallel by adding "employee" to Rule
4(i)(2)(A) than by deleting it from Rule 12(a)(3)(A).

AMENDMENT BY PUBLIC LAW
1983 - Subd. (a). Pub. L. 97-462, Sec. 2(1), substituted "deliver
the summons to the plaintiff or the plaintiff's attorney, who shall
be responsible for prompt service of the summons and a copy of the
complaint" for "deliver it for service to the marshal or to any
other person authorized by Rule 4(c) to serve it".
Subd. (c). Pub. L. 97-462, Sec. 2(2), substituted provision with
subd. heading "Service" for provision with subd. heading "By Whom
Served" which read: "Service of process shall be made by a United
States marshal, by his deputy, or by some person specially
appointed by the court for that purpose, except that a subpoena may
be served as provided in Rule 45. Special appointments to serve
process shall be made freely. Service of process may also be made
by a person authorized to serve process in an action brought in the
courts of general jurisdiction of the state in which the district
court is held or in which service is made."
Subd. (d). Pub. L. 97-462, Sec. 2(3), (4), substituted "Summons
and Complaint: Person to be Served" for "Summons: Personal Service"
in subd. heading.
Subd. (d)(5). Pub. L. 97-462, Sec. 2(4), substituted "sending a
copy of the summons and of the complaint by registered or certified
mail" for "delivering a copy of the summons and of the complaint".
Subd. (d)(7). Pub. L. 97-462, Sec. 2(3)(B), struck out par. (7)
which read: "Upon a defendant of any class referred to in paragraph
(1) or (3) of this subdivision of this rule, it is also sufficient
if the summons and complaint are served in the manner prescribed by
any statute of the United States or in the manner prescribed by the
law of the state in which the district court is held for the
service of summons or other like process upon any such defendant in
an action brought in the courts of general jurisdiction of that
state.". See subd. (c)(2)(C) of this rule.
Subd. (e). Pub. L. 97-462, Sec. 2(5), substituted "Summons" for
"Same" as subd. heading.
Subd. (g). Pub. L. 97-462, Sec. 2(6), substituted in second
sentence "deputy United States marshal" and "such person" for "his
deputy" and "he" and inserted third sentence "If service is made
under subdivision (c)(2)(C)(ii) of this rule, return shall be made
by the sender's filing with the court the acknowledgment received
pursuant to such subdivision.".
Subd. (j). Pub. L. 97-462, Sec. 2(7), added subd. (j).

EFFECTIVE DATE OF 1983 AMENDMENT
Amendment by Pub. L. 97-462 effective 45 days after Jan. 12,
1983, see section 4 of Pub. L. 97-462, set out as a note under
section 2071 of this title.

-End-



-CITE-
28 USC APPENDIX Rule 4.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
Rule 4.1. Service of Other Process

-STATUTE-
(a) Generally. Process other than a summons as provided in Rule 4
or subpoena as provided in Rule 45 shall be served by a United
States marshal, a deputy United States marshal, or a person
specially appointed for that purpose, who shall make proof of
service as provided in Rule 4(l). The process may be served
anywhere within the territorial limits of the state in which the
district court is located, and, when authorized by a statute of the
United States, beyond the territorial limits of that state.
(b) Enforcement of Orders: Commitment for Civil Contempt. An
order of civil commitment of a person held to be in contempt of a
decree or injunction issued to enforce the laws of the United
States may be served and enforced in any district. Other orders in
civil contempt proceedings shall be served in the state in which
the court issuing the order to be enforced is located or elsewhere
within the United States if not more than 100 miles from the place
at which the order to be enforced was issued.

-SOURCE-
(As added Apr. 22, 1993, eff. Dec. 1, 1993.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1993
This is a new rule. Its purpose is to separate those few
provisions of the former Rule 4 bearing on matters other than
service of a summons to allow greater textual clarity in Rule 4.
Subdivision (a) contains no new language.
Subdivision (b) replaces the final clause of the penultimate
sentence of the former subdivision 4(f), a clause added to the rule
in 1963. The new rule provides for nationwide service of orders of
civil commitment enforcing decrees of injunctions issued to compel
compliance with federal law. The rule makes no change in the
practice with respect to the enforcement of injunctions or decrees
not involving the enforcement of federally-created rights.
Service of process is not required to notify a party of a decree
or injunction, or of an order that the party show cause why that
party should not be held in contempt of such an order. With respect
to a party who has once been served with a summons, the service of
the decree or injunction itself or of an order to show cause can be
made pursuant to Rule 5. Thus, for example, an injunction may be
served on a party through that person's attorney. Chagas v. United
States, 369 F.2d 643 (5th Cir. 1966). The same is true for service
of an order to show cause. Waffenschmidt v. Mackay, 763 F.2d 711
(5th Cir. 1985).
The new rule does not affect the reach of the court to impose
criminal contempt sanctions. Nationwide enforcement of federal
decrees and injunctions is already available with respect to
criminal contempt: a federal court may effect the arrest of a
criminal contemnor anywhere in the United States, 28 U.S.C. Sec.
3041, and a contemnor when arrested may be subject to removal to
the district in which punishment may be imposed. Fed. R. Crim. P.
40. Thus, the present law permits criminal contempt enforcement
against a contemnor wherever that person may be found.
The effect of the revision is to provide a choice of civil or
criminal contempt sanctions in those situations to which it
applies. Contempt proceedings, whether civil or criminal, must be
brought in the court that was allegedly defied by a contumacious
act. Ex parte Bradley, 74 U.S. 366 (1869). This is so even if the
offensive conduct or inaction occurred outside the district of the
court in which the enforcement proceeding must be conducted. E.g.,
McCourtney v. United States, 291 Fed. 497 (8th Cir.), cert. denied,
263 U.S. 714 (1923). For this purpose, the rule as before does not
distinguish between parties and other persons subject to contempt
sanctions by reason of their relation or connection to parties.

-End-



-CITE-
28 USC APPENDIX Rule 5 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
Rule 5. Service and Filing of Pleadings and Other Papers

-STATUTE-
(a) Service: When Required. Except as otherwise provided in these
rules, every order required by its terms to be served, every
pleading subsequent to the original complaint unless the court
otherwise orders because of numerous defendants, every paper
relating to discovery required to be served upon a party unless the
court otherwise orders, every written motion other than one which
may be heard ex parte, and every written notice, appearance,
demand, offer of judgment, designation of record on appeal, and
similar paper shall be served upon each of the parties. No service
need be made on parties in default for failure to appear except
that pleadings asserting new or additional claims for relief
against them shall be served upon them in the manner provided for
service of summons in Rule 4.
In an action begun by seizure of property, in which no person
need be or is named as defendant, any service required to be made
prior to the filing of an answer, claim, or appearance shall be
made upon the person having custody or possession of the property
at the time of its seizure.
(b) Making Service.
(1) Service under Rules 5(a) and 77(d) on a party represented
by an attorney is made on the attorney unless the court orders
service on the party.
(2) Service under Rule 5(a) is made by:
(A) Delivering a copy to the person served by:
(i) handing it to the person;
(ii) leaving it at the person's office with a clerk or
other person in charge, or if no one is in charge leaving it
in a conspicuous place in the office; or
(iii) if the person has no office or the office is closed,
leaving it at the person's dwelling house or usual place of
abode with someone of suitable age and discretion residing
there.

(B) Mailing a copy to the last known address of the person
served. Service by mail is complete on mailing.
(C) If the person served has no known address, leaving a copy
with the clerk of the court.
(D) Delivering a copy by any other means, including
electronic means, consented to in writing by the person served.
Service by electronic means is complete on transmission;
service by other consented means is complete when the person
making service delivers the copy to the agency designated to
make delivery. If authorized by local rule, a party may make
service under this subparagraph (D) through the court's
transmission facilities.

(3) Service by electronic means under Rule 5(b)(2)(D) is not
effective if the party making service learns that the attempted
service did not reach the person to be served.

(c) Same: Numerous Defendants. In any action in which there are
unusually large numbers of defendants, the court, upon motion or of
its own initiative, may order that service of the pleadings of the
defendants and replies thereto need not be made as between the
defendants and that any cross-claim, counterclaim, or matter
constituting an avoidance or affirmative defense contained therein
shall be deemed to be denied or avoided by all other parties and
that the filing of any such pleading and service thereof upon the
plaintiff constitutes due notice of it to the parties. A copy of
every such order shall be served upon the parties in such manner
and form as the court directs.
(d) Filing; Certificate of Service. All papers after the
complaint required to be served upon a party, together with a
certificate of service, must be filed with the court within a
reasonable time after service, but disclosures under Rule 26(a)(1)
or (2) and the following discovery requests and responses must not
be filed until they are used in the proceeding or the court orders
filing: (i) depositions, (ii) interrogatories, (iii) requests for
documents or to permit entry upon land, and (iv) requests for
admission.
(e) Filing with the Court Defined. The filing of papers with the
court as required by these rules shall be made by filing them with
the clerk of court, except that the judge may permit the papers to
be filed with the judge, in which event the judge shall note
thereon the filing date and forthwith transmit them to the office
of the clerk. A court may by local rule permit or require papers to
be filed, signed, or verified by electronic means that are
consistent with technical standards, if any, that the Judicial
Conference of the United States establishes. A local rule may
require filing by electronic means only if reasonable exceptions
are allowed. A paper filed by electronic means in compliance with a
local rule constitutes a written paper for the purpose of applying
these rules. The clerk shall not refuse to accept for filing any
paper presented for that purpose solely because it is not presented
in proper form as required by these rules or any local rules or
practices.

-SOURCE-
(As amended Jan. 21, 1963, eff. July 1, 1963; Mar. 30, 1970, eff.
July 1, 1970; Apr. 29, 1980, eff. Aug. 1, 1980; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 30, 1991, eff. Dec. 1, 1991; Apr. 22, 1993, eff.
Dec. 1, 1993; Apr. 23, 1996, eff. Dec. 1, 1996; Apr. 17, 2000, eff.
Dec. 1, 2000; Apr. 23, 2001, eff. Dec. 1, 2001; Apr. 12, 2006, eff.
Dec. 1, 2006.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivisions (a) and (b). Compare 2 Minn.Stat. (Mason,
1927) Secs. 9240, 9241, 9242; N.Y.C.P.A. (1937) Secs. 163, 164, and
N.Y.R.C.P. (1937) Rules 20, 21; 2 Wash.Rev.Stat.Ann. (Remington,
1932) Secs. 244-249.
Note to Subdivision (d). Compare the present practice under
[former] Equity Rule 12 (Issue of Subpoena - Time for Answer).

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
The words "affected thereby," stricken out by the amendment,
introduced a problem of interpretation. See 1 Barron & Holtzoff,
Federal Practice & Procedure 760-61 (Wright ed. 1960). The
amendment eliminates this difficulty and promotes full exchange of
information among the parties by requiring service of papers on all
the parties to the action, except as otherwise provided in the
rules. See also subdivision (c) of Rule 5. So, for example, a third-
party defendant is required to serve his answer to the third-party
complaint not only upon the defendant but also upon the plaintiff.
See amended Form 22-A and the Advisory Committee's Note thereto.
As to the method of serving papers upon a party whose address is
unknown, see Rule 5(b).

NOTES OF ADVISORY COMMITTEE ON RULES - 1970 AMENDMENT
The amendment makes clear that all papers relating to discovery
which are required to be served on any party must be served on all
parties, unless the court orders otherwise. The present language
expressly includes notices and demands, but it is not explicit as
to answers or responses as provided in Rules 33, 34, and 36.
Discovery papers may be voluminous or the parties numerous, and the
court is empowered to vary the requirement if in a given case it
proves needlessly onerous.
In actions begun by seizure of property, service will at times
have to be made before the absent owner of the property has filed
an appearance. For example, a prompt deposition may be needed in a
maritime action in rem. See Rules 30(a) and 30(b)(2) and the
related notes. A provision is added authorizing service on the
person having custody or possession of the property at the time of
its seizure.

NOTES OF ADVISORY COMMITTEE ON RULES - 1980 AMENDMENT
Subdivision (d). By the terms of this rule and Rule 30(f)(1)
discovery materials must be promptly filed, although it often
happens that no use is made of the materials after they are filed.
Because the copies required for filing are an added expense and the
large volume of discovery filings presents serious problems of
storage in some districts, the Committee in 1978 first proposed
that discovery materials not be filed unless on order of the court
or for use in the proceedings. But such materials are sometimes of
interest to those who may have no access to them except by a
requirement of filing, such as members of a class, litigants
similarly situated, or the public generally. Accordingly, this
amendment and a change in Rule 30(f)(1) continue the requirement of
filing but make it subject to an order of the court that discovery
materials not be filed unless filing is requested by the court or
is effected by parties who wish to use the materials in the
proceeding.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
Subdivision (d). This subdivision is amended to require that the
person making service under the rule certify that service has been
effected. Such a requirement has generally been imposed by local
rule.
Having such information on file may be useful for many purposes,
including proof of service if an issue arises concerning the
effectiveness of the service. The certificate will generally
specify the date as well as the manner of service, but parties
employing private delivery services may sometimes be unable to
specify the date of delivery. In the latter circumstance, a
specification of the date of transmission of the paper to the
delivery service may be sufficient for the purposes of this rule.
Subdivision (e). The words "pleading and other" are stricken as
unnecessary. Pleadings are papers within the meaning of the rule.
The revision also accommodates the development of the use of
facsimile transmission for filing.
Several local district rules have directed the office of the
clerk to refuse to accept for filing papers not conforming to
certain requirements of form imposed by local rules or practice.
This is not a suitable role for the office of the clerk, and the
practice exposes litigants to the hazards of time bars; for these
reasons, such rules are proscribed by this revision. The
enforcement of these rules and of the local rules is a role for a
judicial officer. A clerk may of course advise a party or counsel
that a particular instrument is not in proper form, and may be
directed to so inform the court.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
This is a technical amendment, using the broader language of Rule
25 of the Federal Rules of Appellate Procedure. The district court -
and the bankruptcy court by virtue of a cross-reference in
Bankruptcy Rule 7005 - can, by local rule, permit filing not only
by facsimile transmissions but also by other electronic means,
subject to standards approved by the Judicial Conference.

NOTES OF ADVISORY COMMITTEE ON RULES - 1996 AMENDMENT
The present Rule 5(e) has authorized filing by facsimile or other
electronic means on two conditions. The filing must be authorized
by local rule. Use of this means of filing must be authorized by
the Judicial Conference of the United States and must be consistent
with standards established by the Judicial Conference. Attempts to
develop Judicial Conference standards have demonstrated the value
of several adjustments in the rule.
The most significant change discards the requirement that the
Judicial Conference authorize local electronic filing rules. As
before, each district may decide for itself whether it has the
equipment and personnel required to establish electronic filing,
but a district that wishes to establish electronic filing need no
longer await Judicial Conference action.
The role of the Judicial Conference standards is clarified by
specifying that the standards are to govern technical matters.
Technical standards can provide nationwide uniformity, enabling
ready use of electronic filing without pausing to adjust for the
otherwise inevitable variations among local rules. Judicial
Conference adoption of technical standards should prove superior to
specification in these rules. Electronic technology has advanced
with great speed. The process of adopting Judicial Conference
standards should prove speedier and more flexible in determining
the time for the first uniform standards, in adjusting standards at
appropriate intervals, and in sparing the Supreme Court and
Congress the need to consider technological details. Until Judicial
Conference standards are adopted, however, uniformity will occur
only to the extent that local rules deliberately seek to copy other
local rules.
It is anticipated that Judicial Conference standards will govern
such technical specifications as data formatting, speed of
transmission, means to transmit copies of supporting documents, and
security of communication. Perhaps more important, standards must
be established to assure proper maintenance and integrity of the
record and to provide appropriate access and retrieval mechanisms.
Local rules must address these issues until Judicial Conference
standards are adopted.
The amended rule also makes clear the equality of filing by
electronic means with written filings. An electronic filing that
complies with the local rule satisfies all requirements for filing
on paper, signature, or verification. An electronic filing that
otherwise satisfies the requirements of 28 U.S.C. Sec. 1746 need
not be separately made in writing. Public access to electronic
filings is governed by the same rules as govern written filings.
The separate reference to filing by facsimile transmission is
deleted. Facsimile transmission continues to be included as an
electronic means.

COMMITTEE NOTES ON RULES - 2000 AMENDMENT
Subdivision (d). Rule 5(d) is amended to provide that disclosures
under Rule 26(a)(1) and (2), and discovery requests and responses
under Rules 30, 31, 33, 34, and 36 must not be filed until they are
used in the action. "Discovery requests" includes deposition
notices and "discovery responses" includes objections. The rule
supersedes and invalidates local rules that forbid, permit, or
require filing of these materials before they are used in the
action. The former Rule 26(a)(4) requirement that disclosures under
Rule 26(a)(1) and (2) be filed has been removed. Disclosures under
Rule 26(a)(3), however, must be promptly filed as provided in Rule
26(a)(3). Filings in connection with Rule 35 examinations, which
involve a motion proceeding when the parties do not agree, are
unaffected by these amendments.
Recognizing the costs imposed on parties and courts by required
filing of discovery materials that are never used in an action,
Rule 5(d) was amended in 1980 to authorize court orders that excuse
filing. Since then, many districts have adopted local rules that
excuse or forbid filing. In 1989 the Judicial Conference Local
Rules Project concluded that these local rules were inconsistent
with Rule 5(d), but urged the Advisory Committee to consider
amending the rule. Local Rules Project at 92 (1989). The Judicial
Conference of the Ninth Circuit gave the Committee similar advice
in 1997. The reality of nonfiling reflected in these local rules
has even been assumed in drafting the national rules. In 1993, Rule
30(f)(1) was amended to direct that the officer presiding at a
deposition file it with the court or send it to the attorney who
arranged for the transcript or recording. The Committee Note
explained that this alternative to filing was designed for "courts
which direct that depositions not be automatically filed." Rule
30(f)(1) has been amended to conform to this change in Rule 5(d).
Although this amendment is based on widespread experience with
local rules, and confirms the results directed by these local
rules, it is designed to supersede and invalidate local rules.
There is no apparent reason to have different filing rules in
different districts. Even if districts vary in present capacities
to store filed materials that are not used in an action, there is
little reason to continue expending court resources for this
purpose. These costs and burdens would likely change as parties
make increased use of audio- and videotaped depositions. Equipment
to facilitate review and reproduction of such discovery materials
may prove costly to acquire, maintain, and operate.
The amended rule provides that discovery materials and
disclosures under Rule 26(a)(1) and (a)(2) must not be filed until
they are "used in the proceeding." This phrase is meant to refer to
proceedings in court. This filing requirement is not triggered by
"use" of discovery materials in other discovery activities, such as
depositions. In connection with proceedings in court, however, the
rule is to be interpreted broadly; any use of discovery materials
in court in connection with a motion, a pretrial conference under
Rule 16, or otherwise, should be interpreted as use in the
proceeding.
Once discovery or disclosure materials are used in the
proceeding, the filing requirements of Rule 5(d) should apply to
them. But because the filing requirement applies only with regard
to materials that are used, only those parts of voluminous
materials that are actually used need be filed. Any party would be
free to file other pertinent portions of materials that are so
used. See Fed. R. Evid. 106; cf. Rule 32(a)(4). If the parties are
unduly sparing in their submissions, the court may order further
filings. By local rule, a court could provide appropriate direction
regarding the filing of discovery materials, such as depositions,
that are used in proceedings.
"Shall" is replaced by "must" under the program to conform
amended rules to current style conventions when there is no
ambiguity.
GAP Report. The Advisory Committee recommends no changes to
either the amendments to Rule 5(d) or the Committee Note as
published.

COMMITTEE NOTES ON RULES - 2001 AMENDMENT
Rule 5(b) is restyled.
Rule 5(b)(1) makes it clear that the provision for service on a
party's attorney applies only to service made under Rules 5(a) and
77(d). Service under Rules 4, 4.1, 45(b), and 71A(d)(3) - as well
as rules that invoke those rules - must be made as provided in
those rules.
Subparagraphs (A), (B), and (C) of Rule 5(b)(2) carry forward the
method-of-service provisions of former Rule 5(b).
Subparagraph (D) of Rule 5(b)(2) is new. It authorizes service by
electronic means or any other means, but only if consent is
obtained from the person served. The consent must be express, and
cannot be implied from conduct. Early experience with electronic
filing as authorized by Rule 5(d) is positive, supporting service
by electronic means as well. Consent is required, however, because
it is not yet possible to assume universal entry into the world of
electronic communication. Subparagraph (D) also authorizes service
by nonelectronic means. The Rule 5(b)(2)(B) provision making mail
service complete on mailing is extended in subparagraph (D) to make
service by electronic means complete on transmission; transmission
is effected when the sender does the last act that must be
performed by the sender. Service by other agencies is complete on
delivery to the designated agency.
Finally, subparagraph (D) authorizes adoption of local rules
providing for service through the court. Electronic case filing
systems will come to include the capacity to make service by using
the court's facilities to transmit all documents filed in the case.
It may prove most efficient to establish an environment in which a
party can file with the court, making use of the court's
transmission facilities to serve the filed paper on all other
parties. Transmission might be by such means as direct transmission
of the paper, or by transmission of a notice of filing that
includes an electronic link for direct access to the paper. Because
service is under subparagraph (D), consent must be obtained from
the persons served.
Consent to service under Rule 5(b)(2)(D) must be in writing,
which can be provided by electronic means. Parties are encouraged
to specify the scope and duration of the consent. The specification
should include at least the persons to whom service should be made,
the appropriate address or location for such service - such as the
e-mail address or facsimile machine number, and the format to be
used for attachments. A district court may establish a registry or
other facility that allows advance consent to service by specified
means for future actions.
Rule 6(e) is amended to allow additional time to respond when
service is made under Rule 5(b)(2)(D). The additional time does not
relieve a party who consents to service under Rule 5(b)(2)(D) of
the responsibilities to monitor the facility designated for
receiving service and to provide prompt notice of any address
change.
Paragraph (3) addresses a question that may arise from a literal
reading of the provision that service by electronic means is
complete on transmission. Electronic communication is rapidly
improving, but lawyers report continuing failures of transmission,
particularly with respect to attachments. Ordinarily the risk of
non-receipt falls on the person being served, who has consented to
this form of service. But the risk should not extend to situations
in which the person attempting service learns that the attempted
service in fact did not reach the person to be served. Given actual
knowledge that the attempt failed, service is not effected. The
person attempting service must either try again or show
circumstances that justify dispensing with service.
Paragraph (3) does not address the similar questions that may
arise when a person attempting service learns that service by means
other than electronic means in fact did not reach the person to be
served. Case law provides few illustrations of circumstances in
which a person attempting service actually knows that the attempt
failed but seeks to act as if service had been made. This negative
history suggests there is no need to address these problems in Rule
5(b)(3). This silence does not imply any view on these issues, nor
on the circumstances that justify various forms of judicial action
even though service has not been made.
Changes Made After Publication and Comments Rule 5(b)(2)(D) was
changed to require that consent be "in writing."
Rule 5(b)(3) is new. The published proposal did not address the
question of failed service in the text of the rule. Instead, the
Committee Note included this statement: "As with other modes of
service, however, actual notice that the transmission was not
received defeats the presumption of receipt that arises from the
provision that service is complete on transmission. The sender must
take additional steps to effect service. Service by other agencies
is complete on delivery to the designated agency." The addition of
paragraph (3) was prompted by consideration of the draft Appellate
Rule 25(c) that was prepared for the meeting of the Appellate Rules
Advisory Committee. This draft provided: "Service by electronic
means is complete on transmission, unless the party making service
is notified that the paper was not received." Although Appellate
Rule 25(c) is being prepared for publication and comment, while
Civil Rule 5(b) has been published and otherwise is ready to
recommend for adoption, it seemed desirable to achieve some
parallel between the two rules.
The draft Rule 5(b)(3) submitted for consideration by the
Advisory Committee covered all means of service except for leaving
a copy with the clerk of the court when the person to be served has
no known address. It was not limited to electronic service for fear
that a provision limited to electronic service might generate
unintended negative implications as to service by other means,
particularly mail. This concern was strengthened by a small number
of opinions that say that service by mail is effective, because
complete on mailing, even when the person making service has prompt
actual notice that the mail was not delivered. The Advisory
Committee voted to limit Rule 5(b)(3) to service by electronic
means because this means of service is relatively new, and seems
likely to miscarry more frequently than service by post. It was
suggested during the Advisory Committee meeting that the question
of negative implication could be addressed in the Committee Note.
There was little discussion of this possibility. The Committee Note
submitted above includes a "no negative implications" paragraph
prepared by the Reporter for consideration by the Standing
Committee.
The Advisory Committee did not consider at all a question that
was framed during the later meeting of the Appellate Rules Advisory
Committee. As approved by the Advisory Committee, Rule 5(b)(3)
defeats service by electronic means "if the party making service
learns that the attempted service did not reach the person to be
served." It says nothing about the time relevant to learning of the
failure. The omission may seem glaring. Curing the omission,
however, requires selection of a time. As revised, proposed
Appellate Rule 25(c) requires that the party making service learn
of the failure within three calendar days. The Appellate Rules
Advisory Committee will have the luxury of public comment and
another year to consider the desirability of this short period. If
Civil Rule 5(b) is to be recommended for adoption now, no such
luxury is available. This issue deserves careful consideration by
the Standing Committee.
Several changes are made in the Committee Note. (1) It requires
that consent "be express, and cannot be implied from conduct." This
addition reflects a more general concern stimulated by a reported
ruling that an e-mail address on a firm's letterhead implied
consent to email service. (2) The paragraph discussing service
through the court's facilities is expanded by describing
alternative methods, including an "electronic link." (3) There is a
new paragraph that states that the requirement of written consent
can be satisfied by electronic means, and that suggests matters
that should be addressed by the consent. (4) A paragraph is added
to note the additional response time provided by amended Rule 6(e).
(5) The final two paragraphs address newly added Rule 5(b)(3). The
first explains the rule that electronic service is not effective if
the person making service learns that it did not reach the person
to be served. The second paragraph seeks to defeat any negative
implications that might arise from limiting Rule 5(b)(3) to
electronic service, not mail, not other means consented to such as
commercial express service, and not service on another person on
behalf of the person to be served.

RULE 6(E)
The Advisory Committee recommended that no change be made in
Civil Rule 6(e) to reflect the provisions of Civil Rule 5(b)(2)(D)
that, with the consent of the person to be served, would allow
service by electronic or other means. Absent change, service by
these means would not affect the time for acting in response to the
paper served. Comment was requested, however, on the alternative
that would allow an additional 3 days to respond. The alternative
Rule 6(e) amendments are cast in a form that permits ready
incorporation in the Bankruptcy Rules. Several of the comments
suggest that the added three days should be provided. Electronic
transmission is not always instantaneous, and may fail for any of a
number of reasons. It may take three days to arrange for
transmission in readable form. Providing added time to respond will
not discourage people from asking for consent to electronic
transmission, and may encourage people to give consent. The more
who consent, the quicker will come the improvements that will make
electronic service ever more attractive. Consistency with the
Bankruptcy Rules will be a good thing, and the Bankruptcy Rules
Advisory Committee believes the additional three days should be
allowed.

COMMITTEE NOTES ON RULES - 2006 AMENDMENT
Amended Rule 5(e) acknowledges that many courts have required
electronic filing by means of a standing order, procedures manual,
or local rule. These local practices reflect the advantages that
courts and most litigants realize from electronic filing. Courts
that mandate electronic filing recognize the need to make
exceptions when requiring electronic filing imposes a hardship on a
party. Under amended Rule 5(e), a local rule that requires
electronic filing must include reasonable exceptions, but Rule 5(e)
does not define the scope of those exceptions. Experience with the
local rules that have been adopted and that will emerge will aid in
drafting new local rules and will facilitate gradual convergence on
uniform exceptions, whether in local rules or in an amended Rule
5(e).
Changes Made after Publication and Comment. This recommendation
is of a modified version of the proposal as published. The changes
from the published version limit local rule authority to implement
a caution stated in the published Committee Note. A local rule that
requires electronic filing must include reasonable exceptions. This
change was accomplished by a separate sentence stating that a
"local rule may require filing by electronic means only if
reasonable exceptions are allowed." Corresponding changes were made
in the Committee Note, in collaboration with the Appellate Rules
Committee. The changes from the published proposal are shown below.
[Omitted]

-End-



-CITE-
28 USC APPENDIX Rule 5.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
Rule 5.1. Constitutional Challenge to a Statute - Notice,
Certification, and Intervention

-STATUTE-
(a) Notice by a Party. A party that files a pleading, written
motion, or other paper drawing into question the constitutionality
of a federal or state statute must promptly:
(1) file a notice of constitutional question stating the
question and identifying the paper that raises it, if:
(A) a federal statute is questioned and neither the United
States nor any of its agencies, officers, or employees is a
party in an official capacity, or
(B) a state statute is questioned and neither the state nor
any of its agencies, officers, or employees is a party in an
official capacity; and

(2) serve the notice and paper on the Attorney General of the
United States if a federal statute is challenged - or on the
state attorney general if a state statute is challenged - either
by certified or registered mail or by sending it to an electronic
address designated by the attorney general for this purpose.

(b) Certification by the Court. The court must, under 28 U.S.C.
Sec. 2403, certify to the Attorney General of the United States
that there is a constitutional challenge to a federal statute, or
certify to the state attorney general that there is a
constitutional challenge to a state statute.
(c) Intervention; Final Decision on the Merits. Unless the court
sets a later time, the attorney general may intervene within 60
days after the notice of constitutional question is filed or after
the court certifies the challenge, whichever is earlier. Before the
time to intervene expires, the court may reject the constitutional
challenge, but may not enter a final judgment holding the statute
unconstitutional.
(d) No Forfeiture. A party's failure to file and serve the
notice, or the court's failure to certify, does not forfeit a
constitutional claim or defense that is otherwise timely asserted.

-SOURCE-
(As added Apr. 12, 2006, eff. Dec. 1, 2006.)


-MISC1-
COMMITTEE NOTES ON RULES - 2006
Rule 5.1 implements 28 U.S.C. Sec. 2403, replacing the final
three sentences of Rule 24(c). New Rule 5.1 requires a party that
files a pleading, written motion, or other paper drawing in
question the constitutionality of a federal or state statute to
file a notice of constitutional question and serve it on the United
States Attorney General or state attorney general. The party must
promptly file and serve the notice of constitutional question. This
notice requirement supplements the court's duty to certify a
constitutional challenge to the United States Attorney General or
state attorney general. The notice of constitutional question will
ensure that the attorney general is notified of constitutional
challenges and has an opportunity to exercise the statutory right
to intervene at the earliest possible point in the litigation. The
court's certification obligation remains, and is the only notice
when the constitutionality of a federal or state statute is drawn
in question by means other than a party's pleading, written motion,
or other paper.
Moving the notice and certification provisions from Rule 24(c) to
a new rule is designed to attract the parties' attention to these
provisions by locating them in the vicinity of the rules that
require notice by service and pleading.
Rule 5.1 goes beyond the requirements of Sec. 2403 and the former
Rule 24(c) provisions by requiring notice and certification of a
constitutional challenge to any federal or state statute, not only
those "affecting the public interest." It is better to assure,
through notice, that the attorney general is able to determine
whether to seek intervention on the ground that the act or statute
affects a public interest. Rule 5.1 refers to a "federal statute,"
rather than the Sec. 2403 reference to an "Act of Congress," to
maintain consistency in the Civil Rules vocabulary. In Rule 5.1
"statute" means any congressional enactment that would qualify as
an "Act of Congress."
Unless the court sets a later time, the 60-day period for
intervention runs from the time a party files a notice of
constitutional question or from the time the court certifies a
constitutional challenge, whichever is earlier. Rule 5.1(a) directs
that a party promptly serve the notice of constitutional question.
The court may extend the 60-[day] period on its own or on motion.
One occasion for extension may arise if the court certifies a
challenge under Sec. 2403 after a party files a notice of
constitutional question. Pretrial activities may continue without
interruption during the intervention period, and the court retains
authority to grant interlocutory relief. The court may reject a
constitutional challenge to a statute at any time. But the court
may not enter a final judgment holding a statute unconstitutional
before the attorney general has responded or the intervention
period has expired without response. This rule does not displace
any of the statutory or rule procedures that permit dismissal of
all or part of an action - including a constitutional challenge -
at any time, even before service of process.
Changes Made After Publication and Comment. Rule 5.1 as proposed
for adoption incorporates several changes from the published draft.
The changes were made in response to public comments and Advisory
Committee discussion.
The Advisory Committee debated at length the question whether the
party who files a notice of constitutional question should be
required to serve the notice on the appropriate attorney general.
The service requirement was retained, but the time for intervention
was set to run from the earlier of the notice filing or the court's
certification. The definition of the time to intervene was changed
in tandem with this change. The published rule directed the court
to set an intervention time not less than 60 days from the court's
certification. This was changed to set a 60-day period in the rule
"[u]nless the court sets a later time." The Committee Note points
out that the court may extend the 60-day period on its own or on
motion, and recognizes that an occasion for extension may arise if
the 60-day period begins with the filing of the notice of
constitutional question.
The method of serving the notice of constitutional question set
by the published rule called for serving the United States Attorney
General under Civil Rule 4, and for serving a state attorney
general by certified or registered mail. This proposal has been
changed to provide service in all cases either by certified or
registered mail or by sending the Notice to an electronic address
designated by the attorney general for this purpose.
The rule proposed for adoption brings into subdivision (c)
matters that were stated in the published Committee Note but not in
the rule text. The court may reject a constitutional challenge at
any time, but may not enter a final judgment holding a statute
unconstitutional before the time set to intervene expires.
The published rule would have required notice and certification
when an officer of the United States or a state brings suit in an
official capacity. There is no need for notice in such
circumstances. The words "is sued" were deleted to correct this
oversight.
Several style changes were made at the Style Subcommittee's
suggestion. One change that straddles the line between substance
and style appears in Rule 5.1(d). The published version adopted the
language of present Rule 24(c): failure to comply with the Notice
or certification requirements does not forfeit a constitutional
"right." This expression is changed to "claim or defense" from
concern that reference to a "right" may invite confusion of the no-
forfeiture provision with the merits of the claim or defense that
is not forfeited.

-End-



-CITE-
28 USC APPENDIX Rule 6 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
II. COMMENCEMENT OF ACTION; SERVICE OF PROCESS, PLEADINGS, MOTIONS,
AND ORDERS

-HEAD-
Rule 6. Time

-STATUTE-
(a) Computation. In computing any period of time prescribed or
allowed by these rules, by the local rules of any district court,
by order of court, or by any applicable statute, the day of the
act, event, or default from which the designated period of time
begins to run shall not be included. The last day of the period so
computed shall be included, unless it is a Saturday, a Sunday, or a
legal holiday, or, when the act to be done is the filing of a paper
in court, a day on which weather or other conditions have made the
office of the clerk of the district court inaccessible, in which
event the period runs until the end of the next day which is not
one of the aforementioned days. When the period of time prescribed
or allowed is less than 11 days, intermediate Saturdays, Sundays,
and legal holidays shall be excluded in the computation. As used in
this rule and in Rule 77(c), "legal holiday" includes New Year's
Day, Birthday of Martin Luther King, Jr., Washington's Birthday,
Memorial Day, Independence Day, Labor Day, Columbus Day, Veterans
Day, Thanksgiving Day, Christmas Day, and any other day appointed
as a holiday by the President or the Congress of the United States,
or by the state in which the district court is held.
(b) Enlargement. When by these rules or by a notice given
thereunder or by order of court an act is required or allowed to be
done at or within a specified time, the court for cause shown may
at any time in its discretion (1) with or without motion or notice
order the period enlarged if request therefor is made before the
expiration of the period originally prescribed or as extended by a
previous order, or (2) upon motion made after the expiration of the
specified period permit the act to be done where the failure to act
was the result of excusable neglect; but it may not extend the time
for taking any action under Rules 50(b) and (c)(2), 52(b), 59(b),
(d) and (e), and 60(b), except to the extent and under the
conditions stated in them.
[(c) Unaffected by Expiration of Term.] (Rescinded Feb. 28, 1966,
eff. July 1, 1966)
(d) For Motions - Affidavits. A written motion, other than one
which may be heard ex parte, and notice of the hearing thereof
shall be served not later than 5 days before the time specified for
the hearing, unless a different period is fixed by these rules or
by order of the court. Such an order may for cause shown be made on
ex parte application. When a motion is supported by affidavit, the
affidavit shall be served with the motion; and, except as otherwise
provided in Rule 59(c), opposing affidavits may be served not later
than 1 day before the hearing, unless the court permits them to be
served at some other time.
(e) Additional Time After Certain Kinds of Service. Whenever a
party must or may act within a prescribed period after service and
service is made under Rule 5(b)(2)(B), (C), or (D), 3 days are
added after the prescribed period would otherwise expire under
subdivision (a).

-SOURCE-
(As amended Dec. 27, 1946, eff. Mar. 19, 1948; Jan. 21, 1963, eff.
July 1, 1963; Feb. 28, 1966, eff. July 1, 1966; Dec. 4, 1967, eff.
July 1, 1968; Mar. 1, 1971, eff. July 1, 1971; Apr. 28, 1983, eff.
Aug. 1, 1983; Apr. 29, 1985, eff. Aug. 1, 1985; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 26, 1999, eff. Dec. 1, 1999; Apr. 23, 2001, eff.
Dec. 1, 2001; Apr. 25, 2005, eff. Dec. 1, 2005.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivisions (a) and (b). These are amplifications along
lines common in state practices, of [former] Equity Rule 80
(Computation of Time - Sundays and Holidays) and of the provisions
for enlargement of time found in [former] Equity Rules 8
(Enforcement of Final Decrees) and 16 (Defendant to Answer -
Default - Decree Pro Confesso). See also Rule XIII, Rules and Forms
in Criminal Cases, 292 U.S. 661, 666 (1934). Compare Ala.Code Ann.
(Michie, 1928) Sec. 13 and former Law Rule 8 of the Rules of the
Supreme Court of the District of Columbia (1924), superseded in
1929 by Law Rule 8, Rules of the District Court of the United
States for the District of Columbia (1937).
Note to Subdivision (c). This eliminates the difficulties caused
by the expiration of terms of court. Such statutes as U.S.C. Title
28, [former] Sec. 12 (Trials not discontinued by new term) are not
affected. Compare Rules of the United States District Court of
Minnesota, Rule 25 (Minn.Stat. (Mason, Supp. 1936), p. 1089).
Note to Subdivision (d). Compare 2 Minn.Stat. (Mason, 1927) Sec.
9246; N.Y.R.C.P. (1937) Rules 60 and 64.

NOTES OF ADVISORY COMMITTEE ON RULES - 1946 AMENDMENT
Subdivision (b). The purpose of the amendment is to clarify the
finality of judgments. Prior to the advent of the Federal Rules of
Civil Procedure, the general rule that a court loses jurisdiction
to disturb its judgments, upon the expiration of the term at which
they were entered, had long been the classic device which (together
with the statutory limits on the time for appeal) gave finality to
judgments. See Note to Rule 73(a). Rule 6(c) abrogates that limit
on judicial power. That limit was open to many objections, one of
them being inequality of operation because, under it, the time for
vacating a judgment rendered early in a term was much longer than
for a judgment rendered near the end of the term.
The question to be met under Rule 6(b) is: how far should the
desire to allow correction of judgments be allowed to postpone
their finality? The rules contain a number of provisions permitting
the vacation or modification of judgments on various grounds. Each
of these rules contains express time limits on the motions for
granting of relief. Rule 6(b) is a rule of general application
giving wide discretion to the court to enlarge these time limits or
revive them after they have expired, the only exceptions stated in
the original rule being a prohibition against enlarging the time
specified in Rule 59(b) and (d) for making motions for or granting
new trials, and a prohibition against enlarging the time fixed by
law for taking an appeal. It should also be noted that Rule 6(b)
itself contains no limitation of time within which the court may
exercise its discretion, and since the expiration of the term does
not end its power, there is now no time limit on the exercise of
its discretion under Rule 6(b).
Decisions of lower federal courts suggest that some of the rules
containing time limits which may be set aside under Rule 6(b) are
Rules 25, 50(b), 52(b), 60(b), and 73(g).
In a number of cases the effect of Rule 6(b) on the time
limitations of these rules has been considered. Certainly the rule
is susceptible of the interpretation that the court is given the
power in its discretion to relieve a party from failure to act
within the times specified in any of these other rules, with only
the exceptions stated in Rule 6(b), and in some cases the rule has
been so construed.
With regard to Rule 25(a) for substitution, it was held in
Anderson v. Brady (E.D.Ky. 1941) 4 Fed.Rules Service 25a.1, Case 1,
and in Anderson v. Yungkau (C.C.A. 6th, 1946) 153 F.(2d) 685, cert.
granted (1946) 66 S.Ct. 1025, that under Rule 6(b) the court had no
authority to allow substitution of parties after the expiration of
the limit fixed in Rule 25(a).
As to Rules 50(b) for judgments notwithstanding the verdict and
52(b) for amendment of findings and vacation of judgment, it was
recognized in Leishman v. Associated Wholesale Electric Co. (1943)
318 U.S. 203, that Rule 6(b) allowed the district court to enlarge
the time to make a motion for amended findings and judgment beyond
the limit expressly fixed in Rule 52(b). See Coca-Cola v. Busch
(E.D.Pa. 1943) 7 Fed.Rules Service 59b.2, Case 4. Obviously, if the
time limit in Rule 52(b) could be set aside under Rule 6(b), the
time limit in Rule 50(b) for granting judgment notwithstanding the
verdict (and thus vacating the judgment entered "forthwith" on the
verdict) likewise could be set aside.
As to Rule 59 on motions for a new trial, it has been settled
that the time limits in Rule 59(b) and (d) for making motions for
or granting new trial could not be set aside under Rule 6(b),
because Rule 6(b) expressly refers to Rule 59, and forbids it. See
Safeway Stores, Inc. v. Coe (App.D.C. 1943) 136 F.(2d) 771; Jusino
v. Morales & Tio (C.C.A. 1st, 1944) 139 F.(2d) 946; Coca-Cola Co.
v. Busch (E.D.Pa. 1943) 7 Fed.Rules Service 59b.2, Case 4; Peterson
v. Chicago Great Western Ry. Co. (D.Neb. 1943) 7 Fed.Rules Service
59b.2, Case 1; Leishman v. Associated Wholesale Electric Co. (1943)
318 U.S. 203.
As to Rule 60(b) for relief from a judgment, it was held in
Schram v. O'Connor (E.D.Mich. 1941) 5 Fed.Rules Serv. 6b.31, Case
1, 2 F.R.D. 192, s. c. 5 Fed.Rules Serv. 6b.31, Case 2, F.R.D. 192,
that the six-months time limit in original Rule 60(b) for making a
motion for relief from a judgment for surprise, mistake, or
excusable neglect could be set aside under Rule 6(b). The contrary
result was reached in Wallace v. United States (C.C.A.2d, 1944) 142
F.(2d) 240, cert. den. (1944) 323 U.S. 712; Reed v. South Atlantic
Steamship Co. of Del. (D.Del. 1942) 6 Fed.Rules Serv. 60b.31, Case
1.
As to Rule 73(g), fixing the time for docketing an appeal, it was
held in Ainsworth v. Gill Glass & Fixture Co. (C.C.A.3d, 1939) 104
F.(2d) 83, that under Rule 6(b) the district court, upon motion
made after the expiration of the forty-day period, stated in Rule
73(g), but before the expiration of the ninety-day period therein
specified, could permit the docketing of the appeal on a showing of
excusable neglect. The contrary was held in Mutual Benefit Health &
Accident Ass'n v. Snyder (C.C.A. 6th, 1940) 109 F.(2d) 469 and in
Burke v. Canfield (App.D.C. 1940) 111 F.(2d) 526.
The amendment of Rule 6(b) now proposed is based on the view that
there should be a definite point where it can be said a judgment is
final; that the right method of dealing with the problem is to list
in Rule 6(b) the various other rules whose time limits may not be
set aside, and then, if the time limit in any of those other rules
is too short, to amend that other rule to give a longer time. The
further argument is that Rule 6(c) abolished the long standing
device to produce finality in judgments through expiration of the
term, and since that limitation on the jurisdiction of courts to
set aside their own judgments has been removed by Rule 6(c), some
other limitation must be substituted or judgments never can be said
to be final.
In this connection reference is made to the established rule that
if a motion for new trial is seasonably made, the mere making or
pendency of the motion destroys the finality of the judgment, and
even though the motion is ultimately denied, the full time for
appeal starts anew from the date of denial. Also, a motion to amend
the findings under Rule 52(b) has the same effect on the time for
appeal. Leishman v. Associated Wholesale Electric Co. (1943) 318
U.S. 203. By the same reasoning a motion for judgment under Rule
50(b), involving as it does the vacation of a judgment entered
"forthwith" on the verdict (Rule 58), operates to postpone, until
an order is made, the running of the time for appeal. The Committee
believes that the abolition by Rule 6(c) of the old rule that a
court's power over its judgments ends with the term, requires a
substitute limitation, and that unless Rule 6(b) is amended to
prevent enlargement of the times specified in Rules 50(b), 52(b)
and 60(b), and the limitation as to Rule 59(b) and (d) is retained,
no one can say when a judgment is final. This is also true with
regard to proposed Rule 59(e), which authorizes a motion to alter
or amend a judgment, hence that rule is also included in the
enumeration in amended Rule 6(b). In consideration of the
amendment, however, it should be noted that Rule 60(b) is also to
be amended so as to lengthen the six-months period originally
prescribed in that rule to one year.
As to Rule 25 on substitution, while finality is not involved,
the limit there fixed should be controlling. That rule, as amended,
gives the court power, upon showing of a reasonable excuse, to
permit substitution after the expiration of the two-year period.
As to Rule 73(g), it is believed that the conflict in decisions
should be resolved and not left to further litigation, and that the
rule should be listed as one whose limitation may not be set aside
under Rule 6(b).
As to Rule 59(c), fixing the time for serving affidavits on
motion for new trial, it is believed that the court should have
authority under Rule 6(b) to enlarge the time, because, once the
motion for new trial is made, the judgment no longer has finality,
and the extension of time for affidavits thus does not of itself
disturb finality.
Other changes proposed in Rule 6(b) are merely clarifying and
conforming. Thus "request" is substituted for "application" in
clause (1) because an application is defined as a motion under Rule
7(b). The phrase "extend the time" is substituted for "enlarge the
period" because the former is a more suitable expression and
relates more clearly to both clauses (1) and (2). The final phrase
in Rule 6(b), "or the period for taking an appeal as provided by
law", is deleted and a reference to Rule 73(a) inserted, since it
is proposed to state in that rule the time for appeal to a circuit
court of appeals, which is the only appeal governed by the Federal
Rules, and allows an extension of time. See Rule 72.
Subdivision (c). The purpose of this amendment is to prevent
reliance upon the continued existence of a term as a source of
power to disturb the finality of a judgment upon grounds other than
those stated in these rules. See Hill v. Hawes (1944) 320 U.S. 520;
Boaz v. Mutual Life Ins. Co. of New York (C.C.A. 8th, 1944) 146
F.(2d) 321; Bucy v. Nevada Construction Co. (C.C.A. 9th, 1942) 125
F.(2d) 213.

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
Subdivision (a). This amendment is related to the amendment of
Rule 77(c) changing the regulation of the days on which the clerk's
office shall be open.
The wording of the first sentence of Rule 6(a) is clarified and
the subdivision is made expressly applicable to computing periods
of time set forth in local rules.
Saturday is to be treated in the same way as Sunday or a "legal
holiday" in that it is not to be included when it falls on the last
day of a computed period, nor counted as an intermediate day when
the period is less than 7 days. "Legal holiday" is defined for
purposes of this subdivision and amended Rule 77(c). Compare the
definition of "holiday" in 11 U.S.C. Sec. 1(18); also 5 U.S.C. Sec.
86a; Executive Order No. 10358, "Observance of Holidays," June 9,
1952, 17 Fed.Reg. 5269. In the light of these changes the last
sentence of the present subdivision, dealing with half holidays, is
eliminated.
With Saturdays and State holidays made "dies non" in certain
cases by the amended subdivision, computation of the usual 5-day
notice of motion or the 2-day notice to dissolve or modify a
temporary restraining order may work out so as to cause
embarrassing delay in urgent cases. The delay can be obviated by
applying to the court to shorten the time, see Rules 6(d) and
65(b).
Subdivision (b). The prohibition against extending the time for
taking action under Rule 25 (Substitution of parties) is
eliminated. The only limitation of time provided for in amended
Rule 25 is the 90-day period following a suggestion upon the record
of the death of a party within which to make a motion to substitute
the proper parties for the deceased party. See Rule 25(a)(1), as
amended, and the Advisory Committee's Note thereto. It is intended
that the court shall have discretion to enlarge that period.

NOTES OF ADVISORY COMMITTEE ON RULES - 1968 AMENDMENT
The amendment eliminates the references to Rule 73, which is to
be abrogated.
P. L. 88-139, Sec. 1, 77 Stat. 248, approved on October 16, 1963,
amended 28 U.S.C. Sec. 138 to read as follows: "The district court
shall not hold formal terms." Thus Rule 6(c) is rendered
unnecessary, and it is rescinded.

NOTES OF ADVISORY COMMITTEE ON RULES - 1971 AMENDMENT
The amendment adds Columbus Day to the list of legal holidays to
conform the subdivision to the Act of June 28, 1968, 82 Stat. 250,
which constituted Columbus Day a legal holiday effective after
January 1, 1971.
The Act, which amended Title 5, U.S.C., Sec. 6103(a), changes the
day on which certain holidays are to be observed. Washington's
Birthday, Memorial Day and Veterans Day are to be observed on the
third Monday in February, the last Monday in May and the fourth
Monday in October, respectively, rather than, as heretofore, on
February 22, May 30, and November 11, respectively. Columbus Day is
to be observed on the second Monday in October. New Year's Day,
Independence Day, Thanksgiving Day and Christmas continue to be
observed on the traditional days.

NOTES OF ADVISORY COMMITTEE ON RULES - 1983 AMENDMENT
Subdivision (b). The amendment confers finality upon the
judgments of magistrates by foreclosing enlargement of the time for
appeal except as provided in new Rule 74(a) (20 day period for
demonstration of excusable neglect).

NOTES OF ADVISORY COMMITTEE ON RULES - 1985 AMENDMENT
Rule 6(a) is amended to acknowledge that weather conditions or
other events may render the clerk's office inaccessible one or more
days. Parties who are obliged to file something with the court
during that period should not be penalized if they cannot do so.
The amendment conforms to changes made in Federal Rule of Criminal
Procedure 45(a), effective August 1, 1982.
The Rule also is amended to extend the exclusion of intermediate
Saturdays, Sundays, and legal holidays to the computation of time
periods less than 11 days. Under the current version of the Rule,
parties bringing motions under rules with 10-day periods could have
as few as 5 working days to prepare their motions. This hardship
would be especially acute in the case of Rules 50(b) and (c)(2),
52(b), and 59(b), (d), and (e), which may not be enlarged at the
discretion of the court. See Rule 6(b). If the exclusion of
Saturdays, Sundays, and legal holidays will operate to cause
excessive delay in urgent cases, the delay can be obviated by
applying to the court to shorten the time, See Rule 6(b).
The Birthday of Martin Luther King, Jr., which becomes a legal
holiday effective in 1986, has been added to the list of legal
holidays enumerated in the Rule.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

COMMITTEE NOTES ON RULES - 1999 AMENDMENT
The reference to Rule 74(a) is stricken from the catalogue of
time periods that cannot be extended by the district court. The
change reflects the 1997 abrogation of Rule 74(a).

COMMITTEE NOTES ON RULES - 2001 AMENDMENT
The additional three days provided by Rule 6(e) is extended to
the means of service authorized by the new paragraph (D) added to
Rule 5(b), including - with the consent of the person served -
service by electronic or other means. The three-day addition is
provided as well for service on a person with no known address by
leaving a copy with the clerk of the court.
Changes Made After Publication and Comments. Proposed Rule 6(e)
is the same as the "alternative proposal" that was published in
August 1999.

COMMITTEE NOTES ON RULES - 2005 AMENDMENT
Rule 6(e) is amended to remove any doubt as to the method for
extending the time to respond after service by mail, leaving with
the clerk of court, electronic means, or other means consented to
by the party served. Three days are added after the prescribed
period otherwise expires under Rule 6(a). Intermediate Saturdays,
Sundays, and legal holidays are included in counting these added
three days. If the third day is a Saturday, Sunday, or legal
holiday, the last day to act is the next day that is not a
Saturday, Sunday, or legal holiday. The effect of invoking the day
when the prescribed period would otherwise expire under Rule 6(a)
can be illustrated by assuming that the thirtieth day of a thirty-
day period is a Saturday. Under Rule 6(a) the period expires on
the next day that is not a Sunday or legal holiday. If the
following Monday is a legal holiday, under Rule 6(a) the period
expires on Tuesday. Three days are then added - Wednesday,
Thursday, and Friday as the third and final day to act. If the
period prescribed expires on a Friday, the three added days are
Saturday, Sunday, and Monday, which is the third and final day to
act unless it is a legal holiday. If Monday is a legal holiday, the
next day that is not a legal holiday is the third and final day to
act.
Application of Rule 6(e) to a period that is less than eleven
days can be illustrated by a paper that is served by mailing on a
Friday. If ten days are allowed to respond, intermediate Saturdays,
Sundays, and legal holidays are excluded in determining when the
period expires under Rule 6(a). If there is no legal holiday, the
period expires on the Friday two weeks after the paper was mailed.
The three added Rule 6(e) days are Saturday, Sunday, and Monday,
which is the third and final day to act unless it is a legal
holiday. If Monday is a legal holiday, the next day that is not a
legal holiday is the final day to act.
Changes Made After Publication and Comment. Changes were made to
clarify further the method of counting the three days added after
service under Rule 5(b)(2)(B), (C), or (D).

-End-


-CITE-
28 USC APPENDIX III. PLEADINGS AND MOTIONS 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
III. PLEADINGS AND MOTIONS

-End-



-CITE-
28 USC APPENDIX Rule 7 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 7. Pleadings Allowed; Form of Motions

-STATUTE-
(a) Pleadings. There shall be a complaint and an answer; a reply
to a counterclaim denominated as such; an answer to a cross-claim,
if the answer contains a cross-claim; a third-party complaint, if a
person who was not an original party is summoned under the
provisions of Rule 14; and a third-party answer, if a third-party
complaint is served. No other pleading shall be allowed, except
that the court may order a reply to an answer or a third-party
answer.
(b) Motions and Other Papers.
(1) An application to the court for an order shall be by motion
which, unless made during a hearing or trial, shall be made in
writing, shall state with particularity the grounds therefor, and
shall set forth the relief or order sought. The requirement of
writing is fulfilled if the motion is stated in a written notice
of the hearing of the motion.
(2) The rules applicable to captions and other matters of form
of pleadings apply to all motions and other papers provided for
by these rules.
(3) All motions shall be signed in accordance with Rule 11.

(c) Demurrers, Pleas, Etc., Abolished. Demurrers, pleas, and
exceptions for insufficiency of a pleading shall not be used.

-SOURCE-
(As amended Dec. 27, 1946, eff. Mar. 19, 1948; Jan. 21, 1963, eff.
July 1, 1963; Apr. 28, 1983, eff. Aug. 1, 1983.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
1. A provision designating pleadings and defining a motion is
common in the State practice acts. See Ill.Rev.Stat. (1937), ch.
110, Sec. 156 (Designation and order of pleadings); 2 Minn.Stat.
(Mason, 1927) Sec. 9246 (Definition of motion); and N.Y.C.P.A.
(1937) Sec. 113 (Definition of motion). Former Equity Rules 18
(Pleadings - Technical Forms Abrogated), 29 (Defenses - How
Presented), and 33 (Testing Sufficiency of Defense) abolished
technical forms of pleading, demurrers, and pleas, and exceptions
for insufficiency of an answer.
2. Note to Subdivision (a). This preserves the substance of
[former] Equity Rule 31 (Reply - When Required - When Cause at
Issue). Compare the English practice, English Rules Under the
Judicature Act (The Annual Practice, 1937) O. 23, r.r. 1, 2 (Reply
to counterclaim; amended, 1933, to be subject to the rules
applicable to defenses, O. 21). See O. 21, r.r. 1-14; O. 27, r. 13
(When pleadings deemed denied and put in issue). Under the codes
the pleadings are generally limited. A reply is sometimes required
to an affirmative defense in the answer. 1 Colo.Stat.Ann. (1935)
Sec. 66; Ore.Code Ann. (1930) Secs. 1-614, 1-616. In other
jurisdictions no reply is necessary to an affirmative defense in
the answer, but a reply may be ordered by the court. N.C.Code Ann.
(1935) Sec. 525; 1 S.D.Comp.Laws (1929) Sec. 2357. A reply to a
counterclaim is usually required. Ark.Civ.Code (Crawford, 1934)
Secs. 123-125; Wis.Stat. (1935) Secs. 263.20, 263.21. U.S.C., Title
28, [former] Sec. 45 (District courts; practice and procedure in
certain cases) is modified insofar as it may dispense with a reply
to a counterclaim.
For amendment of pleadings, see Rule 15 dealing with amended and
supplemental pleadings.
3. All statutes which use the words "petition", "bill of
complaint", "plea", "demurrer", and other such terminology are
modified in form by this rule.

NOTES OF ADVISORY COMMITTEE ON RULES - 1946 AMENDMENT
This amendment [to subdivision (a)] eliminates any question as to
whether the compulsory reply, where a counterclaim is pleaded, is a
reply only to the counterclaim or is a general reply to the answer
containing the counterclaim. See Commentary, Scope of Reply Where
Defendant Has Pleaded Counterclaim (1939) 1 Fed.Rules Serv. 672;
Fort Chartres and Ivy Landing Drainage and Levee District No. Five
v. Thompson (E.D.Ill. 1945) 8 Fed.Rules Serv. 13.32, Case 1.

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
Certain redundant words are eliminated and the subdivision is
modified to reflect the amendment of Rule 14(a) which in certain
cases eliminates the requirement of obtaining leave to bring in a
third-party defendant.

NOTES OF ADVISORY COMMITTEE ON RULES - 1983 AMENDMENT
One of the reasons sanctions against improper motion practice
have been employed infrequently is the lack of clarity of Rule 7.
That rule has stated only generally that the pleading requirements
relating to captions, signing, and other matters of form also apply
to motions and other papers. The addition of Rule 7(b)(3) makes
explicit the applicability of the signing requirement and the
sanctions of Rule 11, which have been amplified.

-End-



-CITE-
28 USC APPENDIX Rule 7.1 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 7.1. Disclosure Statement

-STATUTE-
(a) Who Must File: Nongovernmental Corporate Party. A
nongovernmental corporate party to an action or proceeding in a
district court must file two copies of a statement that identifies
any parent corporation and any publicly held corporation that owns
10% or more of its stock or states that there is no such
corporation.
(b) Time for Filing; Supplemental Filing. A party must:
(1) file the Rule 7.1(a) statement with its first appearance,
pleading, petition, motion, response, or other request addressed
to the court, and
(2) promptly file a supplemental statement upon any change in
the information that the statement requires.

-SOURCE-
(As added Apr. 29, 2002, eff. Dec. 1, 2002.)


-MISC1-
COMMITTEE NOTES ON RULES - 2002 AMENDMENT
Rule 7.1 is drawn from Rule 26.1 of the Federal Rules of
Appellate Procedure, with changes to adapt to the circumstances of
district courts that dictate different provisions for the time of
filing, number of copies, and the like. The information required by
Rule 7.1(a) reflects the "financial interest" standard of Canon
3C(1)(c) of the Code of Conduct for United States Judges. This
information will support properly informed disqualification
decisions in situations that call for automatic disqualification
under Canon 3C(1)(c). It does not cover all of the circumstances
that may call for disqualification under the financial interest
standard, and does not deal at all with other circumstances that
may call for disqualification.
Although the disclosures required by Rule 7.1(a) may seem
limited, they are calculated to reach a majority of the
circumstances that are likely to call for disqualification on the
basis of financial information that a judge may not know or
recollect. Framing a rule that calls for more detailed disclosure
will be difficult. Unnecessary disclosure requirements place a
burden on the parties and on courts. Unnecessary disclosure of
volumes of information may create a risk that a judge will overlook
the one bit of information that might require disqualification, and
also may create a risk that unnecessary disqualifications will be
made rather than attempt to unravel a potentially difficult
question. It has not been feasible to dictate more detailed
disclosure requirements in Rule 7.1(a).
Rule 7.1 does not prohibit local rules that require disclosures
in addition to those required by Rule 7.1. Developing experience
with local disclosure practices and advances in electronic
technology may provide a foundation for adopting more detailed
disclosure requirements by future amendments of Rule 7.1.
Changes Made After Publication and Comments. The provisions that
would require disclosure of additional information that may be
required by the Judicial Conference have been deleted.

-End-



-CITE-
28 USC APPENDIX Rule 8 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 8. General Rules of Pleading

-STATUTE-
(a) Claims for Relief. A pleading which sets forth a claim for
relief, whether an original claim, counterclaim, cross-claim, or
third-party claim, shall contain (1) a short and plain statement of
the grounds upon which the court's jurisdiction depends, unless the
court already has jurisdiction and the claim needs no new grounds
of jurisdiction to support it, (2) a short and plain statement of
the claim showing that the pleader is entitled to relief, and (3) a
demand for judgment for the relief the pleader seeks. Relief in the
alternative or of several different types may be demanded.
(b) Defenses; Form of Denials. A party shall state in short and
plain terms the party's defenses to each claim asserted and shall
admit or deny the averments upon which the adverse party relies. If
a party is without knowledge or information sufficient to form a
belief as to the truth of an averment, the party shall so state and
this has the effect of a denial. Denials shall fairly meet the
substance of the averments denied. When a pleader intends in good
faith to deny only a part or a qualification of an averment, the
pleader shall specify so much of it as is true and material and
shall deny only the remainder. Unless the pleader intends in good
faith to controvert all the averments of the preceding pleading,
the pleader may make denials as specific denials of designated
averments or paragraphs or may generally deny all the averments
except such designated averments or paragraphs as the pleader
expressly admits; but, when the pleader does so intend to
controvert all its averments, including averments of the grounds
upon which the court's jurisdiction depends, the pleader may do so
by general denial subject to the obligations set forth in Rule 11.
(c) Affirmative Defenses. In pleading to a preceding pleading, a
party shall set forth affirmatively accord and satisfaction,
arbitration and award, assumption of risk, contributory negligence,
discharge in bankruptcy, duress, estoppel, failure of
consideration, fraud, illegality, injury by fellow servant, laches,
license, payment, release, res judicata, statute of frauds, statute
of limitations, waiver, and any other matter constituting an
avoidance or affirmative defense. When a party has mistakenly
designated a defense as a counterclaim or a counterclaim as a
defense, the court on terms, if justice so requires, shall treat
the pleading as if there had been a proper designation.
(d) Effect of Failure To Deny. Averments in a pleading to which a
responsive pleading is required, other than those as to the amount
of damage, are admitted when not denied in the responsive pleading.
Averments in a pleading to which no responsive pleading is required
or permitted shall be taken as denied or avoided.
(e) Pleading To Be Concise and Direct; Consistency.
(1) Each averment of a pleading shall be simple, concise, and
direct. No technical forms of pleading or motions are required.
(2) A party may set forth two or more statements of a claim or
defense alternately or hypothetically, either in one count or
defense or in separate counts or defenses. When two or more
statements are made in the alternative and one of them if made
independently would be sufficient, the pleading is not made
insufficient by the insufficiency of one or more of the
alternative statements. A party may also state as many separate
claims or defenses as the party has regardless of consistency and
whether based on legal, equitable, or maritime grounds. All
statements shall be made subject to the obligations set forth in
Rule 11.

(f) Construction of Pleadings. All pleadings shall be so
construed as to do substantial justice.

-SOURCE-
(As amended Feb. 28, 1966, eff. July 1, 1966; Mar. 2, 1987, eff.
Aug. 1, 1987.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivision (a). See [former] Equity Rules 25 (Bill of
Complaint - Contents), and 30 (Answer - Contents - Counterclaim).
Compare 2 Ind.Stat.Ann. (Burns, 1933) Secs. 2-1004, 2-1015; 2 Ohio
Gen.Code Ann. (Page, 1926) Secs. 11305, 11314; Utah Rev.Stat.Ann.
(1933), Secs. 104-7-2, 104-9-1.
See Rule 19(c) for the requirement of a statement in a claim for
relief of the names of persons who ought to be parties and the
reason for their omission.
See Rule 23(b) for particular requirements as to the complaint in
a secondary action by shareholders.
Note to Subdivision (b). 1. This rule supersedes the methods of
pleading prescribed in U.S.C., Title 19, Sec. 508 (Persons making
seizures pleading general issue and providing special matter);
U.S.C., Title 35, [former] Secs. 40d (Providing under general
issue, upon notice, that a statement in application for an extended
patent is not true), 69 [now 282] (Pleading and proof in actions
for infringement) and similar statutes.
2. This rule is, in part, [former] Equity Rule 30 (Answer -
Contents - Counterclaim), with the matter on denials largely from
the Connecticut practice. See Conn.Practice Book (1934) Secs. 107,
108, and 122; Conn.Gen.Stat. (1930) Secs. 5508-5514. Compare the
English practice, English Rules Under the Judicature Act (The
Annual Practice, 1937) O. 19, r.r. 17-20.
Note to Subdivision (c). This follows substantially English Rules
Under the Judicature Act (The Annual Practice, 1937) O. 19, r. 15
and N.Y.C.P.A. (1937) Sec. 242, with "surprise" omitted in this
rule.
Note to Subdivision (d). The first sentence is similar to
[former] Equity Rule 30 (Answer - Contents - Counterclaim). For the
second sentence see [former] Equity Rule 31 (Reply - When Required -
When Cause at Issue). This is similar to English Rules Under the
Judicature Act (The Annual Practice, 1937) O. 19, r.r. 13, 18; and
to the practice in the States.
Note to Subdivision (e). This rule is an elaboration upon
[former] Equity Rule 30 (Answer - Contents - Counterclaim), plus a
statement of the actual practice under some codes. Compare also
[former] Equity Rule 18 (Pleadings - Technical Forms Abrogated).
See Clark, Code Pleading (1928), pp. 171-4, 432-5; Hankin,
Alternative and Hypothetical Pleading (1924), 33 Yale L.J. 365.
Note to Subdivision (f). A provision of like import is of
frequent occurrence in the codes. Ill.Rev.Stat. (1937) ch. 110,
Sec. 157(3); 2 Minn.Stat. (Mason, 1927) Sec. 9266; N.Y.C.P.A.
(1937) Sec. 275; 2 N.D.Comp.Laws Ann. (1913) Sec. 7458.

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
The change here is consistent with the broad purposes of
unification.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

-End-



-CITE-
28 USC APPENDIX Rule 9 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 9. Pleading Special Matters

-STATUTE-
(a) Capacity. It is not necessary to aver the capacity of a party
to sue or be sued or the authority of a party to sue or be sued in
a representative capacity or the legal existence of an organized
association of persons that is made a party, except to the extent
required to show the jurisdiction of the court. When a party
desires to raise an issue as to the legal existence of any party or
the capacity of any party to sue or be sued or the authority of a
party to sue or be sued in a representative capacity, the party
desiring to raise the issue shall do so by specific negative
averment, which shall include such supporting particulars as are
peculiarly within the pleader's knowledge.
(b) Fraud, Mistake, Condition of the Mind. In all averments of
fraud or mistake, the circumstances constituting fraud or mistake
shall be stated with particularity. Malice, intent, knowledge, and
other condition of mind of a person may be averred generally.
(c) Conditions Precedent. In pleading the performance or
occurrence of conditions precedent, it is sufficient to aver
generally that all conditions precedent have been performed or have
occurred. A denial of performance or occurrence shall be made
specifically and with particularity.
(d) Official Document or Act. In pleading an official document or
official act it is sufficient to aver that the document was issued
or the act done in compliance with law.
(e) Judgment. In pleading a judgment or decision of a domestic or
foreign court, judicial or quasi-judicial tribunal, or of a board
or officer, it is sufficient to aver the judgment or decision
without setting forth matter showing jurisdiction to render it.
(f) Time and Place. For the purpose of testing the sufficiency of
a pleading, averments of time and place are material and shall be
considered like all other averments of material matter.
(g) Special Damage. When items of special damage are claimed,
they shall be specifically stated.
(h) Admiralty and Maritime Claims. A pleading or count setting
forth a claim for relief within the admiralty and maritime
jurisdiction that is also within the jurisdiction of the district
court on some other ground may contain a statement identifying the
claim as an admiralty or maritime claim for the purposes of Rules
14(c), 38(e), and 82, and the Supplemental Rules for Admiralty or
Maritime Claims and Asset Forfeiture Actions. If the claim is
cognizable only in admiralty, it is an admiralty or maritime claim
for those purposes whether so identified or not. The amendment of a
pleading to add or withdraw an identifying statement is governed by
the principles of Rule 15. A case that includes an admiralty or
maritime claim within this subdivision is an admiralty case within
28 U.S.C. Sec. 1292(a)(3).

-SOURCE-
(As amended Feb. 28, 1966, eff. July 1, 1966; Dec. 4, 1967, eff.
July 1, 1968; Mar. 30, 1970, eff. July 1, 1970; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 11, 1997, eff. Dec. 1, 1997; Apr. 12, 2006, eff.
Dec. 1, 2006.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivision (a). Compare [former] Equity Rule 25 (Bill of
Complaint - Contents) requiring disability to be stated; Utah
Rev.Stat.Ann. (1933) Sec. 104-13-15, enumerating a number of
situations where a general averment of capacity is sufficient. For
provisions governing averment of incorporation, see 2 Minn.Stat.
(Mason, 1927) Sec. 9271; N.Y.R.C.P. (1937) Rule 93; 2 N.D.Comp.Laws
Ann. (1913) Sec. 7981 et seq.
Note to Subdivision (b). See English Rules Under the Judicature
Act (The Annual Practice, 1937) O. 19, r. 22.
Note to Subdivision (c). The codes generally have this or a
similar provision. See English Rules Under the Judicature Act (The
Annual Practice, 1937) O. 19, r. 14; 2 Minn.Stat. (Mason, 1927)
Sec. 9273; N.Y.R.C.P. (1937) Rule 92; 2 N.D.Comp.Laws Ann. (1913)
Sec. 7461; 2 Wash.Rev.Stat.Ann. (Remington, 1932) Sec. 288.
Note to Subdivision (e). The rule expands the usual code
provisions on pleading a judgment by including judgments or
decisions of administrative tribunals and foreign courts. Compare
Ark.Civ.Code (Crawford, 1934) Sec. 141; 2 Minn.Stat. (Mason, 1927)
Sec. 9269; N.Y.R.C.P. (1937) Rule 95; 2 Wash.Rev.Stat.Ann.
(Remington, 1932) Sec. 287.

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
Certain distinctive features of the admiralty practice must be
preserved for what are now suits in admiralty. This raises the
question: After unification, when a single form of action is
established, how will the counterpart of the present suit in
admiralty be identifiable? In part the question is easily answered.
Some claims for relief can only be suits in admiralty, either
because the admiralty jurisdiction is exclusive or because no
nonmaritime ground of federal jurisdiction exists. Many claims,
however, are cognizable by the district courts whether asserted in
admiralty or in a civil action, assuming the existence of a
nonmaritime ground of jurisdiction. Thus at present the pleader has
power to determine procedural consequences by the way in which he
exercises the classic privilege given by the saving-to-suitors
clause (28 U.S.C. Sec. 1333) or by equivalent statutory provisions.
For example, a longshoreman's claim for personal injuries suffered
by reason of the unseaworthiness of a vessel may be asserted in a
suit in admiralty or, if diversity of citizenship exists, in a
civil action. One of the important procedural consequences is that
in the civil action either party may demand a jury trial, while in
the suit in admiralty there is no right to jury trial except as
provided by statute.
It is no part of the purpose of unification to inject a right to
jury trial into those admiralty cases in which that right is not
provided by statute. Similarly as will be more specifically noted
below, there is no disposition to change the present law as to
interlocutory appeals in admiralty, or as to the venue of suits in
admiralty; and, of course, there is no disposition to inject into
the civil practice as it now is the distinctively maritime remedies
(maritime attachment and garnishment, actions in rem, possessory,
petitory and partition actions and limitation of liability). The
unified rules must therefore provide some device for preserving the
present power of the pleader to determine whether these
historically maritime procedures shall be applicable to his claim
or not; the pleader must be afforded some means of designating his
claim as the counterpart of the present suit in admiralty, where
its character as such is not clear.
The problem is different from the similar one concerning the
identification of claims that were formerly suits in equity. While
that problem is not free from complexities, it is broadly true that
the modern counterpart of the suit in equity is distinguishable
from the former action at law by the character of the relief
sought. This mode of identification is possible in only a limited
category of admiralty cases. In large numbers of cases the relief
sought in admiralty is simple money damages, indistinguishable from
the remedy afforded by the common law. This is true, for example,
in the case of the longshoreman's action for personal injuries
stated above. After unification has abolished the distinction
between civil actions and suits in admiralty, the complaint in such
an action would be almost completely ambiguous as to the pleader's
intentions regarding the procedure invoked. The allegation of
diversity of citizenship might be regarded as a clue indicating an
intention to proceed as at present under the saving-to-suitors
clause; but this, too, would be ambiguous if there were also
reference to the admiralty jurisdiction, and the pleader ought not
be required to forego mention of all available jurisdictional
grounds.
Other methods of solving the problem were carefully explored, but
the Advisory Committee concluded that the preferable solution is to
allow the pleader who now has power to determine procedural
consequences by filing a suit in admiralty to exercise that power
under unification, for the limited instances in which procedural
differences will remain, by a simple statement in his pleading to
the effect that the claim is an admiralty or maritime claim.
The choice made by the pleader in identifying or in failing to
identify his claim as an admiralty or maritime claim is not an
irrevocable election. The rule provides that the amendment of a
pleading to add or withdraw an identifying statement is subject to
the principles of Rule 15.

NOTES OF ADVISORY COMMITTEE ON RULES - 1968 AMENDMENT
The amendment eliminates the reference to Rule 73 which is to be
abrogated and transfers to Rule 9(h) the substance of Subsection
(h) of Rule 73 which preserved the right to an interlocutory appeal
in admiralty cases which is provided by 28 U.S.C. Sec. 1292(a)(3).

NOTES OF ADVISORY COMMITTEE ON RULES - 1970 AMENDMENT
The reference to Rule 26(a) is deleted, in light of the transfer
of that subdivision to Rule 30(a) and the elimination of the de
bene esse procedure therefrom. See the Advisory Committee's note to
Rule 30(a).

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendment is technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1997 AMENDMENT
Section 1292(a)(3) of the Judicial Code provides for appeal from
"[i]nterlocutory decrees of * * * district courts * * * determining
the rights and liabilities of the parties to admiralty cases in
which appeals from final decrees are allowed."
Rule 9(h) was added in 1966 with the unification of civil and
admiralty procedure. Civil Rule 73(h) was amended at the same time
to provide that the Sec. 1292(a)(3) reference "to admiralty cases
shall be construed to mean admiralty and maritime claims within the
meaning of Rule 9(h)." This provision was transferred to Rule 9(h)
when the Appellate Rules were adopted.
A single case can include both admiralty or maritime claims and
nonadmiralty claims or parties. This combination reveals an
ambiguity in the statement in present Rule 9(h) that an admiralty
"claim" is an admiralty "case." An order "determining the rights
and liabilities of the parties" within the meaning of Sec.
1292(a)(3) may resolve only a nonadmiralty claim, or may
simultaneously resolve interdependent admiralty and nonadmiralty
claims. Can appeal be taken as to the nonadmiralty matter, because
it is part of a case that includes an admiralty claim, or is appeal
limited to the admiralty claim?
The courts of appeals have not achieved full uniformity in
applying the Sec. 1292(a)(3) requirement that an order "determin[e]
the rights and liabilities of the parties." It is common to assert
that the statute should be construed narrowly, under the general
policy that exceptions to the final judgment rule should be
construed narrowly. This policy would suggest that the ambiguity
should be resolved by limiting the interlocutory appeal right to
orders that determine the rights and liabilities of the parties to
an admiralty claim.
A broader view is chosen by this amendment for two reasons. The
statute applies to admiralty "cases," and may itself provide for
appeal from an order that disposes of a nonadmiralty claim that is
joined in a single case with an admiralty claim. Although a rule of
court may help to clarify and implement a statutory grant of
jurisdiction, the line is not always clear between permissible
implementation and impermissible withdrawal of jurisdiction. In
addition, so long as an order truly disposes of the rights and
liabilities of the parties within the meaning of Sec. 1292(a)(3),
it may prove important to permit appeal as to the nonadmiralty
claim. Disposition of the nonadmiralty claim, for example, may make
it unnecessary to consider the admiralty claim and have the same
effect on the case and parties as disposition of the admiralty
claim. Or the admiralty and nonadmiralty claims may be
interdependent. An illustration is provided by Roco Carriers, Ltd.
v. M/V Nurnberg Express, 899 F.2d 1292 (2d Cir. 1990). Claims for
losses of ocean shipments were made against two defendants, one
subject to admiralty jurisdiction and the other not. Summary
judgment was granted in favor of the admiralty defendant and
against the nonadmiralty defendant. The nonadmiralty defendant's
appeal was accepted, with the explanation that the determination of
its liability was "integrally linked with the determination of non-
liability" of the admiralty defendant, and that "section
1292(a)(3) is not limited to admiralty claims; instead, it refers
to admiralty cases." 899 F.2d at 1297. The advantages of permitting
appeal by the nonadmiralty defendant would be particularly clear if
the plaintiff had appealed the summary judgment in favor of the
admiralty defendant.
It must be emphasized that this amendment does not rest on any
particular assumptions as to the meaning of the Sec. 1292(a)(3)
provision that limits interlocutory appeal to orders that determine
the rights and liabilities of the parties. It simply reflects the
conclusion that so long as the case involves an admiralty claim and
an order otherwise meets statutory requirements, the opportunity to
appeal should not turn on the circumstance that the order does - or
does not - dispose of an admiralty claim. No attempt is made to
invoke the authority conferred by 28 U.S.C. Sec. 1292(e) to provide
by rule for appeal of an interlocutory decision that is not
otherwise provided for by other subsections of Sec. 1292.
GAP Report on Rule 9(h). No changes have been made in the
published proposal.

COMMITTEE NOTES ON RULES - 2006 AMENDMENT
Rule 9(h) is amended to conform to the changed title of the
Supplemental Rules.

-End-



-CITE-
28 USC APPENDIX Rule 10 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 10. Form of Pleadings

-STATUTE-
(a) Caption; Names of Parties. Every pleading shall contain a
caption setting forth the name of the court, the title of the
action, the file number, and a designation as in Rule 7(a). In the
complaint the title of the action shall include the names of all
the parties, but in other pleadings it is sufficient to state the
name of the first party on each side with an appropriate indication
of other parties.
(b) Paragraphs; Separate Statements. All averments of claim or
defense shall be made in numbered paragraphs, the contents of each
of which shall be limited as far as practicable to a statement of a
single set of circumstances; and a paragraph may be referred to by
number in all succeeding pleadings. Each claim founded upon a
separate transaction or occurrence and each defense other than
denials shall be stated in a separate count or defense whenever a
separation facilitates the clear presentation of the matters set
forth.
(c) Adoption by Reference; Exhibits. Statements in a pleading may
be adopted by reference in a different part of the same pleading or
in another pleading or in any motion. A copy of any written
instrument which is an exhibit to a pleading is a part thereof for
all purposes.


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
The first sentence is derived in part from the opening statement
of [former] Equity Rule 25 (Bill of Complaint - Contents). The
remainder of the rule is an expansion in conformity with usual
state provisions. For numbered paragraphs and separate statements,
see Conn.Gen.Stat. (1930) Sec. 5513; Ill.Rev.Stat. (1937) ch. 110,
Sec. 157 (2); N.Y.R.C.P. (1937) Rule 90. For incorporation by
reference, see N.Y.R.C.P. (1937) Rule 90. For written instruments
as exhibits, see Ill.Rev.Stat. (1937) ch. 110, Sec. 160.

-End-



-CITE-
28 USC APPENDIX Rule 11 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 11. Signing of Pleadings, Motions, and Other Papers;
Representations to Court; Sanctions

-STATUTE-
(a) Signature. Every pleading, written motion, and other paper
shall be signed by at least one attorney of record in the
attorney's individual name, or, if the party is not represented by
an attorney, shall be signed by the party. Each paper shall state
the signer's address and telephone number, if any. Except when
otherwise specifically provided by rule or statute, pleadings need
not be verified or accompanied by affidavit. An unsigned paper
shall be stricken unless omission of the signature is corrected
promptly after being called to the attention of the attorney or
party.
(b) Representations to Court. By presenting to the court (whether
by signing, filing, submitting, or later advocating) a pleading,
written motion, or other paper, an attorney or unrepresented party
is certifying that to the best of the person's knowledge,
information, and belief, formed after an inquiry reasonable under
the circumstances, -
(1) it is not being presented for any improper purpose, such as
to harass or to cause unnecessary delay or needless increase in
the cost of litigation;
(2) the claims, defenses, and other legal contentions therein
are warranted by existing law or by a nonfrivolous argument for
the extension, modification, or reversal of existing law or the
establishment of new law;
(3) the allegations and other factual contentions have
evidentiary support or, if specifically so identified, are likely
to have evidentiary support after a reasonable opportunity for
further investigation or discovery; and
(4) the denials of factual contentions are warranted on the
evidence or, if specifically so identified, are reasonably based
on a lack of information or belief.

(c) Sanctions. If, after notice and a reasonable opportunity to
respond, the court determines that subdivision (b) has been
violated, the court may, subject to the conditions stated below,
impose an appropriate sanction upon the attorneys, law firms, or
parties that have violated subdivision (b) or are responsible for
the violation.
(1) How Initiated.
(A) By Motion. A motion for sanctions under this rule shall
be made separately from other motions or requests and shall
describe the specific conduct alleged to violate subdivision
(b). It shall be served as provided in Rule 5, but shall not be
filed with or presented to the court unless, within 21 days
after service of the motion (or such other period as the court
may prescribe), the challenged paper, claim, defense,
contention, allegation, or denial is not withdrawn or
appropriately corrected. If warranted, the court may award to
the party prevailing on the motion the reasonable expenses and
attorney's fees incurred in presenting or opposing the motion.
Absent exceptional circumstances, a law firm shall be held
jointly responsible for violations committed by its partners,
associates, and employees.
(B) On Court's Initiative. On its own initiative, the court
may enter an order describing the specific conduct that appears
to violate subdivision (b) and directing an attorney, law firm,
or party to show cause why it has not violated subdivision (b)
with respect thereto.

(2) Nature of Sanction; Limitations. A sanction imposed for
violation of this rule shall be limited to what is sufficient to
deter repetition of such conduct or comparable conduct by others
similarly situated. Subject to the limitations in subparagraphs
(A) and (B), the sanction may consist of, or include, directives
of a nonmonetary nature, an order to pay a penalty into court,
or, if imposed on motion and warranted for effective deterrence,
an order directing payment to the movant of some or all of the
reasonable attorneys' fees and other expenses incurred as a
direct result of the violation.
(A) Monetary sanctions may not be awarded against a
represented party for a violation of subdivision (b)(2).
(B) Monetary sanctions may not be awarded on the court's
initiative unless the court issues its order to show cause
before a voluntary dismissal or settlement of the claims made
by or against the party which is, or whose attorneys are, to be
sanctioned.

(3) Order. When imposing sanctions, the court shall describe
the conduct determined to constitute a violation of this rule and
explain the basis for the sanction imposed.

(d) Inapplicability to Discovery. Subdivisions (a) through (c) of
this rule do not apply to disclosures and discovery requests,
responses, objections, and motions that are subject to the
provisions of Rules 26 through 37.

-SOURCE-
(As amended Apr. 28, 1983, eff. Aug. 1, 1983; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 22, 1993, eff. Dec. 1, 1993.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
This is substantially the content of [former] Equity Rules 24
(Signature of Counsel) and 21 (Scandal and Impertinence)
consolidated and unified. Compare [former] Equity Rule 36 (Officers
Before Whom Pleadings Verified). Compare to similar purposes,
English Rules Under the Judicature Act (The Annual Practice, 1937)
O. 19, r. 4, and Great Australian Gold Mining Co. v. Martin, L. R.,
5 Ch.Div. 1, 10 (1877). Subscription of pleadings is required in
many codes. 2 Minn.Stat. (Mason, 1927) Sec. 9265; N.Y.R.C.P. (1937)
Rule 91; 2 N.D.Comp.Laws Ann. (1913) Sec. 7455.
This rule expressly continues any statute which requires a
pleading to be verified or accompanied by an affidavit, such as:

U.S.C., Title 28:

Sec. 381 [former] (Preliminary injunctions and temporary
restraining orders)
Sec. 762 [now 1402] (Suit against the United States).

U.S.C., Title 28, Sec. 829 [now 1927] (Costs; attorney liable
for, when) is unaffected by this rule.
For complaints which must be verified under these rules, see
Rules 23(b) (Secondary Action by Shareholders) and 65
(Injunctions).
For abolition of the rule in equity that the averments of an
answer under oath must be overcome by the testimony of two
witnesses or of one witness sustained by corroborating
circumstances, see Pa.Stat.Ann. (Purdon, 1931) see 12 P.S.Pa., Sec.
1222; for the rule in equity itself, see Greenfield v. Blumenthal,
69 F.2d 294 (C.C.A. 3d, 1934).

NOTES OF ADVISORY COMMITTEE ON RULES - 1983 AMENDMENT
Since its original promulgation, Rule 11 has provided for the
striking of pleadings and the imposition of disciplinary sanctions
to check abuses in the signing of pleadings. Its provisions have
always applied to motions and other papers by virtue of
incorporation by reference in Rule 7(b)(2). The amendment and the
addition of Rule 7(b)(3) expressly confirms this applicability.
Experience shows that in practice Rule 11 has not been effective
in deterring abuses. See 6 Wright & Miller, Federal Practice and
Procedure: Civil Sec. 1334 (1971). There has been considerable
confusion as to (1) the circumstances that should trigger striking
a pleading or motion or taking disciplinary action, (2) the
standard of conduct expected of attorneys who sign pleadings and
motions, and (3) the range of available and appropriate sanctions.
See Rodes, Ripple & Mooney, Sanctions Imposable for Violations of
the Federal Rules of Civil Procedure 64-65, Federal Judicial Center
(1981). The new language is intended to reduce the reluctance of
courts to impose sanctions, see Moore, Federal Practice &#182;
7.05, at 1547, by emphasizing the responsibilities of the attorney
and reenforcing those obligations by the imposition of sanctions.
The amended rule attempts to deal with the problem by building
upon and expanding the equitable doctrine permitting the court to
award expenses, including attorney's fees, to a litigant whose
opponent acts in bad faith in instituting or conducting litigation.
See, e.g., Roadway Express, Inc. v. Piper, 447 U.S. 752, (1980);
Hall v. Cole, 412 U.S. 1, 5 (1973). Greater attention by the
district courts to pleading and motion abuses and the imposition of
sanctions when appropriate, should discourage dilatory or abusive
tactics and help to streamline the litigation process by lessening
frivolous claims or defenses.
The expanded nature of the lawyer's certification in the fifth
sentence of amended Rule 11 recognizes that the litigation process
may be abused for purposes other than delay. See, e.g., Browning
Debenture Holders' Committee v. DASA Corp., 560 F.2d 1078 (2d Cir.
1977).
The words "good ground to support" the pleading in the original
rule were interpreted to have both factual and legal elements. See,
e.g., Heart Disease Research Foundation v. General Motors Corp., 15
Fed.R.Serv. 2d 1517, 1519 (S.D.N.Y. 1972). They have been replaced
by a standard of conduct that is more focused.
The new language stresses the need for some prefiling inquiry
into both the facts and the law to satisfy the affirmative duty
imposed by the rule. The standard is one of reasonableness under
the circumstances. See Kinee v. Abraham Lincoln Fed. Sav. & Loan
Ass'n, 365 F.Supp. 975 (E.D.Pa. 1973). This standard is more
stringent than the original good-faith formula and thus it is
expected that a greater range of circumstances will trigger its
violation. See Nemeroff v. Abelson, 620 F.2d 339 (2d Cir. 1980).
The rule is not intended to chill an attorney's enthusiasm or
creativity in pursuing factual or legal theories. The court is
expected to avoid using the wisdom of hindsight and should test the
signer's conduct by inquiring what was reasonable to believe at the
time the pleading, motion, or other paper was submitted. Thus, what
constitutes a reasonable inquiry may depend on such factors as how
much time for investigation was available to the signer; whether he
had to rely on a client for information as to the facts underlying
the pleading, motion, or other paper; whether the pleading, motion,
or other paper was based on a plausible view of the law; or whether
he depended on forwarding counsel or another member of the bar.
The rule does not require a party or an attorney to disclose
privileged communications or work product in order to show that the
signing of the pleading, motion, or other paper is substantially
justified. The provisions of Rule 26(c), including appropriate
orders after in camera inspection by the court, remain available to
protect a party claiming privilege or work product protection.
Amended Rule 11 continues to apply to anyone who signs a
pleading, motion, or other paper. Although the standard is the same
for unrepresented parties, who are obliged themselves to sign the
pleadings, the court has sufficient discretion to take account of
the special circumstances that often arise in pro se situations.
See Haines v. Kerner 404 U.S. 519 (1972).
The provision in the original rule for striking pleadings and
motions as sham and false has been deleted. The passage has rarely
been utilized, and decisions thereunder have tended to confuse the
issue of attorney honesty with the merits of the action. See
generally Risinger, Honesty in Pleading and its Enforcement: Some
"Striking" Problems with Fed. R. Civ. P. 11, 61 Minn.L.Rev. 1
(1976). Motions under this provision generally present issues
better dealt with under Rules 8, 12, or 56. See Murchison v. Kirby,
27 F.R.D. 14 (S.D.N.Y. 1961); 5 Wright & Miller, Federal Practice
and Procedure: Civil Sec. 1334 (1969).
The former reference to the inclusion of scandalous or indecent
matter, which is itself strong indication that an improper purpose
underlies the pleading, motion, or other paper, also has been
deleted as unnecessary. Such matter may be stricken under Rule
12(f) as well as dealt with under the more general language of
amended Rule 11.
The text of the amended rule seeks to dispel apprehensions that
efforts to obtain enforcement will be fruitless by insuring that
the rule will be applied when properly invoked. The word
"sanctions" in the caption, for example, stresses a deterrent
orientation in dealing with improper pleadings, motions or other
papers. This corresponds to the approach in imposing sanctions for
discovery abuses. See National Hockey League v. Metropolitan Hockey
Club, 427 U.S. 639 (1976) (per curiam). And the words "shall
impose" in the last sentence focus the court's attention on the
need to impose sanctions for pleading and motion abuses. The court,
however, retains the necessary flexibility to deal appropriately
with violations of the rule. It has discretion to tailor sanctions
to the particular facts of the case, with which it should be well
acquainted.
The reference in the former text to wilfullness as a prerequisite
to disciplinary action has been deleted. However, in considering
the nature and severity of the sanctions to be imposed, the court
should take account of the state of the attorney's or party's
actual or presumed knowledge when the pleading or other paper was
signed. Thus, for example, when a party is not represented by
counsel, the absence of legal advice is an appropriate factor to be
considered.
Courts currently appear to believe they may impose sanctions on
their own motion. See North American Trading Corp. v. Zale Corp.,
73 F.R.D. 293 (S.D.N.Y. 1979). Authority to do so has been made
explicit in order to overcome the traditional reluctance of courts
to intervene unless requested by one of the parties. The detection
and punishment of a violation of the signing requirement,
encouraged by the amended rule, is part of the court's
responsibility for securing the system's effective operation.
If the duty imposed by the rule is violated, the court should
have the discretion to impose sanctions on either the attorney, the
party the signing attorney represents, or both, or on an
unrepresented party who signed the pleading, and the new rule so
provides. Although Rule 11 has been silent on the point, courts
have claimed the power to impose sanctions on an attorney
personally, either by imposing costs or employing the contempt
technique. See 5 Wright & Miller, Federal Practice and Procedure:
Civil Sec. 1334 (1969); 2A Moore, Federal Practice &#182; 11.02, at
2104 n.8. This power has been used infrequently. The amended rule
should eliminate any doubt as to the propriety of assessing
sanctions against the attorney.
Even though it is the attorney whose signature violates the rule,
it may be appropriate under the circumstances of the case to impose
a sanction on the client. See Browning Debenture Holders' Committee
v. DASA Corp., supra. This modification brings Rule 11 in line with
practice under Rule 37, which allows sanctions for abuses during
discovery to be imposed upon the party, the attorney, or both.
A party seeking sanctions should give notice to the court and the
offending party promptly upon discovering a basis for doing so. The
time when sanctions are to be imposed rests in the discretion of
the trial judge. However, it is anticipated that in the case of
pleadings the sanctions issue under Rule 11 normally will be
determined at the end of the litigation, and in the case of motions
at the time when the motion is decided or shortly thereafter. The
procedure obviously must comport with due process requirements. The
particular format to be followed should depend on the circumstances
of the situation and the severity of the sanction under
consideration. In many situations the judge's participation in the
proceedings provides him with full knowledge of the relevant facts
and little further inquiry will be necessary.
To assure that the efficiencies achieved through more effective
operation of the pleading regimen will not be offset by the cost of
satellite litigation over the imposition of sanctions, the court
must to the extent possible limit the scope of sanction proceedings
to the record. Thus, discovery should be conducted only by leave of
the court, and then only in extraordinary circumstances.
Although the encompassing reference to "other papers" in new Rule
11 literally includes discovery papers, the certification
requirement in that context is governed by proposed new Rule 26(g).
Discovery motions, however, fall within the ambit of Rule 11.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Purpose of revision. This revision is intended to remedy problems
that have arisen in the interpretation and application of the 1983
revision of the rule. For empirical examination of experience under
the 1983 rule, see, e.g., New York State Bar Committee on Federal
Courts, Sanctions and Attorneys' Fees (1987); T. Willging, The Rule
11 Sanctioning Process (1989); American Judicature Society, Report
of the Third Circuit Task Force on Federal Rule of Civil Procedure
11 (S. Burbank ed., 1989); E. Wiggins, T. Willging, and D.
Stienstra, Report on Rule 11 (Federal Judicial Center 1991). For
book-length analyses of the case law, see G. Joseph, Sanctions: The
Federal Law of Litigation Abuse (1989); J. Solovy, The Federal Law
of Sanctions (1991); G. Vairo, Rule 11 Sanctions: Case Law
Perspectives and Preventive Measures (1991).
The rule retains the principle that attorneys and pro se
litigants have an obligation to the court to refrain from conduct
that frustrates the aims of Rule 1. The revision broadens the scope
of this obligation, but places greater constraints on the
imposition of sanctions and should reduce the number of motions for
sanctions presented to the court. New subdivision (d) removes from
the ambit of this rule all discovery requests, responses,
objections, and motions subject to the provisions of Rule 26
through 37.
Subdivision (a). Retained in this subdivision are the provisions
requiring signatures on pleadings, written motions, and other
papers. Unsigned papers are to be received by the Clerk, but then
are to be stricken if the omission of the signature is not
corrected promptly after being called to the attention of the
attorney or pro se litigant. Correction can be made by signing the
paper on file or by submitting a duplicate that contains the
signature. A court may require by local rule that papers contain
additional identifying information regarding the parties or
attorneys, such as telephone numbers to facilitate facsimile
transmissions, though, as for omission of a signature, the paper
should not be rejected for failure to provide such information.
The sentence in the former rule relating to the effect of answers
under oath is no longer needed and has been eliminated. The
provision in the former rule that signing a paper constitutes a
certificate that it has been read by the signer also has been
eliminated as unnecessary. The obligations imposed under
subdivision (b) obviously require that a pleading, written motion,
or other paper be read before it is filed or submitted to the
court.
Subdivisions (b) and (c). These subdivisions restate the
provisions requiring attorneys and pro se litigants to conduct a
reasonable inquiry into the law and facts before signing pleadings,
written motions, and other documents, and prescribing sanctions for
violation of these obligations. The revision in part expands the
responsibilities of litigants to the court, while providing greater
constraints and flexibility in dealing with infractions of the
rule. The rule continues to require litigants to "stop-and-think"
before initially making legal or factual contentions. It also,
however, emphasizes the duty of candor by subjecting litigants to
potential sanctions for insisting upon a position after it is no
longer tenable and by generally providing protection against
sanctions if they withdraw or correct contentions after a potential
violation is called to their attention.
The rule applies only to assertions contained in papers filed
with or submitted to the court. It does not cover matters arising
for the first time during oral presentations to the court, when
counsel may make statements that would not have been made if there
had been more time for study and reflection. However, a litigant's
obligations with respect to the contents of these papers are not
measured solely as of the time they are filed with or submitted to
the court, but include reaffirming to the court and advocating
positions contained in those pleadings and motions after learning
that they cease to have any merit. For example, an attorney who
during a pretrial conference insists on a claim or defense should
be viewed as "presenting to the court" that contention and would be
subject to the obligations of subdivision (b) measured as of that
time. Similarly, if after a notice of removal is filed, a party
urges in federal court the allegations of a pleading filed in state
court (whether as claims, defenses, or in disputes regarding
removal or remand), it would be viewed as "presenting" - and hence
certifying to the district court under Rule 11 - those allegations.
The certification with respect to allegations and other factual
contentions is revised in recognition that sometimes a litigant may
have good reason to believe that a fact is true or false but may
need discovery, formal or informal, from opposing parties or third
persons to gather and confirm the evidentiary basis for the
allegation. Tolerance of factual contentions in initial pleadings
by plaintiffs or defendants when specifically identified as made on
information and belief does not relieve litigants from the
obligation to conduct an appropriate investigation into the facts
that is reasonable under the circumstances; it is not a license to
join parties, make claims, or present defenses without any factual
basis or justification. Moreover, if evidentiary support is not
obtained after a reasonable opportunity for further investigation
or discovery, the party has a duty under the rule not to persist
with that contention. Subdivision (b) does not require a formal
amendment to pleadings for which evidentiary support is not
obtained, but rather calls upon a litigant not thereafter to
advocate such claims or defenses.
The certification is that there is (or likely will be)
"evidentiary support" for the allegation, not that the party will
prevail with respect to its contention regarding the fact. That
summary judgment is rendered against a party does not necessarily
mean, for purposes of this certification, that it had no
evidentiary support for its position. On the other hand, if a party
has evidence with respect to a contention that would suffice to
defeat a motion for summary judgment based thereon, it would have
sufficient "evidentiary support" for purposes of Rule 11.
Denials of factual contentions involve somewhat different
considerations. Often, of course, a denial is premised upon the
existence of evidence contradicting the alleged fact. At other
times a denial is permissible because, after an appropriate
investigation, a party has no information concerning the matter or,
indeed, has a reasonable basis for doubting the credibility of the
only evidence relevant to the matter. A party should not deny an
allegation it knows to be true; but it is not required, simply
because it lacks contradictory evidence, to admit an allegation
that it believes is not true.
The changes in subdivisions (b)(3) and (b)(4) will serve to
equalize the burden of the rule upon plaintiffs and defendants, who
under Rule 8(b) are in effect allowed to deny allegations by
stating that from their initial investigation they lack sufficient
information to form a belief as to the truth of the allegation. If,
after further investigation or discovery, a denial is no longer
warranted, the defendant should not continue to insist on that
denial. While sometimes helpful, formal amendment of the pleadings
to withdraw an allegation or denial is not required by subdivision
(b).
Arguments for extensions, modifications, or reversals of existing
law or for creation of new law do not violate subdivision (b)(2)
provided they are "nonfrivolous." This establishes an objective
standard, intended to eliminate any "empty-head pure-heart"
justification for patently frivolous arguments. However, the extent
to which a litigant has researched the issues and found some
support for its theories even in minority opinions, in law review
articles, or through consultation with other attorneys should
certainly be taken into account in determining whether paragraph
(2) has been violated. Although arguments for a change of law are
not required to be specifically so identified, a contention that is
so identified should be viewed with greater tolerance under the
rule.
The court has available a variety of possible sanctions to impose
for violations, such as striking the offending paper; issuing an
admonition, reprimand, or censure; requiring participation in
seminars or other educational programs; ordering a fine payable to
the court; referring the matter to disciplinary authorities (or, in
the case of government attorneys, to the Attorney General,
Inspector General, or agency head), etc. See Manual for Complex
Litigation, Second, Sec. 42.3. The rule does not attempt to
enumerate the factors a court should consider in deciding whether
to impose a sanction or what sanctions would be appropriate in the
circumstances; but, for emphasis, it does specifically note that a
sanction may be nonmonetary as well as monetary. Whether the
improper conduct was willful, or negligent; whether it was part of
a pattern of activity, or an isolated event; whether it infected
the entire pleading, or only one particular count or defense;
whether the person has engaged in similar conduct in other
litigation; whether it was intended to injure; what effect it had
on the litigation process in time or expense; whether the
responsible person is trained in the law; what amount, given the
financial resources of the responsible person, is needed to deter
that person from repetition in the same case; what amount is needed
to deter similar activity by other litigants: all of these may in a
particular case be proper considerations. The court has significant
discretion in determining what sanctions, if any, should be imposed
for a violation, subject to the principle that the sanctions should
not be more severe than reasonably necessary to deter repetition of
the conduct by the offending person or comparable conduct by
similarly situated persons.
Since the purpose of Rule 11 sanctions is to deter rather than to
compensate, the rule provides that, if a monetary sanction is
imposed, it should ordinarily be paid into court as a penalty.
However, under unusual circumstances, particularly for
[subdivision] (b)(1) violations, deterrence may be ineffective
unless the sanction not only requires the person violating the rule
to make a monetary payment, but also directs that some or all of
this payment be made to those injured by the violation.
Accordingly, the rule authorizes the court, if requested in a
motion and if so warranted, to award attorney's fees to another
party. Any such award to another party, however, should not exceed
the expenses and attorneys' fees for the services directly and
unavoidably caused by the violation of the certification
requirement. If, for example, a wholly unsupportable count were
included in a multi-count complaint or counterclaim for the purpose
of needlessly increasing the cost of litigation to an impecunious
adversary, any award of expenses should be limited to those
directly caused by inclusion of the improper count, and not those
resulting from the filing of the complaint or answer itself. The
award should not provide compensation for services that could have
been avoided by an earlier disclosure of evidence or an earlier
challenge to the groundless claims or defenses. Moreover, partial
reimbursement of fees may constitute a sufficient deterrent with
respect to violations by persons having modest financial resources.
In cases brought under statutes providing for fees to be awarded to
prevailing parties, the court should not employ cost-shifting under
this rule in a manner that would be inconsistent with the standards
that govern the statutory award of fees, such as stated in
Christiansburg Garment Co. v. EEOC, 434 U.S. 412 (1978).
The sanction should be imposed on the persons - whether
attorneys, law firms, or parties - who have violated the rule or
who may be determined to be responsible for the violation. The
person signing, filing, submitting, or advocating a document has a
nondelegable responsibility to the court, and in most situations is
the person to be sanctioned for a violation. Absent exceptional
circumstances, a law firm is to be held also responsible when, as a
result of a motion under subdivision (c)(1)(A), one of its
partners, associates, or employees is determined to have violated
the rule. Since such a motion may be filed only if the offending
paper is not withdrawn or corrected within 21 days after service of
the motion, it is appropriate that the law firm ordinarily be
viewed as jointly responsible under established principles of
agency. This provision is designed to remove the restrictions of
the former rule. Cf. Pavelic & LeFlore v. Marvel Entertainment
Group, 493 U.S. 120 (1989) (1983 version of Rule 11 does not permit
sanctions against law firm of attorney signing groundless
complaint).
The revision permits the court to consider whether other
attorneys in the firm, co-counsel, other law firms, or the party
itself should be held accountable for their part in causing a
violation. When appropriate, the court can make an additional
inquiry in order to determine whether the sanction should be
imposed on such persons, firms, or parties either in addition to
or, in unusual circumstances, instead of the person actually making
the presentation to the court. For example, such an inquiry may be
appropriate in cases involving governmental agencies or other
institutional parties that frequently impose substantial
restrictions on the discretion of individual attorneys employed by
it.
Sanctions that involve monetary awards (such as a fine or an
award of attorney's fees) may not be imposed on a represented party
for causing a violation of subdivision (b)(2), involving frivolous
contentions of law. Monetary responsibility for such violations is
more properly placed solely on the party's attorneys. With this
limitation, the rule should not be subject to attack under the
Rules Enabling Act. See Willy v. Coastal Corp., __ U.S. __ (1992);
Business Guides, Inc. v. Chromatic Communications Enter. Inc., __
U.S. __ (1991). This restriction does not limit the court's power
to impose sanctions or remedial orders that may have collateral
financial consequences upon a party, such as dismissal of a claim,
preclusion of a defense, or preparation of amended pleadings.
Explicit provision is made for litigants to be provided notice of
the alleged violation and an opportunity to respond before
sanctions are imposed. Whether the matter should be decided solely
on the basis of written submissions or should be scheduled for oral
argument (or, indeed, for evidentiary presentation) will depend on
the circumstances. If the court imposes a sanction, it must, unless
waived, indicate its reasons in a written order or on the record;
the court should not ordinarily have to explain its denial of a
motion for sanctions. Whether a violation has occurred and what
sanctions, if any, to impose for a violation are matters committed
to the discretion of the trial court; accordingly, as under current
law, the standard for appellate review of these decisions will be
for abuse of discretion. See Cooter & Gell v. Hartmarx Corp., 496
U.S. 384 (1990) (noting, however, that an abuse would be
established if the court based its ruling on an erroneous view of
the law or on a clearly erroneous assessment of the evidence).
The revision leaves for resolution on a case-by-case basis,
considering the particular circumstances involved, the question as
to when a motion for violation of Rule 11 should be served and
when, if filed, it should be decided. Ordinarily the motion should
be served promptly after the inappropriate paper is filed, and, if
delayed too long, may be viewed as untimely. In other
circumstances, it should not be served until the other party has
had a reasonable opportunity for discovery. Given the "safe harbor"
provisions discussed below, a party cannot delay serving its Rule
11 motion until conclusion of the case (or judicial rejection of
the offending contention).
Rule 11 motions should not be made or threatened for minor,
inconsequential violations of the standards prescribed by
subdivision (b). They should not be employed as a discovery device
or to test the legal sufficiency or efficacy of allegations in the
pleadings; other motions are available for those purposes. Nor
should Rule 11 motions be prepared to emphasize the merits of a
party's position, to exact an unjust settlement, to intimidate an
adversary into withdrawing contentions that are fairly debatable,
to increase the costs of litigation, to create a conflict of
interest between attorney and client, or to seek disclosure of
matters otherwise protected by the attorney-client privilege or the
work-product doctrine. As under the prior rule, the court may defer
its ruling (or its decision as to the identity of the persons to be
sanctioned) until final resolution of the case in order to avoid
immediate conflicts of interest and to reduce the disruption
created if a disclosure of attorney-client communications is needed
to determine whether a violation occurred or to identify the person
responsible for the violation.
The rule provides that requests for sanctions must be made as a
separate motion, i.e., not simply included as an additional prayer
for relief contained in another motion. The motion for sanctions is
not, however, to be filed until at least 21 days (or such other
period as the court may set) after being served. If, during this
period, the alleged violation is corrected, as by withdrawing
(whether formally or informally) some allegation or contention, the
motion should not be filed with the court. These provisions are
intended to provide a type of "safe harbor" against motions under
Rule 11 in that a party will not be subject to sanctions on the
basis of another party's motion unless, after receiving the motion,
it refuses to withdraw that position or to acknowledge candidly
that it does not currently have evidence to support a specified
allegation. Under the former rule, parties were sometimes reluctant
to abandon a questionable contention lest that be viewed as
evidence of a violation of Rule 11; under the revision, the timely
withdrawal of a contention will protect a party against a motion
for sanctions.
To stress the seriousness of a motion for sanctions and to define
precisely the conduct claimed to violate the rule, the revision
provides that the "safe harbor" period begins to run only upon
service of the motion. In most cases, however, counsel should be
expected to give informal notice to the other party, whether in
person or by a telephone call or letter, of a potential violation
before proceeding to prepare and serve a Rule 11 motion.
As under former Rule 11, the filing of a motion for sanctions is
itself subject to the requirements of the rule and can lead to
sanctions. However, service of a cross motion under Rule 11 should
rarely be needed since under the revision the court may award to
the person who prevails on a motion under Rule 11 - whether the
movant or the target of the motion - reasonable expenses, including
attorney's fees, incurred in presenting or opposing the motion.
The power of the court to act on its own initiative is retained,
but with the condition that this be done through a show cause
order. This procedure provides the person with notice and an
opportunity to respond. The revision provides that a monetary
sanction imposed after a court-initiated show cause order be
limited to a penalty payable to the court and that it be imposed
only if the show cause order is issued before any voluntary
dismissal or an agreement of the parties to settle the claims made
by or against the litigant. Parties settling a case should not be
subsequently faced with an unexpected order from the court leading
to monetary sanctions that might have affected their willingness to
settle or voluntarily dismiss a case. Since show cause orders will
ordinarily be issued only in situations that are akin to a contempt
of court, the rule does not provide a "safe harbor" to a litigant
for withdrawing a claim, defense, etc., after a show cause order
has been issued on the court's own initiative. Such corrective
action, however, should be taken into account in deciding what - if
any - sanction to impose if, after consideration of the litigant's
response, the court concludes that a violation has occurred.
Subdivision (d). Rules 26(g) and 37 establish certification
standards and sanctions that apply to discovery disclosures,
requests, responses, objections, and motions. It is appropriate
that Rules 26 through 37, which are specially designed for the
discovery process, govern such documents and conduct rather than
the more general provisions of Rule 11. Subdivision (d) has been
added to accomplish this result.
Rule 11 is not the exclusive source for control of improper
presentations of claims, defenses, or contentions. It does not
supplant statutes permitting awards of attorney's fees to
prevailing parties or alter the principles governing such awards.
It does not inhibit the court in punishing for contempt, in
exercising its inherent powers, or in imposing sanctions, awarding
expenses, or directing remedial action authorized under other rules
or under 28 U.S.C. Sec. 1927. See Chambers v. NASCO, __ U.S. __
(1991). Chambers cautions, however, against reliance upon inherent
powers if appropriate sanctions can be imposed under provisions
such as Rule 11, and the procedures specified in Rule 11 - notice,
opportunity to respond, and findings - should ordinarily be
employed when imposing a sanction under the court's inherent
powers. Finally, it should be noted that Rule 11 does not preclude
a party from initiating an independent action for malicious
prosecution or abuse of process.

-End-



-CITE-
28 USC APPENDIX Rule 12 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 12. Defenses and Objections - When and How Presented - By
Pleading or Motion - Motion for Judgment on the Pleadings

-STATUTE-
(a) When Presented.
(1) Unless a different time is prescribed in a statute of the
United States, a defendant shall serve an answer
(A) within 20 days after being served with the summons and
complaint, or
(B) if service of the summons has been timely waived on
request under Rule 4(d), within 60 days after the date when the
request for waiver was sent, or within 90 days after that date
if the defendant was addressed outside any judicial district of
the United States.

(2) A party served with a pleading stating a cross-claim
against that party shall serve an answer thereto within 20 days
after being served. The plaintiff shall serve a reply to a
counterclaim in the answer within 20 days after service of the
answer, or, if a reply is ordered by the court, within 20 days
after service of the order, unless the order otherwise directs.
(3)(A) The United States, an agency of the United States, or an
officer or employee of the United States sued in an official
capacity, shall serve an answer to the complaint or cross-claim -
or a reply to a counterclaim - within 60 days after the United
States attorney is served with the pleading asserting the claim.
(B) An officer or employee of the United States sued in an
individual capacity for acts or omissions occurring in connection
with the performance of duties on behalf of the United States
shall serve an answer to the complaint or cross-claim - or a
reply to a counterclaim - within 60 days after service on the
officer or employee, or service on the United States attorney,
whichever is later.
(4) Unless a different time is fixed by court order, the
service of a motion permitted under this rule alters these
periods of time as follows:
(A) if the court denies the motion or postpones its
disposition until the trial on the merits, the responsive
pleading shall be served within 10 days after notice of the
court's action; or
(B) if the court grants a motion for a more definite
statement, the responsive pleading shall be served within 10
days after the service of the more definite statement.

(b) How Presented. Every defense, in law or fact, to a claim for
relief in any pleading, whether a claim, counterclaim, cross-claim,
or third-party claim, shall be asserted in the responsive pleading
thereto if one is required, except that the following defenses may
at the option of the pleader be made by motion: (1) lack of
jurisdiction over the subject matter, (2) lack of jurisdiction over
the person, (3) improper venue, (4) insufficiency of process, (5)
insufficiency of service of process, (6) failure to state a claim
upon which relief can be granted, (7) failure to join a party under
Rule 19. A motion making any of these defenses shall be made before
pleading if a further pleading is permitted. No defense or
objection is waived by being joined with one or more other defenses
or objections in a responsive pleading or motion. If a pleading
sets forth a claim for relief to which the adverse party is not
required to serve a responsive pleading, the adverse party may
assert at the trial any defense in law or fact to that claim for
relief. If, on a motion asserting the defense numbered (6) to
dismiss for failure of the pleading to state a claim upon which
relief can be granted, matters outside the pleading are presented
to and not excluded by the court, the motion shall be treated as
one for summary judgment and disposed of as provided in Rule 56,
and all parties shall be given reasonable opportunity to present
all material made pertinent to such a motion by Rule 56.
(c) Motion for Judgment on the Pleadings. After the pleadings are
closed but within such time as not to delay the trial, any party
may move for judgment on the pleadings. If, on a motion for
judgment on the pleadings, matters outside the pleadings are
presented to and not excluded by the court, the motion shall be
treated as one for summary judgment and disposed of as provided in
Rule 56, and all parties shall be given reasonable opportunity to
present all material made pertinent to such a motion by Rule 56.
(d) Preliminary Hearings. The defenses specifically enumerated
(1)-(7) in subdivision (b) of this rule, whether made in a pleading
or by motion, and the motion for judgment mentioned in subdivision
(c) of this rule shall be heard and determined before trial on
application of any party, unless the court orders that the hearing
and determination thereof be deferred until the trial.
(e) Motion for More Definite Statement. If a pleading to which a
responsive pleading is permitted is so vague or ambiguous that a
party cannot reasonably be required to frame a responsive pleading,
the party may move for a more definite statement before interposing
a responsive pleading. The motion shall point out the defects
complained of and the details desired. If the motion is granted and
the order of the court is not obeyed within 10 days after notice of
the order or within such other time as the court may fix, the court
may strike the pleading to which the motion was directed or make
such order as it deems just.
(f) Motion To Strike. Upon motion made by a party before
responding to a pleading or, if no responsive pleading is permitted
by these rules, upon motion made by a party within 20 days after
the service of the pleading upon the party or upon the court's own
initiative at any time, the court may order stricken from any
pleading any insufficient defense or any redundant, immaterial,
impertinent, or scandalous matter.
(g) Consolidation of Defenses in Motion. A party who makes a
motion under this rule may join with it any other motions herein
provided for and then available to the party. If a party makes a
motion under this rule but omits therefrom any defense or objection
then available to the party which this rule permits to be raised by
motion, the party shall not thereafter make a motion based on the
defense or objection so omitted, except a motion as provided in
subdivision (h)(2) hereof on any of the grounds there stated.
(h) Waiver or Preservation of Certain Defenses.
(1) A defense of lack of jurisdiction over the person, improper
venue, insufficiency of process, or insufficiency of service of
process is waived (A) if omitted from a motion in the
circumstances described in subdivision (g), or (B) if it is
neither made by motion under this rule nor included in a
responsive pleading or an amendment thereof permitted by Rule
15(a) to be made as a matter of course.
(2) A defense of failure to state a claim upon which relief can
be granted, a defense of failure to join a party indispensable
under Rule 19, and an objection of failure to state a legal
defense to a claim may be made in any pleading permitted or
ordered under Rule 7(a), or by motion for judgment on the
pleadings, or at the trial on the merits.
(3) Whenever it appears by suggestion of the parties or
otherwise that the court lacks jurisdiction of the subject
matter, the court shall dismiss the action.

-SOURCE-
(As amended Dec. 27, 1946, eff. Mar. 19, 1948; Jan. 21, 1963, eff.
July 1, 1963; Feb. 28, 1966, eff. July 1, 1966; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 17, 2000, eff.
Dec. 1, 2000.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivision (a). 1. Compare [former] Equity Rules 12
(Issue of Subpoena - Time for Answer) and 31 (Reply - When Required
- When Cause at Issue); 4 Mont.Rev.Codes Ann. (1935) Secs. 9107,
9158; N.Y.C.P.A. (1937) Sec. 263; N.Y.R.C.P. (1937) Rules 109-111.
2. U.S.C., Title 28, Sec. 763 [now 547] (Petition in action
against United States; service; appearance by district attorney)
provides that the United States as a defendant shall have 60 days
within which to answer or otherwise defend. This and other statutes
which provide 60 days for the United States or an officer or agency
thereof to answer or otherwise defend are continued by this rule.
Insofar as any statutes not excepted in Rule 81 provide a different
time for a defendant to defend, such statutes are modified. See
U.S.C., Title 28, [former] Sec. 45 (District courts; practice and
procedure in certain cases under the interstate commerce laws) (30
days).
3. Compare the last sentence of [former] Equity Rule 29 (Defenses
- How Presented) and N.Y.C.P.A. (1937) Sec. 283. See Rule 15(a) for
time within which to plead to an amended pleading.
Note to Subdivisions (b) and (d). 1. See generally [former]
Equity Rules 29 (Defenses - How Presented), 33 (Testing Sufficiency
of Defense), 43 (Defect of Parties - Resisting Objection), and 44
(Defect of Parties - Tardy Objection); N.Y.C.P.A. (1937) Secs. 277-
280; N.Y.R.C.P. (1937) Rules 106-112; English Rules Under the
Judicature Act (The Annual Practice, 1937) O. 25, r.r. 1-4; Clark,
Code Pleading (1928) pp. 371-381.
2. For provisions authorizing defenses to be made in the answer
or reply see English Rules Under the Judicature Act (The Annual
Practice, 1937) O. 25, r.r. 1-4; 1 Miss.Code Ann. (1930) Secs. 378,
379. Compare [former] Equity Rule 29 (Defenses - How Presented);
U.S.C., Title 28, [former] Sec. 45 (District Courts; practice and
procedure in certain cases under the interstate commerce laws).
U.S.C., Title 28, [former] Sec. 45, substantially continued by this
rule, provides: "No replication need be filed to the answer, and
objections to the sufficiency of the petition or answer as not
setting forth a cause of action or defense must be taken at the
final hearing or by motion to dismiss the petition based on said
grounds, which motion may be made at any time before answer is
filed." Compare Calif.Code Civ.Proc. (Deering, 1937) Sec. 433; 4
Nev.Comp.Laws (Hillyer, 1929) Sec. 8600. For provisions that the
defendant may demur and answer at the same time, see Calif.Code
Civ.Proc. (Deering, 1937) Sec. 431; 4 Nev.Comp.Laws (Hillyer, 1929)
Sec. 8598.
3. [Former] Equity Rule 29 (Defenses - How Presented) abolished
demurrers and provided that defenses in point of law arising on the
face of the bill should be made by motion to dismiss or in the
answer, with further provision that every such point of law going
to the whole or material part of the cause or causes stated might
be called up and disposed of before final hearing "at the
discretion of the court." Likewise many state practices have
abolished the demurrer, or retain it only to attack substantial and
not formal defects. See 6 Tenn.Code Ann. (Williams, 1934) Sec.
8784; Ala.Code Ann. (Michie, 1928) Sec. 9479; 2 Mass.Gen.Laws
(Ter.Ed., 1932) ch. 231, Secs. 15-18; Kansas Gen.Stat.Ann. (1935)
Secs. 60-705, 60-706.
Note to Subdivision (c). Compare [former] Equity Rule 33 (Testing
Sufficiency of Defense); N.Y.R.C.P. (1937) Rules 111 and 112.
Note to Subdivisions (e) and (f). Compare [former] Equity Rules
20 (Further and Particular Statement in Pleading May Be Required)
and 21 (Scandal and Impertinence); English Rules Under the
Judicature Act (The Annual Practice, 1937) O. 19, r.r. 7, 7a, 7b,
8; 4 Mont.Rev.Codes Ann. (1935) Secs. 9166, 9167; N.Y.C.P.A. (1937)
Sec. 247; N.Y.R.C.P. (1937) Rules 103, 115, 116, 117;
Wyo.Rev.Stat.Ann. (Courtright, 1931) Secs. 89-1033, 89-1034.
Note to Subdivision (g). Compare Rules of the District Court of
the United States for the District of Columbia (1937), Equity Rule
11; N.M. Rules of Pleading, Practice and Procedure, 38 N.M.Rep. vii
[105-408] (1934); Wash.Gen.Rules of the Superior Courts, 1
Wash.Rev.Stat.Ann. (Remington, 1932) p. 160, Rule VI (e) and (f).
Note to Subdivision (h). Compare Calif.Code Civ.Proc. (Deering,
1937) Sec. 434; 2 Minn.Stat. (Mason, 1927) Sec. 9252; N.Y.C.P.A.
(1937) Secs. 278 and 279; Wash.Gen.Rules of the Superior Courts, 1
Wash.Rev.Stat.Ann. (Remington, 1932) p. 160, Rule VI (e). This rule
continues U.S.C., Title 28, Sec. 80 [now 1359, 1447, 1919]
(Dismissal or remand) (of action over which district court lacks
jurisdiction), while U.S.C., Title 28, Sec. 399 [now 1653]
(Amendments to show diverse citizenship) is continued by Rule 15.

NOTES OF ADVISORY COMMITTEE ON RULES - 1946 AMENDMENT
Subdivision (a). Various minor alterations in language have been
made to improve the statement of the rule. All references to bills
of particulars have been stricken in accordance with changes made
in subdivision (e).
Subdivision (b). The addition of defense (7), "failure to join an
indispensable party", cures an omission in the rules, which are
silent as to the mode of raising such failure. See Commentary,
Manner of Raising Objection of Non-Joinder of Indispensable Party
(1940) 2 Fed.Rules Serv. 658 and (1942) 5 Fed.Rules Serv. 820. In
one case, United States v. Metropolitan Life Ins. Co. (E.D.Pa.
1941) 36 F.Supp. 399, the failure to join an indispensable party
was raised under Rule 12(c).
Rule 12(b)(6), permitting a motion to dismiss for failure of the
complaint to state a claim on which relief can be granted, is
substantially the same as the old demurrer for failure of a
pleading to state a cause of action. Some courts have held that as
the rule by its terms refers to statements in the complaint,
extraneous matter on affidavits, depositions or otherwise, may not
be introduced in support of the motion, or to resist it. On the
other hand, in many cases the district courts have permitted the
introduction of such material. When these cases have reached
circuit courts of appeals in situations where the extraneous
material so received shows that there is no genuine issue as to any
material question of fact and that on the undisputed facts as
disclosed by the affidavits or depositions, one party or the other
is entitled to judgment as a matter of law, the circuit courts,
properly enough, have been reluctant to dispose of the case merely
on the face of the pleading, and in the interest of prompt
disposition of the action have made a final disposition of it. In
dealing with such situations the Second Circuit has made the sound
suggestion that whatever its label or original basis, the motion
may be treated as a motion for summary judgment and disposed of as
such. Samara v. United States (C.C.A.2d, 1942) 129 F.(2d) 594,
cert. den. (1942) 317 U.S. 686; Boro Hall Corp. v. General Motors
Corp. (C.C.A.2d, 1942) 124 F.(2d) 822, cert. den. (1943) 317 U.S.
695. See also Kithcart v. Metropolitan Life Ins. Co. (C.C.A.8th,
1945) 150 F.(2d) 997, aff'g 62 F.Supp. 93.
It has also been suggested that this practice could be justified
on the ground that the federal rules permit "speaking" motions. The
Committee entertains the view that on motion under Rule 12(b)(6) to
dismiss for failure of the complaint to state a good claim, the
trial court should have authority to permit the introduction of
extraneous matter, such as may be offered on a motion for summary
judgment, and if it does not exclude such matter the motion should
then be treated as a motion for summary judgment and disposed of in
the manner and on the conditions stated in Rule 56 relating to
summary judgments, and, of course, in such a situation, when the
case reaches the circuit court of appeals, that court should treat
the motion in the same way. The Committee believes that such
practice, however, should be tied to the summary judgment rule. The
term "speaking motion" is not mentioned in the rules, and if there
is such a thing its limitations are undefined. Where extraneous
matter is received, by tying further proceedings to the summary
judgment rule the courts have a definite basis in the rules for
disposing of the motion.
The Committee emphasizes particularly the fact that the summary
judgment rule does not permit a case to be disposed of by judgment
on the merits on affidavits, which disclose a conflict on a
material issue of fact, and unless this practice is tied to the
summary judgment rule, the extent to which a court, on the
introduction of such extraneous matter, may resolve questions of
fact on conflicting proof would be left uncertain.
The decisions dealing with this general situation may be
generally grouped as follows: (1) cases dealing with the use of
affidavits and other extraneous material on motions; (2) cases
reversing judgments to prevent final determination on mere pleading
allegations alone.
Under group (1) are: Boro Hall Corp. v. General Motors Corp.
(C.C.A.2d, 1942) 124 F.(2d) 822, cert. den. (1943) 317 U.S. 695;
Gallup v. Caldwell (C.C.A.3d, 1941) 120 F.(2d) 90; Central Mexico
Light & Power Co. v. Munch (C.C.A.2d, 1940) 116 F.(2d) 85; National
Labor Relations Board v. Montgomery Ward & Co. (App.D.C. 1944) 144
F.(2d) 528, cert. den. (1944) 65 S.Ct. 134; Urquhart v. American-La
France Foamite Corp. (App.D.C. 1944) 144 F.(2d) 542; Samara v.
United States (C.C.A.2d, 1942) 129 F.(2d) 594; Cohen v. American
Window Glass Co. (C.C.A.2d, 1942) 126 F.(2d) 111; Sperry Products
Inc. v. Association of American Railroads (C.C.A.2d, 1942) 132
F.(2d) 408; Joint Council Dining Car Employees Local 370 v.
Delaware, Lackawanna and Western R. Co. (C.C.A.2d, 1946) 157 F.(2d)
417; Weeks v. Bareco Oil Co. (C.C.A.7th, 1941) 125 F.(2d) 84;
Carroll v. Morrison Hotel Corp. (C.C.A.7th, 1945) 149 F.(2d) 404;
Victory v. Manning (C.C.A.3rd, 1942) 128 F.(2d) 415; Locals No.
1470, No. 1469, and 1512 of International Longshoremen's
Association v. Southern Pacific Co. (C.C.A.5th, 1942) 131 F.(2d)
605; Lucking v. Delano (C.C.A.6th, 1942) 129 F.(2d) 283; San
Francisco Lodge No. 68 of International Association of Machinists
v. Forrestal (N.D.Cal. 1944) 58 F.Supp. 466; Benson v. Export
Equipment Corp. (N. Mex. 1945) 164 P.2d 380 (construing New Mexico
rule identical with Rule 12(b)(6); F. E. Myers & Bros. Co. v. Gould
Pumps, Inc. (W.D.N.Y. 1946) 9 Fed.Rules Serv. 12b.33, Case 2, 5
F.R.D. 132. Cf. Kohler v. Jacobs (C.C.A.5th, 1943) 138 F.(2d) 440;
Cohen v. United States (C.C.A.8th, 1942) 129 F.(2d) 733.
Under group (2) are: Sparks v. England (C.C.A.8th, 1940) 113
F.(2d) 579; Continental Collieries, Inc. v. Shober (C.C.A.3d, 1942)
130 F.(2d) 631; Downey v. Palmer (C.C.A.2d 1940) 114 F.(2d) 116;
DeLoach v. Crowley's Inc. (C.C.A.5th, 1942) 128 F.(2d) 378; Leimer
v. State Mutual Life Assurance Co. of Worcester, Mass. (C.C.A.8th,
1940) 108 F.(2d) 302; Rossiter v. Vogel (C.C.A.2d, 1943) 134 F.(2d)
908, compare s. c. (C.C.A.2d, 1945) 148 F.(2d) 292; Karl Kiefer
Machine Co. v. United States Bottlers Machinery Co. (C.C.A.7th,
1940) 113 F.(2d) 356; Chicago Metallic Mfg. Co. v. Edward Katzinger
Co. (C.C.A.7th, 1941) 123 F.(2d) 518; Louisiana Farmers' Protective
Union, Inc. v. Great Atlantic & Pacific Tea Co. of America, Inc.
(C.C.A.8th, 1942) 131 F.(2d) 419; Publicity Bldg. Realty Corp. v.
Hannegan (C.C.A.8th, 1943) 139 F.(2d) 583; Dioguardi v. Durning
(C.C.A.2d, 1944) 139 F.(2d) 774; Package Closure Corp. v. Sealright
Co., Inc. (C.C.A.2d, 1944) 141 F.(2d) 972; Tahir Erk v. Glenn L.
Martin Co. (C.C.A.4th, 1941) 116 F.(2d) 865; Bell v. Preferred Life
Assurance Society of Montgomery, Ala. (1943) 320 U.S. 238.
The addition at the end of subdivision (b) makes it clear that on
a motion under Rule 12(b)(6) extraneous material may not be
considered if the court excludes it, but that if the court does not
exclude such material the motion shall be treated as a motion for
summary judgment and disposed of as provided in Rule 56. It will
also be observed that if a motion under Rule 12(b)(6) is thus
converted into a summary judgment motion, the amendment insures
that both parties shall be given a reasonable opportunity to submit
affidavits and extraneous proofs to avoid taking a party by
surprise through the conversion of the motion into a motion for
summary judgment. In this manner and to this extent the amendment
regularizes the practice above described. As the courts are already
dealing with cases in this way, the effect of this amendment is
really only to define the practice carefully and apply the
requirements of the summary judgment rule in the disposition of the
motion.
Subdivision (c). The sentence appended to subdivision (c)
performs the same function and is grounded on the same reasons as
the corresponding sentence added in subdivision (b).
Subdivision (d). The change here was made necessary because of
the addition of defense (7) in subdivision (b).
Subdivision (e). References in this subdivision to a bill of
particulars have been deleted, and the motion provided for is
confined to one for a more definite statement, to be obtained only
in cases where the movant cannot reasonably be required to frame an
answer or other responsive pleading to the pleading in question.
With respect to preparations for trial, the party is properly
relegated to the various methods of examination and discovery
provided in the rules for that purpose. Slusher v. Jones (E.D.Ky.
1943) 7 Fed.Rules Serv. 12e.231, Case 5, 3 F.R.D. 168; Best Foods,
Inc. v. General Mills, Inc. (D.Del. 1943) 7 Fed.Rules Serv.
12e.231, Case 7, 3 F.R.D. 275; Braden v. Callaway (E.D.Tenn. 1943)
8 Fed.Rules Serv. 12e.231, Case 1 (". . . most courts . . .
conclude that the definiteness required is only such as will be
sufficient for the party to prepare responsive pleadings").
Accordingly, the reference to the 20 day time limit has also been
eliminated, since the purpose of this present provision is to state
a time period where the motion for a bill is made for the purpose
of preparing for trial.
Rule 12(e) as originally drawn has been the subject of more
judicial rulings than any other part of the rules, and has been
much criticized by commentators, judges and members of the bar. See
general discussion and cases cited in 1 Moore's Federal Practice
(1938), Cum.Supplement Sec. 12.07, under "Page 657"; also,
Holtzoff, New Federal Procedure and the Courts (1940) 35-41. And
compare vote of Second Circuit Conference of Circuit and District
Judges (June 1940) recommending the abolition of the bill of
particulars; Sun Valley Mfg. Co. v. Mylish (E.D.Pa. 1944) 8
Fed.Rules Serv. 12e.231, Case 6 ("Our experience . . . has
demonstrated not only that 'the office of the bill of particulars
is fast becoming obsolete' . . . but that in view of the adequate
discovery procedure available under the Rules, motions for bills of
particulars should be abolished altogether."); Walling v. American
Steamship Co. (W.D.N.Y. 1945) 4 F.R.D. 355, 8 Fed.Rules Serv.
12e.244, Case 8 (". . . the adoption of the rule was ill advised.
It has led to confusion, duplication and delay.") The tendency of
some courts freely to grant extended bills of particulars has
served to neutralize any helpful benefits derived from Rule 8, and
has overlooked the intended use of the rules on depositions and
discovery. The words "or to prepare for trial" - eliminated by the
proposed amendment - have sometimes been seized upon as grounds for
compulsory statement in the opposing pleading of all the details
which the movant would have to meet at the trial. On the other
hand, many courts have in effect read these words out of the rule.
See Walling v. Alabama Pipe Co. (W.D.Mo. 1942) 6 Fed.Rules Serv.
12e.244, Case 7; Fleming v. Mason & Dixon Lines, Inc. (E.D.Tenn.
1941) 42 F.Supp. 230; Kellogg Co. v. National Biscuit Co. (D.N.J.
1941) 38 F.Supp. 643; Brown v. H. L. Green Co. (S.D.N.Y. 1943) 7
Fed.Rules Serv. 12e.231, Case 6; Pedersen v. Standard Accident Ins.
Co. (W.D.Mo. 1945) 8 Fed.Rules Serv. 12e.231, Case 8; Bowles v.
Ohse (D.Neb. 1945) 4 F.R.D. 403, 9 Fed.Rules Serv. 12e.231, Case 1;
Klages v. Cohen (E.D.N.Y. 1945) 9 Fed.Rules Serv. 8a.25, Case 4;
Bowles v. Lawrence (D.Mass. 1945) 8 Fed.Rules Serv. 12e.231, Case
19; McKinney Tool & Mfg. Co. v. Hoyt (N.D.Ohio 1945) 9 Fed.Rules
Serv. 12e.235, Case 1; Bowles v. Jack (D.Minn. 1945) 5 F.R.D. 1, 9
Fed.Rules Serv. 12e.244, Case 9. And it has been urged from the
bench that the phrase be stricken. Poole v. White (N.D.W.Va. 1941).
5 Fed.Rules Serv. 12e.231, Case 4, 2 F.R.D. 40. See also Bowles v.
Gabel (W.D.Mo. 1946) 9 Fed.Rules Serv. 12e.244, Case 10 ("The
courts have never favored that portion of the rules which undertook
to justify a motion of this kind for the purpose of aiding counsel
in preparing his case for trial.").
Subdivision (f). This amendment affords a specific method of
raising the insufficiency of a defense, a matter which has troubled
some courts, although attack has been permitted in one way or
another. See Dysart v. Remington-Rand, Inc. (D.Conn. 1939) 31
F.Supp. 296; Eastman Kodak Co. v. McAuley (S.D.N.Y. 1941) 4
Fed.Rules Serv. 12f.21, Case 8, 2 F.R.D. 21; Schenley Distillers
Corp. v. Renken (E.D.S.C. 1940) 34 F.Supp. 678; Yale Transport
Corp. v. Yellow Truck & Coach Mfg. Co. (S.D.N.Y. 1944) 3 F.R.D.
440; United States v. Turner Milk Co. (N.D.Ill. 1941) 4 Fed.Rules
Serv. 12b.51, Case 3, 1 F.R.D. 643; Teiger v. Stephan Oderwald,
Inc. (S.D.N.Y. 1940) 31 F.Supp. 626; Teplitsky v. Pennsylvania R.
Co. (N.D.Ill. 1941) 38 F.Supp. 535; Gallagher v. Carroll (E.D.N.Y.
1939) 27 F.Supp. 568; United States v. Palmer (S.D.N.Y. 1939) 28
F.Supp. 936. And see Indemnity Ins. Co. of North America v. Pan
American Airways, Inc. (S.D.N.Y. 1944) 58 F.Supp. 338; Commentary,
Modes of Attacking Insufficient Defenses in the Answer (1939) 1
Fed.Rules Serv. 669 (1940) 2 Fed.Rules Serv. 640.
Subdivision (g). The change in title conforms with the companion
provision in subdivision (h).
The alteration of the "except" clause requires that other than
provided in subdivision (h) a party who resorts to a motion to
raise defenses specified in the rule, must include in one motion
all that are then available to him. Under the original rule
defenses which could be raised by motion were divided into two
groups which could be the subjects of two successive motions.
Subdivision (h). The addition of the phrase relating to
indispensable parties is one of necessity.

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
This amendment conforms to the amendment of Rule 4(e). See also
the Advisory Committee's Note to amended Rule 4(b).

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
Subdivision (b)(7). The terminology of this subdivision is
changed to accord with the amendment of Rule 19. See the Advisory
Committee's Note to Rule 19, as amended, especially the third
paragraph therein before the caption "Subdivision (c)."
Subdivision (g). Subdivision (g) has forbidden a defendant who
makes a preanswer motion under this rule from making a further
motion presenting any defense or objection which was available to
him at the time he made the first motion and which he could have
included, but did not in fact include therein. Thus if the
defendant moves before answer to dismiss the complaint for failure
to state a claim, he is barred from making a further motion
presenting the defense of improper venue, if that defense was
available to him when he made his original motion. Amended
subdivision (g) is to the same effect. This required consolidation
of defenses and objections in a Rule 12 motion is salutary in that
it works against piecemeal consideration of a case. For exceptions
to the requirement of consolidation, see the last clause of
subdivision (g), referring to new subdivision (h)(2).
Subdivision (h). The question has arisen whether an omitted
defense which cannot be made the basis of a second motion may
nevertheless be pleaded in the answer. Subdivision (h) called for
waiver of "* * * defenses and objections which he [defendant] does
not present * * * by motion * * * or, if he has made no motion, in
his answer * * *." If the clause "if he has made no motion," was
read literally, it seemed that the omitted defense was waived and
could not be pleaded in the answer. On the other hand, the clause
might be read as adding nothing of substance to the preceding
words; in that event it appeared that a defense was not waived by
reason of being omitted from the motion and might be set up in the
answer. The decisions were divided. Favoring waiver, see Keefe v.
Derounian, 6 F.R.D. 11 (N.D.Ill. 1946); Elbinger v. Precision Metal
Workers Corp., 18 F.R.D. 467 (E.D.Wis. 1956); see also Rensing v.
Turner Aviation Corp., 166 F.Supp. 790 (N.D.Ill. 1958); P.
Beiersdorf & Co. v. Duke Laboratories, Inc., 10 F.R.D. 282
(S.D.N.Y. 1950); Neset v. Christensen, 92 F.Supp. 78 (E.D.N.Y.
1950). Opposing waiver, see Phillips v. Baker, 121 F.2d 752 (9th
Cir. 1941); Crum v. Graham, 32 F.R.D. 173 (D.Mont. 1963)
(regretfully following the Phillips case); see also Birnbaum v.
Birrell, 9 F.R.D. 72 (S.D.N.Y. 1948); Johnson v. Joseph Schlitz
Brewing Co., 33 F.Supp. 176 (E.D.Tenn. 1940); cf. Carter v.
American Bus Lines, Inc., 22 F.R.D. 323 (D.Neb. 1958).
Amended subdivision (h)(1)(A) eliminates the ambiguity and states
that certain specified defenses which were available to a party
when he made a preanswer motion, but which he omitted from the
motion, are waived. The specified defenses are lack of jurisdiction
over the person, improper venue, insufficiency of process, and
insufficiency of service of process (see Rule 12(b)(2)-(5)). A
party who by motion invites the court to pass upon a threshold
defense should bring forward all the specified defenses he then has
and thus allow the court to do a reasonably complete job. The
waiver reinforces the policy of subdivision (g) forbidding
successive motions.
By amended subdivision (h)(1)(B), the specified defenses, even if
not waived by the operation of (A), are waived by the failure to
raise them by a motion under Rule 12 or in the responsive pleading
or any amendment thereof to which the party is entitled as a matter
of course. The specified defenses are of such a character that they
should not be delayed and brought up for the first time by means of
an application to the court to amend the responsive pleading.
Since the language of the subdivisions is made clear, the party
is put on fair notice of the effect of his actions and omissions
and can guard himself against unintended waiver. It is to be noted
that while the defenses specified in subdivision (h)(1) are subject
to waiver as there provided, the more substantial defenses of
failure to state a claim upon which relief can be granted, failure
to join a party indispensable under Rule 19, and failure to state a
legal defense to a claim (see Rule 12(b)(6), (7), (f)), as well as
the defense of lack of jurisdiction over the subject matter (see
Rule 12(b)(1)), are expressly preserved against waiver by amended
subdivision (h)(2) and (3).

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Subdivision (a) is divided into paragraphs for greater clarity,
and paragraph (1)(B) is added to reflect amendments to Rule 4.
Consistent with Rule 4(d)(3), a defendant that timely waives
service is allowed 60 days from the date the request was mailed in
which to respond to the complaint, with an additional 30 days
afforded if the request was sent out of the country. Service is
timely waived if the waiver is returned within the time specified
in the request (30 days after the request was mailed, or 60 days if
mailed out of the country) and before being formally served with
process. Sometimes a plaintiff may attempt to serve a defendant
with process while also sending the defendant a request for waiver
of service; if the defendant executes the waiver of service within
the time specified and before being served with process, it should
have the longer time to respond afforded by waiving service.
The date of sending the request is to be inserted by the
plaintiff on the face of the request for waiver and on the waiver
itself. This date is used to measure the return day for the waiver
form, so that the plaintiff can know on a day certain whether
formal service of process will be necessary; it is also a useful
date to measure the time for answer when service is waived. The
defendant who returns the waiver is given additional time for
answer in order to assure that it loses nothing by waiving service
of process.

COMMITTEE NOTES ON RULES - 2000 AMENDMENT
Rule 12(a)(3)(B) is added to complement the addition of Rule
4(i)(2)(B). The purposes that underlie the requirement that service
be made on the United States in an action that asserts individual
liability of a United States officer or employee for acts occurring
in connection with the performance of duties on behalf of the
United States also require that the time to answer be extended to
60 days. Time is needed for the United States to determine whether
to provide representation to the defendant officer or employee. If
the United States provides representation, the need for an extended
answer period is the same as in actions against the United States,
a United States agency, or a United States officer sued in an
official capacity.
An action against a former officer or employee of the United
States is covered by subparagraph (3)(B) in the same way as an
action against a present officer or employee. Termination of the
relationship between the individual defendant and the United States
does not reduce the need for additional time to answer.
GAP Report. No changes are recommended for Rule 12 as published.

-End-



-CITE-
28 USC APPENDIX Rule 13 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 13. Counterclaim and Cross-Claim

-STATUTE-
(a) Compulsory Counterclaims. A pleading shall state as a
counterclaim any claim which at the time of serving the pleading
the pleader has against any opposing party, if it arises out of the
transaction or occurrence that is the subject matter of the
opposing party's claim and does not require for its adjudication
the presence of third parties of whom the court cannot acquire
jurisdiction. But the pleader need not state the claim if (1) at
the time the action was commenced the claim was the subject of
another pending action, or (2) the opposing party brought suit upon
the claim by attachment or other process by which the court did not
acquire jurisdiction to render a personal judgment on that claim,
and the pleader is not stating any counterclaim under this Rule 13.
(b) Permissive Counterclaims. A pleading may state as a
counterclaim any claim against an opposing party not arising out of
the transaction or occurrence that is the subject matter of the
opposing party's claim.
(c) Counterclaim Exceeding Opposing Claim. A counterclaim may or
may not diminish or defeat the recovery sought by the opposing
party. It may claim relief exceeding in amount or different in kind
from that sought in the pleading of the opposing party.
(d) Counterclaim Against the United States. These rules shall not
be construed to enlarge beyond the limits now fixed by law the
right to assert counterclaims or to claim credits against the
United States or an officer or agency thereof.
(e) Counterclaim Maturing or Acquired After Pleading. A claim
which either matured or was acquired by the pleader after serving a
pleading may, with the permission of the court, be presented as a
counterclaim by supplemental pleading.
(f) Omitted Counterclaim. When a pleader fails to set up a
counterclaim through oversight, inadvertence, or excusable neglect,
or when justice requires, the pleader may by leave of court set up
the counterclaim by amendment.
(g) Cross-Claim Against Co-Party. A pleading may state as a cross-
claim any claim by one party against a co-party arising out of the
transaction or occurrence that is the subject matter either of the
original action or of a counterclaim therein or relating to any
property that is the subject matter of the original action. Such
cross-claim may include a claim that the party against whom it is
asserted is or may be liable to the cross-claimant for all or part
of a claim asserted in the action against the cross-claimant.
(h) Joinder of Additional Parties. Persons other than those made
parties to the original action may be made parties to a
counterclaim or cross-claim in accordance with the provisions of
Rules 19 and 20.
(i) Separate Trials; Separate Judgments. If the court orders
separate trials as provided in Rule 42(b), judgment on a
counterclaim or cross-claim may be rendered in accordance with the
terms of Rule 54(b) when the court has jurisdiction so to do, even
if the claims of the opposing party have been dismissed or
otherwise disposed of.

-SOURCE-
(As amended Dec. 27, 1946, eff. Mar. 19, 1948; Jan. 21, 1963, eff.
July 1, 1963; Feb. 28, 1966, eff. July 1, 1966; Mar. 2, 1987, eff.
Aug. 1, 1987.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
1. This is substantially [former] Equity Rule 30 (Answer -
Contents - Counterclaim), broadened to include legal as well as
equitable counterclaims.
2. Compare the English practice, English Rules Under the
Judicature Act (The Annual Practice, 1937) O. 19, r.r. 2 and 3, and
O. 21, r.r. 10 - 17; Beddall v. Maitland, L.R. 17 Ch.Div. 174, 181,
182 (1881).
3. Certain States have also adopted almost unrestricted
provisions concerning both the subject matter of and the parties to
a counterclaim. This seems to be the modern tendency. Ark.Civ.Code
(Crawford, 1934) Secs. 117 (as amended) and 118; N.J.Comp.Stat. (2
Cum.Supp. 1911-1924), N.Y.C.P.A. (1937) Secs. 262, 266, 267 (all as
amended, Laws of 1936, ch. 324), 268, 269, and 271; Wis.Stat.
(1935) Sec. 263.14 (1)(c).
4. Most codes do not expressly provide for a counterclaim in the
reply. Clark, Code Pleading (1928), p. 486. Ky.Codes (Carroll,
1932) Civ.Pract. Sec. 98 does provide, however, for such
counterclaim.
5. The provisions of this rule respecting counterclaims are
subject to Rule 82 (Jurisdiction and Venue Unaffected). For a
discussion of Federal jurisdiction and venue in regard to
counterclaims and cross-claims, see Shulman and Jaegerman, Some
Jurisdictional Limitations in Federal Procedure (1936), 45 Yale
L.J. 393, 410 et seq.
6. This rule does not affect such statutes of the United States
as U.S.C., Title 28, Sec. 41(1) [now 1332, 1345, 1359] (United
States as plaintiff; civil suits at common law and in equity),
relating to assigned claims in actions based on diversity of
citizenship.
7. If the action proceeds to judgment without the interposition
of a counterclaim as required by subdivision (a) of this rule, the
counterclaim is barred. See American Mills Co. v. American Surety
Co., 260 U.S. 360 (1922); Marconi Wireless Telegraph Co. v.
National Electric Signalling Co., 206 Fed. 295 (E.D.N.Y., 1913);
Hopkins, Federal Equity Rules (8th ed., 1933), p. 213; Simkins,
Federal Practice (1934), p. 663
8. For allowance of credits against the United States see U.S.C.,
Title 26, Secs. 1672-1673 [see 7442] (Suits for refunds of internal
revenue taxes - limitations); U.S.C., Title 28, Secs. 774 [now
2406] (Suits by United States against individuals; credits),
[former] 775 (Suits under postal laws; credits); U.S.C., Title 31,
Sec. 227 [now 3728] (Offsets against judgments and claims against
United States).

NOTES OF ADVISORY COMMITTEE ON RULES - 1946 AMENDMENT
Subdivision (a). The use of the word "filing" was inadvertent.
The word "serving" conforms with subdivision (e) and with usage
generally throughout the rules.
The removal of the phrase "not the subject of a pending action"
and the addition of the new clause at the end of the subdivision is
designed to eliminate the ambiguity noted in Prudential Insurance
Co. of America v. Saxe (App.D.C. 1943) 134 F.(2d) 16, 33-34, cert.
den. (1943) 319 U.S. 745. The rewording of the subdivision in this
respect insures against an undesirable possibility presented under
the original rule whereby a party having a claim which would be the
subject of a compulsory counterclaim could avoid stating it as such
by bringing an independent action in another court after the
commencement of the federal action but before serving his pleading
in the federal action.
Subdivision (g). The amendment is to care for a situation such as
where a second mortgagee is made defendant in a foreclosure
proceeding and wishes to file a cross-complaint against the
mortgagor in order to secure a personal judgment for the
indebtedness and foreclose his lien. A claim of this sort by the
second mortgagee may not necessarily arise out of the transaction
or occurrence that is the subject matter of the original action
under the terms of Rule 13(g).
Subdivision (h). The change clarifies the interdependence of
Rules 13(i) and 54(b).

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
When a defendant, if he desires to defend his interest in
property, is obliged to come in and litigate in a court to whose
jurisdiction he could not ordinarily be subjected, fairness
suggests that he should not be required to assert counterclaims,
but should rather be permitted to do so at his election. If,
however, he does elect to assert a counterclaim, it seems fair to
require him to assert any other which is compulsory within the
meaning of Rule 13(a). Clause (2), added by amendment to Rule
13(a), carries out this idea. It will apply to various cases
described in Rule 4(e), as amended, where service is effected
through attachment or other process by which the court does not
acquire jurisdiction to render a personal judgment against the
defendant. Clause (2) will also apply to actions commenced in State
courts jurisdictionally grounded on attachment or the like, and
removed to the Federal courts.

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
Rule 13(h), dealing with the joinder of additional parties to a
counterclaim or cross-claim, has partaken of some of the textual
difficulties of Rule 19 on necessary joinder of parties. See
Advisory Committee's Note to Rule 19, as amended; cf. 3 Moore's
Federal Practice, Par. 13.39 (2d ed. 1963), and Supp. thereto; 1A
Barron & Holtzoff, Federal Practice and Procedure Sec. 399 (Wright
ed. 1960). Rule 13(h) has also been inadequate in failing to call
attention to the fact that a party pleading a counterclaim or cross-
claim may join additional persons when the conditions for
permissive joinder of parties under Rule 20 are satisfied.
The amendment of Rule 13(h) supplies the latter omission by
expressly referring to Rule 20, as amended, and also incorporates
by direct reference the revised criteria and procedures of Rule 19,
as amended. Hereafter, for the purpose of determining who must or
may be joined as additional parties to a counterclaim or cross-
claim, the party pleading the claim is to be regarded as a
plaintiff and the additional parties as plaintiffs or defendants as
the case may be, and amended Rules 19 and 20 are to be applied in
the usual fashion. See also Rules 13(a) (compulsory counterclaims)
and 22 (interpleader).
The amendment of Rule 13(h), like the amendment of Rule 19, does
not attempt to regulate Federal jurisdiction or venue. See Rule 82.
It should be noted, however, that in some situations the decisional
law has recognized "ancillary" Federal jurisdiction over
counterclaims and cross-claims and "ancillary" venue as to parties
to these claims.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

-End-



-CITE-
28 USC APPENDIX Rule 14 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 14. Third-Party Practice

-STATUTE-
(a) When Defendant May Bring in Third Party. At any time after
commencement of the action a defending party, as a third-party
plaintiff, may cause a summons and complaint to be served upon a
person not a party to the action who is or may be liable to the
third-party plaintiff for all or part of the plaintiff's claim
against the third-party plaintiff. The third-party plaintiff need
not obtain leave to make the service if the third-party plaintiff
files the third-party complaint not later than 10 days after
serving the original answer. Otherwise the third-party plaintiff
must obtain leave on motion upon notice to all parties to the
action. The person served with the summons and third-party
complaint, hereinafter called the third-party defendant, shall make
any defenses to the third-party plaintiff's claim as provided in
Rule 12 and any counterclaims against the third-party plaintiff and
cross-claims against other third-party defendants as provided in
Rule 13. The third-party defendant may assert against the plaintiff
any defenses which the third-party plaintiff has to the plaintiff's
claim. The third-party defendant may also assert any claim against
the plaintiff arising out of the transaction or occurrence that is
the subject matter of the plaintiff's claim against the third-party
plaintiff. The plaintiff may assert any claim against the third-
party defendant arising out of the transaction or occurrence that
is the subject matter of the plaintiff's claim against the third-
party plaintiff, and the third-party defendant thereupon shall
assert any defenses as provided in Rule 12 and any counterclaims
and cross-claims as provided in Rule 13. Any party may move to
strike the third-party claim, or for its severance or separate
trial. A third-party defendant may proceed under this rule against
any person not a party to the action who is or may be liable to the
third-party defendant for all or part of the claim made in the
action against the third-party defendant. The third-party
complaint, if within the admiralty and maritime jurisdiction, may
be in rem against a vessel, cargo, or other property subject to
admiralty or maritime process in rem, in which case references in
this rule to the summons include the warrant of arrest, and
references to the third-party plaintiff or defendant include, where
appropriate, a person who asserts a right under Supplemental Rule
C(6)(a)(1) in the property arrested.
(b) When Plaintiff May Bring in Third Party. When a counterclaim
is asserted against a plaintiff, the plaintiff may cause a third
party to be brought in under circumstances which under this rule
would entitle a defendant to do so.
(c) Admiralty and Maritime Claims. When a plaintiff asserts an
admiralty or maritime claim within the meaning of Rule 9(h), the
defendant or person who asserts a right under Supplemental Rule
C(6)(a)(1), as a third-party plaintiff, may bring in a third-party
defendant who may be wholly or partly liable, either to the
plaintiff or to the third-party plaintiff, by way of remedy over,
contribution, or otherwise on account of the same transaction,
occurrence, or series of transactions or occurrences. In such a
case the third-party plaintiff may also demand judgment against the
third-party defendant in favor of the plaintiff, in which event the
third-party defendant shall make any defenses to the claim of the
plaintiff as well as to that of the third-party plaintiff in the
manner provided in Rule 12 and the action shall proceed as if the
plaintiff had commenced it against the third-party defendant as
well as the third-party plaintiff.

-SOURCE-
(As amended Dec. 27, 1946, eff. Mar. 19, 1948; Jan. 21, 1963, eff.
July 1, 1963; Feb. 28, 1966, eff. July 1, 1966; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 17, 2000, eff. Dec. 1, 2000; Apr. 12, 2006, eff.
Dec. 1, 2006.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Third-party impleader is in some aspects a modern innovation in
law and equity although well known in admiralty. Because of its
many advantages a liberal procedure with respect to it has
developed in England, in the Federal admiralty courts, and in some
American State jurisdictions. See English Rules Under the
Judicature Act (The Annual Practice, 1937) O. 16A, r.r. 1-13;
United States Supreme Court Admiralty Rules (1920), Rule 56 (Right
to Bring in Party Jointly Liable); Pa.Stat.Ann. (Purdon, 1936)
Title 12, Sec. 141; Wis.Stat. (1935) Secs. 260.19, 260.20;
N.Y.C.P.A. (1937) Secs. 193 (2), 211(a). Compare La.Code Pract.
(Dart, 1932) Secs. 378-388. For the practice in Texas as developed
by judicial decision, see Lottman v. Cuilla, 288 S.W. 123, 126
(Tex., 1926). For a treatment of this subject see Gregory,
Legislative Loss Distribution in Negligence Actions (1936); Shulman
and Jaegerman, Some Jurisdictional Limitations on Federal Procedure
(1936), 45 Yale L.J. 393, 417, et seq.
Third-party impleader under the conformity act has been applied
in actions at law in the Federal courts. Lowry and Co., Inc., v.
National City Bank of New York, 28 F.(2d) 895 (S.D.N.Y., 1928);
Yellow Cab Co. of Philadelphia v. Rodgers, 61 F.(2d) 729 (C.C.A.3d,
1932).

NOTES OF ADVISORY COMMITTEE ON RULES - 1946 AMENDMENT
The provisions in Rule 14(a) which relate to the impleading of a
third party who is or may be liable to the plaintiff have been
deleted by the proposed amendment. It has been held that under Rule
14(a) the plaintiff need not amend his complaint to state a claim
against such third party if he does not wish to do so. Satink v.
Holland Township (D.N.J. 1940) 31 F.Supp. 229, noted (1940) 88
U.Pa.L.Rev. 751; Connelly v. Bender (E.D.Mich. 1941) 36 F.Supp.
368; Whitmire v. Partin v. Milton (E.D.Tenn. 1941) 5 Fed.Rules
Serv. 14a.513, Case 2; Crim v. Lumbermen's Mutual Casualty Co.
(D.D.C. 1939) 26 F.Supp. 715; Carbola Chemical Co., Inc. v. Trundle
(S.D.N.Y. 1943) 7 Fed.Rules Serv. 14a.224, Case 1; Roadway Express,
Inc. v. Automobile Ins. Co. of Hartford, Conn. v. Providence
Washington Ins. Co. (N.D.Ohio 1945) 8 Fed.Rules Serv. 14a.513, Case
3. In Delano v. Ives (E.D.Pa. 1941) 40 F.Supp. 672, the court said:
". . . the weight of authority is to the effect that a defendant
cannot compel the plaintiff, who has sued him, to sue also a third
party whom he does not wish to sue, by tendering in a third party
complaint the third party as an additional defendant directly
liable to the plaintiff." Thus impleader here amounts to no more
than a mere offer of a party to the plaintiff, and if he rejects
it, the attempt is a time-consuming futility. See Satink v. Holland
Township, supra; Malkin v. Arundel Corp. (D.Md. 1941) 36 F.Supp.
948; also Koenigsberger, Suggestions for Changes in the Federal
Rules of Civil Procedure, (1941) 4 Fed.Rules Serv. 1010. But cf.
Atlantic Coast Line R. Co. v. United States Fidelity & Guaranty Co.
(M.D.Ga. 1943) 52 F.Supp. 177. Moreover, in any case where the
plaintiff could not have joined the third party originally because
of jurisdictional limitations such as lack of diversity of
citizenship, the majority view is that any attempt by the plaintiff
to amend his complaint and assert a claim against the impleaded
third party would be unavailing. Hoskie v. Prudential Ins. Co. of
America v. Lorrac Real Estate Corp. (E.D.N.Y. 1941) 39 F.Supp. 305;
Johnson v. G. J. Sherrard Co. v. New England Telephone & Telegraph
Co. (D.Mass. 1941) 5 Fed.Rules Serv. 14a.511, Case 1, 2 F.R.D. 164;
Thompson v. Cranston (W.D.N.Y. 1942) 6 Fed.Rules Serv. 14a.511,
Case 1, 2 F.R.D. 270, aff'd (C.C.A.2d, 1942) 132 F.(2d) 631, cert.
den. (1943) 319 U.S. 741; Friend v. Middle Atlantic Transportation
Co. (C.C.A.2d, 1946) 153 F.(2d) 778, cert. den. (1946) 66 S.Ct.
1370; Herrington v. Jones (E.D.La. 1941) 5 Fed.Rules Serv. 14a.511,
Case 2, 2 F.R.D. 108; Banks v. Employers' Liability Assurance Corp.
v. Central Surety & Ins. Corp. (W.D.Mo. 1943) 7 Fed.Rules Serv.
14a.11, Case 2; Saunders v. Baltimore & Ohio R. Co. (S.D.W.Va.
1945) 9 Fed.Rules Serv. 14a.62, Case 2; Hull v. United States
Rubber Co. v. Johnson Larsen & Co. (E.D.Mich. 1945) 9 Fed.Rules
Serv. 14a.62, Case 3. See also concurring opinion of Circuit Judge
Minton in People of State of Illinois for use of Trust Co. of
Chicago v. Maryland Casualty Co. (C.C.A.7th, 1942) 132 F.(2d) 850,
853. Contra: Sklar v. Hayes v. Singer (E.D.Pa. 1941) 4 Fed.Rules
Serv. 14a.511, Case 2, 1 F.R.D. 594. Discussion of the problem will
be found in Commentary, Amendment of Plaintiff's Pleading to Assert
Claim Against Third-Party Defendant (1942) 5 Fed.Rules Serv. 811;
Commentary, Federal Jurisdiction in Third-Party Practice (1943) 6
Fed.Rules Serv. 766; Holtzoff, Some Problems Under Federal Third-
Party Practice (1941) 3 La.L.Rev. 408, 419-420; 1. Moore's Federal
Practice (1938) Cum.Supplement Sec. 14.08. For these reasons
therefore, the words "or to the plaintiff" in the first sentence of
subdivision (a) have been removed by the amendment; and in
conformance therewith the words "the plaintiff" in the second
sentence of the subdivision, and the words "or to the third-party
plaintiff" in the concluding sentence thereof have likewise been
eliminated.
The third sentence of Rule 14(a) has been expanded to clarify the
right of the third-party defendant to assert any defenses which the
third-party plaintiff may have to the plaintiff's claim. This
protects the impleaded third-party defendant where the third-party
plaintiff fails or neglects to assert a proper defense to the
plaintiff's action. A new sentence has also been inserted giving
the third-party defendant the right to assert directly against the
original plaintiff any claim arising out of the transaction or
occurrence that is the subject matter of the plaintiff's claim
against the third-party plaintiff. This permits all claims arising
out of the same transaction or occurrence to be heard and
determined in the same action. See Atlantic Coast Line R. Co. v.
United States Fidelity & Guaranty Co. (M.D.Ga. 1943) 52 F.Supp.
177. Accordingly, the next to the last sentence of subdivision (a)
has also been revised to make clear that the plaintiff may, if he
desires, assert directly against the third-party defendant either
by amendment or by a new pleading any claim he may have against him
arising out of the transaction or occurrence that is the subject
matter of the plaintiff's claim against the third-party plaintiff.
In such a case, the third-party defendant then is entitled to
assert the defenses, counterclaims and cross-claims provided in
Rules 12 and 13.
The sentence reading "The third-party defendant is bound by the
adjudication of the third-party plaintiff's liability to the
plaintiff, as well as of his own to the plaintiff, or to the third-
party plaintiff" has been stricken from Rule 14(a), not to change
the law, but because the sentence states a rule of substantive law
which is not within the scope of a procedural rule. It is not the
purpose of the rules to state the effect of a judgment.
The elimination of the words "the third-party plaintiff, or any
other party" from the second sentence of Rule 14(a), together with
the insertion of the new phrases therein, are not changes of
substance but are merely for the purpose of clarification.

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
Under the amendment of the initial sentences of the subdivision,
a defendant as a third-party plaintiff may freely and without leave
of court bring in a third-party defendant if he files the third-
party complaint not later than 10 days after he serves his
original answer. When the impleader comes so early in the case,
there is little value in requiring a preliminary ruling by the
court on the propriety of the impleader.
After the third-party defendant is brought in, the court has
discretion to strike the third-party claim if it is obviously
unmeritorious and can only delay or prejudice the disposition of
the plaintiff's claim, or to sever the third-party claim or accord
it separate trial if confusion or prejudice would otherwise result.
This discretion, applicable not merely to the cases covered by the
amendment where the third-party defendant is brought in without
leave, but to all impleaders under the rule, is emphasized in the
next-to-last sentence of the subdivision, added by amendment.
In dispensing with leave of court for an impleader filed not
later than 10 days after serving the answer, but retaining the
leave requirement for impleaders sought to be effected thereafter,
the amended subdivision takes a moderate position on the lines
urged by some commentators, see Note, 43 Minn.L.Rev. 115 (1958);
cf. Pa.R.Civ.P. 2252-53 (60 days after service on the defendant);
Minn.R.Civ.P. 14.01 (45 days). Other commentators would dispense
with the requirement of leave regardless of the time when impleader
is effected, and would rely on subsequent action by the court to
dismiss the impleader if it would unduly delay or complicate the
litigation or would be otherwise objectionable. See 1A Barron &
Holtzoff, Federal Practice & Procedure 649-50 (Wright ed. 1960);
Comment, 58 Colum.L.Rev. 532, 546 (1958); cf. N.Y.Civ.Prac. Act
Sec. 193-a; Me.R.Civ.P. 14. The amended subdivision preserves the
value of a preliminary screening, through the leave procedure, of
impleaders attempted after the 10-day period.
The amendment applies also when an impleader is initiated by a
third-party defendant against a person who may be liable to him, as
provided in the last sentence of the subdivision.

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
Rule 14 was modeled on Admiralty Rule 56. An important feature of
Admiralty Rule 56 was that it allowed impleader not only of a
person who might be liable to the defendant by way of remedy over,
but also of any person who might be liable to the plaintiff. The
importance of this provision was that the defendant was entitled to
insist that the plaintiff proceed to judgment against the third-
party defendant. In certain cases this was a valuable
implementation of a substantive right. For example, in a case of
ship collision where a finding of mutual fault is possible, one
ship- owner, if sued alone, faces the prospect of an absolute
judgment for the full amount of the damage suffered by an innocent
third party; but if he can implead the owner of the other vessel,
and if mutual fault is found, the judgment against the original
defendant will be in the first instance only for a moiety of the
damages; liability for the remainder will be conditioned on the
plaintiff's inability to collect from the third-party defendant.
This feature was originally incorporated in Rule 14, but was
eliminated by the amendment of 1946, so that under the amended rule
a third party could not be impleaded on the basis that he might be
liable to the plaintiff. One of the reasons for the amendment was
that the Civil Rule, unlike the Admiralty Rule, did not require the
plaintiff to go to judgment against the third-party defendant.
Another reason was that where jurisdiction depended on diversity of
citizenship the impleader of an adversary having the same
citizenship as the plaintiff was not considered possible.
Retention of the admiralty practice in those cases that will be
counterparts of a suit in admiralty is clearly desirable.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

COMMITTEE NOTES ON RULES - 2000 AMENDMENT
Subdivisions (a) and (c) are amended to reflect revisions in
Supplemental Rule C(6).
GAP Report. Rule B(1)(a) was modified by moving "in an in
personam action" out of paragraph (a) and into the first line of
subdivision (1). This change makes it clear that all paragraphs of
subdivision (1) apply when attachment is sought in an in personam
action. Rule B(1)(d) was modified by changing the requirement that
the clerk deliver the summons and process to the person or
organization authorized to serve it. The new form requires only
that the summons and process be delivered, not that the clerk
effect the delivery. This change conforms to present practice in
some districts and will facilitate rapid service. It matches the
spirit of Civil Rule 4(b), which directs the clerk to issue the
summons "to the plaintiff for service on the defendant." A parallel
change is made in Rule C(3)(b).

COMMITTEE NOTES ON RULES - 2006 AMENDMENT
Rule 14 is amended to conform to changes in designating the
paragraphs of Supplemental Rule C(6).

-End-



-CITE-
28 USC APPENDIX Rule 15 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 15. Amended and Supplemental Pleadings

-STATUTE-
(a) Amendments. A party may amend the party's pleading once as a
matter of course at any time before a responsive pleading is served
or, if the pleading is one to which no responsive pleading is
permitted and the action has not been placed upon the trial
calendar, the party may so amend it at any time within 20 days
after it is served. Otherwise a party may amend the party's
pleading only by leave of court or by written consent of the
adverse party; and leave shall be freely given when justice so
requires. A party shall plead in response to an amended pleading
within the time remaining for response to the original pleading or
within 10 days after service of the amended pleading, whichever
period may be the longer, unless the court otherwise orders.
(b) Amendments To Conform to the Evidence. When issues not raised
by the pleadings are tried by express or implied consent of the
parties, they shall be treated in all respects as if they had been
raised in the pleadings. Such amendment of the pleadings as may be
necessary to cause them to conform to the evidence and to raise
these issues may be made upon motion of any party at any time, even
after judgment; but failure so to amend does not affect the result
of the trial of these issues. If evidence is objected to at the
trial on the ground that it is not within the issues made by the
pleadings, the court may allow the pleadings to be amended and
shall do so freely when the presentation of the merits of the
action will be subserved thereby and the objecting party fails to
satisfy the court that the admission of such evidence would
prejudice the party in maintaining the party's action or defense
upon the merits. The court may grant a continuance to enable the
objecting party to meet such evidence.
(c) Relation Back of Amendments. An amendment of a pleading
relates back to the date of the original pleading when
(1) relation back is permitted by the law that provides the
statute of limitations applicable to the action, or
(2) the claim or defense asserted in the amended pleading arose
out of the conduct, transaction, or occurrence set forth or
attempted to be set forth in the original pleading, or
(3) the amendment changes the party or the naming of the party
against whom a claim is asserted if the foregoing provision (2)
is satisfied and, within the period provided by Rule 4(m) for
service of the summons and complaint, the party to be brought in
by amendment (A) has received such notice of the institution of
the action that the party will not be prejudiced in maintaining a
defense on the merits, and (B) knew or should have known that,
but for a mistake concerning the identity of the proper party,
the action would have been brought against the party.
The delivery or mailing of process to the United States
Attorney, or United States Attorney's designee, or the Attorney
General of the United States, or an agency or officer who would
have been a proper defendant if named, satisfies the requirement
of subparagraphs (A) and (B) of this paragraph (3) with respect
to the United States or any agency or officer thereof to be
brought into the action as a defendant.

(d) Supplemental Pleadings. Upon motion of a party the court may,
upon reasonable notice and upon such terms as are just, permit the
party to serve a supplemental pleading setting forth transactions
or occurrences or events which have happened since the date of the
pleading sought to be supplemented. Permission may be granted even
though the original pleading is defective in its statement of a
claim for relief or defense. If the court deems it advisable that
the adverse party plead to the supplemental pleading, it shall so
order, specifying the time therefor.

-SOURCE-
(As amended Jan. 21, 1963, eff. July 1, 1963; Feb. 28, 1966, eff.
July 1, 1966; Mar. 2, 1987, eff. Aug. 1, 1987; Apr. 30, 1991, eff.
Dec. 1, 1991; Pub. L. 102-198, Sec. 11(a), Dec. 9, 1991, 105 Stat.
1626; Apr. 22, 1993, eff. Dec. 1, 1993.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
See generally for the present federal practice, [former] Equity
Rules 19 (Amendments Generally), 28 (Amendment of Bill as of
Course), 32 (Answer to Amended Bill), 34 (Supplemental Pleading),
and 35 (Bills of Revivor and Supplemental Bills - Form); U.S.C.,
Title 28, Secs. 399 [now 1653] (Amendments to show diverse
citizenship) and [former] 777 (Defects of Form; amendments). See
English Rules Under the Judicature Act (The Annual Practice, 1937)
O. 28, r.r. 1-13; O. 20, r. 4; O. 24, r.r. 1-3.
Note to Subdivision (a). The right to serve an amended pleading
once as of course is common. 4 Mont.Rev.Codes Ann. (1935) Sec.
9186; 1 Ore.Code Ann. (1930) Sec. 1-904; 1 S.C.Code (Michie, 1932)
Sec. 493; English Rules Under the Judicature Act (The Annual
Practice, 1937) O. 28, r. 2. Provision for amendment of pleading
before trial, by leave of court, is in almost every code. If there
is no statute the power of the court to grant leave is said to be
inherent. Clark, Code Pleading, (1928) pp. 498, 509.
Note to Subdivision (b). Compare [former] Equity Rule 19
(Amendments Generally) and code provisions which allow an amendment
"at any time in furtherance of justice," (e. g., Ark.Civ.Code
(Crawford, 1934) Sec. 155) and which allow an amendment of
pleadings to conform to the evidence, where the adverse party has
not been misled and prejudiced (e.g., N.M.Stat.Ann. (Courtright,
1929) Secs. 105-601, 105-602).
Note to Subdivision (c). "Relation back" is a well recognized
doctrine of recent and now more frequent application. Compare
Ala.Code Ann. (Michie, 1928) Sec. 9513; Ill.Rev.Stat. (1937) ch.
110, Sec. 170(2); 2 Wash.Rev.Stat.Ann. (Remington, 1932) Sec. 308-
3(4). See U.S.C., Title 28, Sec. 399 [now 1653] (Amendments to
show diverse citizenship) for a provision for "relation back."
Note to Subdivision (d). This is an adaptation of Equity Rule 34
(Supplemental Pleading).

NOTES OF ADVISORY COMMITTEE ON RULES - 1963 AMENDMENT
Rule 15(d) is intended to give the court broad discretion in
allowing a supplemental pleading. However, some cases, opposed by
other cases and criticized by the commentators, have taken the
rigid and formalistic view that where the original complaint fails
to state a claim upon which relief can be granted, leave to serve a
supplemental complaint must be denied. See Bonner v. Elizabeth
Arden, Inc., 177 F.2d 703 (2d Cir. 1949); Bowles v. Senderowitz, 65
F.Supp. 548 (E.D.Pa.), rev'd on other grounds, 158 F.2d 435 (3d
Cir. 1946), cert. denied, Senderowitz v. Fleming, 330 U.S. 848, 67
S.Ct. 1091, 91 L.Ed. 1292 (1947); cf. LaSalle Nat. Bank v. 222 East
Chestnut St. Corp., 267 F.2d 247 (7th Cir.), cert. denied, 361 U.S.
836, 80 S.Ct. 88, 4 L.Ed.2d 77 (1959). But see Camilla Cotton Oil
Co. v. Spencer Kellogg & Sons, 257 F.2d 162 (5th Cir. 1958); Genuth
v. National Biscuit Co., 81 F.Supp. 213 (S.D.N.Y. 1948), app.
dism., 177 F.2d 962 (2d Cir. 1949); 3 Moore's Federal Practice
&#182; 15.01 [5] (Supp. 1960); 1A Barron & Holtzoff, Federal
Practice & Procedure 820-21 (Wright ed. 1960). Thus plaintiffs have
sometimes been needlessly remitted to the difficulties of
commencing a new action even though events occurring after the
commencement of the original action have made clear the right to
relief.
Under the amendment the court has discretion to permit a
supplemental pleading despite the fact that the original pleading
is defective. As in other situations where a supplemental pleading
is offered, the court is to determine in the light of the
particular circumstances whether filing should be permitted, and if
so, upon what terms. The amendment does not attempt to deal with
such questions as the relation of the statute of limitations to
supplemental pleadings, the operation of the doctrine of laches, or
the availability of other defenses. All these questions are for
decision in accordance with the principles applicable to
supplemental pleadings generally. Cf. Blau v. Lamb, 191 F.Supp. 906
(S.D.N.Y. 1961); Lendonsol Amusement Corp. v. B. & Q. Assoc., Inc.,
23 F.R.Serv. 15d. 3, Case 1 (D.Mass. 1957).

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
Rule 15(c) is amplified to state more clearly when an amendment
of a pleading changing the party against whom a claim is asserted
(including an amendment to correct a misnomer or misdescription of
a defendant) shall "relate back" to the date of the original
pleading.
The problem has arisen most acutely in certain actions by private
parties against officers or agencies of the United States. Thus an
individual denied social security benefits by the Secretary of
Health, Education, and Welfare may secure review of the decision by
bringing a civil action against that officer within sixty days. 42
U.S.C. Sec. 405(g) (Supp. III, 1962). In several recent cases the
claimants instituted timely action but mistakenly named as
defendant the United States, the Department of HEW, the "Federal
Security Administration" (a nonexistent agency), and a Secretary
who had retired from the office nineteen days before. Discovering
their mistakes, the claimants moved to amend their complaints to
name the proper defendant; by this time the statutory sixty-day
period had expired. The motions were denied on the ground that the
amendment "would amount to the commencement of a new proceeding and
would not relate back in time so as to avoid the statutory
provision * * * that suit be brought within sixty days * * *" Cohn
v. Federal Security Adm., 199 F.Supp. 884, 885 (W.D.N.Y. 1961); see
also Cunningham v. United States, 199 F.Supp. 541 (W.D.Mo. 1958);
Hall v. Department of HEW, 199 F.Supp. 833 (S.D.Tex. 1960);
Sandridge v. Folsom, Secretary of HEW, 200 F.Supp. 25 (M.D.Tenn.
1959). [The Secretary of Health, Education, and Welfare has
approved certain ameliorative regulations under 42 U.S.C. Sec.
405(g). See 29 Fed.Reg. 8209 (June 30, 1964); Jacoby, The Effect of
Recent Changes in the Law of "Nonstatutory" Judicial Review, 53
Geo.L.J. 19, 42-43 (1964); see also Simmons v. United States Dept.
HEW, 328 F.2d 86 (3d Cir. 1964).]
Analysis in terms of "new proceeding" is traceable to Davis v. L.
L. Cohen & Co., 268 U.S. 638 (1925), and Mellon v. Arkansas Land &
Lumber Co., 275 U.S. 460 (1928), but those cases antedate the
adoption of the Rules which import different criteria for
determining when an amendment is to "relate back". As lower courts
have continued to rely on the Davis and Mellon cases despite the
contrary intent of the Rules, clarification of Rule 15(c) is
considered advisable.
Relation back is intimately connected with the policy of the
statute of limitations. The policy of the statute limiting the time
for suit against the Secretary of HEW would not have been offended
by allowing relation back in the situations described above. For
the government was put on notice of the claim within the stated
period - in the particular instances, by means of the initial
delivery of process to a responsible government official (see Rule
4(d)(4) and (5). In these circumstances, characterization of the
amendment as a new proceeding is not responsive to the realty, but
is merely question-begging; and to deny relation back is to defeat
unjustly the claimant's opportunity to prove his case. See the full
discussion by Byse, Suing the "Wrong" Defendant in Judicial Review
of Federal Administrative Action: Proposals for Reform, 77
Harv.L.Rev. 40 (1963); see also Ill.Civ.P.Act Sec. 46(4).
Much the same question arises in other types of actions against
the government (see Byse, supra, at 45 n. 15). In actions between
private parties, the problem of relation back of amendments
changing defendants has generally been better handled by the
courts, but incorrect criteria have sometimes been applied, leading
sporadically to doubtful results. See 1A Barron & Holtzoff, Federal
Practice & Procedure Sec. 451 (Wright ed. 1960); 1 id. Sec. 186
(1960); 2 id. Sec. 543 (1961); 3 Moore's Federal Practice, par.
15.15 (Cum.Supp. 1962); Annot., Change in Party After Statute of
Limitations Has Run, 8 A.L.R.2d 6 (1949). Rule 15(c) has been
amplified to provide a general solution. An amendment changing the
party against whom a claim is asserted relates back if the
amendment satisfies the usual condition of Rule 15(c) of "arising
out of the conduct * * * set forth * * * in the original pleading,"
and if, within the applicable limitations period, the party brought
in by amendment, first, received such notice of the institution of
the action - the notice need not be formal - that he would not be
prejudiced in defending the action, and, second, knew or should
have known that the action would have been brought against him
initially had there not been a mistake concerning the identity of
the proper party. Revised Rule 15(c) goes on to provide
specifically in the government cases that the first and second
requirements are satisfied when the government has been notified in
the manner there described (see Rule 4(d)(4) and (5). As applied to
the government cases, revised Rule 15(c) further advances the
objectives of the 1961 amendment of Rule 25(d) (substitution of
public officers).
The relation back of amendments changing plaintiffs is not
expressly treated in revised Rule 15(c) since the problem is
generally easier. Again the chief consideration of policy is that
of the statute of limitations, and the attitude taken in revised
Rule 15(c) toward change of defendants extends by analogy to
amendments changing plaintiffs. Also relevant is the amendment of
Rule 17(a) (real party in interest). To avoid forfeitures of just
claims, revised Rule 17(a) would provide that no action shall be
dismissed on the ground that it is not prosecuted in the name of
the real party in interest until a reasonable time has been allowed
for correction of the defect in the manner there stated.

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1991 AMENDMENT
The rule has been revised to prevent parties against whom claims
are made from taking unjust advantage of otherwise inconsequential
pleading errors to sustain a limitations defense.
Paragraph (c)(1). This provision is new. It is intended to make
it clear that the rule does not apply to preclude any relation back
that may be permitted under the applicable limitations law.
Generally, the applicable limitations law will be state law. If
federal jurisdiction is based on the citizenship of the parties,
the primary reference is the law of the state in which the district
court sits. Walker v. Armco Steel Corp., 446 U.S. 740 (1980). If
federal jurisdiction is based on a federal question, the reference
may be to the law of the state governing relations between the
parties. E.g., Board of Regents v. Tomanio, 446 U.S. 478 (1980). In
some circumstances, the controlling limitations law may be federal
law. E.g., West v. Conrail, Inc., 107 S.Ct. 1538 (1987). Cf.
Burlington Northern R. Co. v. Woods, 480 U.S. 1 (1987); Stewart
Organization v. Ricoh, 108 S.Ct. 2239 (1988). Whatever may be the
controlling body of limitations law, if that law affords a more
forgiving principle of relation back than the one provided in this
rule, it should be available to save the claim. Accord, Marshall v.
Mulrenin, 508 F.2d 39 (1st cir. 1974). If Schiavone v. Fortune, 106
S.Ct. 2379 (1986) implies the contrary, this paragraph is intended
to make a material change in the rule.
Paragraph (c)(3). This paragraph has been revised to change the
result in Schiavone v. Fortune, supra, with respect to the problem
of a misnamed defendant. An intended defendant who is notified of
an action within the period allowed by Rule 4(m) for service of a
summons and complaint may not under the revised rule defeat the
action on account of a defect in the pleading with respect to the
defendant's name, provided that the requirements of clauses (A) and
(B) have been met. If the notice requirement is met within the Rule
4(m) period, a complaint may be amended at any time to correct a
formal defect such as a misnomer or misidentification. On the basis
of the text of the former rule, the Court reached a result in
Schiavone v. Fortune that was inconsistent with the liberal
pleading practices secured by Rule 8. See Bauer, Schiavone: An Un-
Fortune-ate Illustration of the Supreme Court's Role as
Interpreter of the Federal Rules of Civil Procedure, 63 NOTRE DAME
L. REV. 720 (1988); Brussack, Outrageous Fortune: The Case for
Amending Rule 15(c) Again, 61 S. CAL. L. REV. 671 (1988); Lewis,
The Excessive History of Federal Rule 15(c) and Its Lessons for
Civil Rules Revision, 86 MICH. L. REV. 1507 (1987).
In allowing a name-correcting amendment within the time allowed
by Rule 4(m), this rule allows not only the 120 days specified in
that rule, but also any additional time resulting from any
extension ordered by the court pursuant to that rule, as may be
granted, for example, if the defendant is a fugitive from service
of the summons.
This revision, together with the revision of Rule 4(i) with
respect to the failure of a plaintiff in an action against the
United States to effect timely service on all the appropriate
officials, is intended to produce results contrary to those reached
in Gardner v. Gartman, 880 F.2d 797 (4th cir. 1989), Rys v. U.S.
Postal Service, 886 F.2d 443 (1st cir. 1989), Martin's Food &
Liquor, Inc. v. U.S. Dept. of Agriculture, 14 F.R.S.3d 86 (N.D.
Ill. 1988). But cf. Montgomery v. United States Postal Service, 867
F.2d 900 (5th cir. 1989), Warren v. Department of the Army, 867
F.2d 1156 (8th cir. 1989); Miles v. Department of the Army, 881
F.2d 777 (9th cir. 1989), Barsten v. Department of the Interior,
896 F.2d 422 (9th cir. 1990); Brown v. Georgia Dept. of Revenue,
881 F.2d 1018 (11th cir. 1989).

CONGRESSIONAL MODIFICATION OF PROPOSED 1991 AMENDMENT
Section 11(a) of Pub. L. 102-198 [set out as a note under section
2074 of this title] provided that Rule 15(c)(3) of the Federal
Rules of Civil Procedure as transmitted to Congress by the Supreme
Court to become effective on Dec. 1, 1991, is amended. See 1991
Amendment note below.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
The amendment conforms the cross reference to Rule 4 to the
revision of that rule.

AMENDMENT BY PUBLIC LAW
1991 - Subd. (c)(3). Pub. L. 102-198 substituted "Rule 4(j)" for
"Rule 4(m)".

-End-



-CITE-
28 USC APPENDIX Rule 16 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
III. PLEADINGS AND MOTIONS

-HEAD-
Rule 16. Pretrial Conferences; Scheduling; Management

-STATUTE-
(a) Pretrial Conferences; Objectives. In any action, the court
may in its discretion direct the attorneys for the parties and any
unrepresented parties to appear before it for a conference or
conferences before trial for such purposes as
(1) expediting the disposition of the action;
(2) establishing early and continuing control so that the case
will not be protracted because of lack of management;
(3) discouraging wasteful pretrial activities;
(4) improving the quality of the trial through more thorough
preparation, and;
(5) facilitating the settlement of the case.

(b) Scheduling and Planning. Except in categories of actions
exempted by district court rule as inappropriate, the district
judge, or a magistrate judge when authorized by district court
rule, shall, after receiving the report from the parties under Rule
26(f) or after consulting with the attorneys for the parties and
any unrepresented parties by a scheduling conference, telephone,
mail, or other suitable means, enter a scheduling order that limits
the time
(1) to join other parties and to amend the pleadings;
(2) to file motions; and
(3) to complete discovery.

The scheduling order also may include
(4) modifications of the times for disclosures under Rules
26(a) and 26(e)(1) and of the extent of discovery to be
permitted;
(5) provisions for disclosure or discovery of electronically
stored information;
(6) any agreements the parties reach for asserting claims of
privilege or of protection as trial-preparation material after
production;
(7) the date or dates for conferences before trial, a final
pretrial conference, and trial; and
(8) any other matters appropriate in the circumstances of the
case.

The order shall issue as soon as practicable but in any event
within 90 days after the appearance of a defendant and within 120
days after the complaint has been served on a defendant. A schedule
shall not be modified except upon a showing of good cause and by
leave of the district judge or, when authorized by local rule, by a
magistrate judge.
(c) Subjects for Consideration at Pretrial Conferences. At any
conference under this rule consideration may be given, and the
court may take appropriate action, with respect to
(1) the formulation and simplification of the issues, including
the elimination of frivolous claims or defenses;
(2) the necessity or desirability of amendments to the
pleadings;
(3) the possibility of obtaining admissions of fact and of
documents which will avoid unnecessary proof, stipulations
regarding the authenticity of documents, and advance rulings from
the court on the admissibility of evidence;
(4) the avoidance of unnecessary proof and of cumulative
evidence, and limitations or restrictions on the use of testimony
under Rule 702 of the Federal Rules of Evidence;
(5) the appropriateness and timing of summary adjudication
under Rule 56;
(6) the control and scheduling of discovery, including orders
affecting disclosures and discovery pursuant to Rule 26 and Rules
29 through 37;
(7) the identification of witnesses and documents, the need and
schedule for filing and exchanging pretrial briefs, and the date
or dates for further conferences and for trial;
(8) the advisability of referring matters to a magistrate judge
or master;
(9) settlement and the use of special procedures to assist in
resolving the dispute when authorized by statute or local rule;
(10) the form and substance of the pretrial order;
(11) the disposition of pending motions;
(12) the need for adopting special procedures for managing
potentially difficult or protracted actions that may involve
complex issues, multiple parties, difficult legal questions, or
unusual proof problems;
(13) an order for a separate trial pursuant to Rule 42(b) with
respect to a claim, counterclaim, cross-claim, or third-party
claim, or with respect to any particular issue in the case;
(14) an order directing a party or parties to present evidence
early in the trial with respect to a manageable issue that could,
on the evidence, be the basis for a judgment as a matter of law
under Rule 50(a) or a judgment on partial findings under Rule
52(c);
(15) an order establishing a reasonable limit on the time
allowed for presenting evidence; and
(16) such other matters as may facilitate the just, speedy, and
inexpensive disposition of the action.

At least one of the attorneys for each party participating in any
conference before trial shall have authority to enter into
stipulations and to make admissions regarding all matters that the
participants may reasonably anticipate may be discussed. If
appropriate, the court may require that a party or its
representative be present or reasonably available by telephone in
order to consider possible settlement of the dispute.
(d) Final Pretrial Conference. Any final pretrial conference
shall be held as close to the time of trial as reasonable under the
circumstances. The participants at any such conference shall
formulate a plan for trial, including a program for facilitating
the admission of evidence. The conference shall be attended by at
least one of the attorneys who will conduct the trial for each of
the parties and by any unrepresented parties.
(e) Pretrial Orders. After any conference held pursuant to this
rule, an order shall be entered reciting the action taken. This
order shall control the subsequent course of the action unless
modified by a subsequent order. The order following a final
pretrial conference shall be modified only to prevent manifest
injustice.
(f) Sanctions. If a party or party's attorney fails to obey a
scheduling or pretrial order, or if no appearance is made on behalf
of a party at a scheduling or pretrial conference, or if a party or
party's attorney is substantially unprepared to participate in the
conference, or if a party or party's attorney fails to participate
in good faith, the judge, upon motion or the judge's own
initiative, may make such orders with regard thereto as are just,
and among others any of the orders provided in Rule 37(b)(2)(B),
(C), (D). In lieu of or in addition to any other sanction, the
judge shall require the party or the attorney representing the
party or both to pay the reasonable expenses incurred because of
any noncompliance with this rule, including attorney's fees, unless
the judge finds that the noncompliance was substantially justified
or that other circumstances make an award of expenses unjust.

-SOURCE-
(As amended Apr. 28, 1983, eff. Aug. 1, 1983; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 22, 1993, eff. Dec. 1, 1993; Apr. 12, 2006, eff.
Dec. 1, 2006.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
1. Similar rules of pre-trial procedure are now in force in
Boston, Cleveland, Detroit, and Los Angeles, and a rule
substantially like this one has been proposed for the urban centers
of New York state. For a discussion of the successful operation of
pre-trial procedure in relieving the congested condition of trial
calendars of the courts in such cities and for the proposed New
York plan, see A Proposal for Minimizing Calendar Delay in Jury
Cases (Dec. 1936 - published by The New York Law Society); Pre-
Trial Procedure and Administration, Third Annual Report of the
Judicial Council of the State of New York (1937), pp. 207-243;
Report of the Commission on the Administration of Justice in New
York State (1934), pp. (288)-(290). See also Pre-Trial Procedure in
the Wayne Circuit Court, Detroit, Michigan, Sixth Annual Report of
the Judicial Council of Michigan (1936), pp. 63-75; and Sunderland,
The Theory and Practice of Pre-Trial Procedure (Dec. 1937) 36
Mich.L.Rev. 215-226, 21 J.Am.Jud.Soc. 125. Compare the English
procedure known as the "summons for directions," English Rules
Under the Judicature Act (The Annual Practice, 1937) O. 38a; and a
similar procedure in New Jersey, N.J.Comp.Stat. (2 Cum.Supp. 1911-
1924); N.J. Supreme Court Rules, 2 N.J.Misc.Rep. (1924) 1230,
Rules 94, 92, 93, 95 (the last three as amended 1933, 11
N.J.Misc.Rep. (1933) 955).
2. Compare the similar procedure under Rule 56(d) (Summary
Judgment - Case Not Fully Adjudicated on Motion). Rule 12(g)
(Consolidation of Motions), by requiring to some extent the
consolidation of motions dealing with matters preliminary to trial,
is a step in the same direction. In connection with clause (5) of
this rule, see Rules 53(b) (Masters; Reference) and 53(e)(3)
(Master's Report; In Jury Actions).

NOTES OF ADVISORY COMMITTEE ON RULES - 1983 AMENDMENT

INTRODUCTION
Rule 16 has not been amended since the Federal Rules were
promulgated in 1938. In many respects, the rule has been a success.
For example, there is evidence that pretrial conferences may
improve the quality of justice rendered in the federal courts by
sharpening the preparation and presentation of cases, tending to
eliminate trial surprise, and improving, as well as facilitating,
the settlement process. See 6 Wright & Miller, Federal Practice and
Procedure: Civil Sec. 1522 (1971). However, in other respects
particularly with regard to case management, the rule has not
always been as helpful as it might have been. Thus there has been a
widespread feeling that amendment is necessary to encourage
pretrial management that meets the needs of modern litigation. See
Report of the National Commission for the Review of Antitrust Laws
and Procedures (1979).
Major criticism of Rule 16 has centered on the fact that its
application can result in over-regulation of some cases and under-
regulation of others. In simple, run-of-the-mill cases, attorneys
have found pretrial requirements burdensome. It is claimed that
over-administration leads to a series of mini-trials that result in
a waste of an attorney's time and needless expense to a client.
Pollack, Pretrial Procedures More Effectively Handled, 65 F.R.D.
475 (1974). This is especially likely to be true when pretrial
proceedings occur long before trial. At the other end of the
spectrum, the discretionary character of Rule 16 and its
orientation toward a single conference late in the pretrial process
has led to under-administration of complex or protracted cases.
Without judicial guidance beginning shortly after institution,
these cases often become mired in discovery.
Four sources of criticism of pretrial have been identified.
First, conferences often are seen as a mere exchange of legalistic
contentions without any real analysis of the particular case.
Second, the result frequently is nothing but a formal agreement on
minutiae. Third, the conferences are seen as unnecessary and time-
consuming in cases that will be settled before trial. Fourth, the
meetings can be ceremonial and ritualistic, having little effect on
the trial and being of minimal value, particularly when the
attorneys attending the sessions are not the ones who will try the
case or lack authority to enter into binding stipulations. See
generally McCargo v. Hedrick, 545 F.2d 393 (4th Cir. 1976);
Pollack, Pretrial Procedures More Effectively Handled, 65 F.R.D.
475 (1974); Rosenberg, The Pretrial Conference and Effective
Justice 45 (1964).
There also have been difficulties with the pretrial orders that
issue following Rule 16 conferences. When an order is entered far
in advance of trial, some issues may not be properly formulated.
Counsel naturally are cautious and often try to preserve as many
options as possible. If the judge who tries the case did not
conduct the conference, he could find it difficult to determine
exactly what was agreed to at the conference. But any insistence on
a detailed order may be too burdensome, depending on the nature or
posture of the case.
Given the significant changes in federal civil litigation since
1938 that are not reflected in Rule 16, it has been extensively
rewritten and expanded to meet the challenges of modern litigation.
Empirical studies reveal that when a trial judge intervenes
personally at an early stage to assume judicial control over a case
and to schedule dates for completion by the parties of the
principal pretrial steps, the case is disposed of by settlement or
trial more efficiently and with less cost and delay than when the
parties are left to their own devices. Flanders, Case Management
and Court Management in United States District Courts 17, Federal
Judicial Center (1977). Thus, the rule mandates a pretrial
scheduling order. However, although scheduling and pretrial
conferences are encouraged in appropriate cases, they are not
mandated.

DISCUSSION
Subdivision (a); Pretrial Conferences; Objectives. The amended
rule makes scheduling and case management an express goal of
pretrial procedure. This is done in Rule 16(a) by shifting the
emphasis away from a conference focused solely on the trial and
toward a process of judicial management that embraces the entire
pretrial phase, especially motions and discovery. In addition, the
amendment explicitly recognizes some of the objectives of pretrial
conferences and the powers that many courts already have assumed.
Rule 16 thus will be a more accurate reflection of actual practice.
Subdivision (b); Scheduling and Planning. The most significant
change in Rule 16 is the mandatory scheduling order described in
Rule 16(b), which is based in part on Wisconsin Civil Procedure
Rule 802.10. The idea of scheduling orders is not new. It has been
used by many federal courts. See, e.g., Southern District of
Indiana, Local Rule 19.
Although a mandatory scheduling order encourages the court to
become involved in case management early in the litigation, it
represents a degree of judicial involvement that is not warranted
in many cases. Thus, subdivision (b) permits each district court to
promulgate a local rule under Rule 83 exempting certain categories
of cases in which the burdens of scheduling orders exceed the
administrative efficiencies that would be gained. See Eastern
District of Virginia, Local Rule 12(1). Logical candidates for this
treatment include social security disability matters, habeas corpus
petitions, forfeitures, and reviews of certain administrative
actions.
A scheduling conference may be requested either by the judge, a
magistrate when authorized by district court rule, or a party
within 120 days after the summons and complaint are filed. If a
scheduling conference is not arranged within that time and the case
is not exempted by local rule, a scheduling order must be issued
under Rule 16(b), after some communication with the parties, which
may be by telephone or mail rather than in person. The use of the
term "judge" in subdivision (b) reflects the Advisory Committee's
judgment that is it preferable that this task should be handled by
a district judge rather than a magistrate, except when the
magistrate is acting under 28 U.S.C. Sec. 636(c). While personal
supervision by the trial judge is preferred, the rule, in
recognition of the impracticality or difficulty of complying with
such a requirement in some districts, authorizes a district by
local rule to delegate the duties to a magistrate. In order to
formulate a practicable scheduling order, the judge, or a
magistrate when authorized by district court rule, and attorneys
are required to develop a timetable for the matters listed in Rule
16(b)(1)-(3). As indicated in Rule 16(b)(4)-(5), the order may also
deal with a wide range of other matters. The rule is phrased
permissively as to clauses (4) and (5), however, because scheduling
these items at an early point may not be feasible or appropriate.
Even though subdivision (b) relates only to scheduling, there is no
reason why some of the procedural matters listed in Rule 16(c)
cannot be addressed at the same time, at least when a scheduling
conference is held.
Item (1) assures that at some point both the parties and the
pleadings will be fixed, by setting a time within which joinder of
parties shall be completed and the pleadings amended.
Item (2) requires setting time limits for interposing various
motions that otherwise might be used as stalling techniques.
Item (3) deals with the problem of procrastination and delay by
attorneys in a context in which scheduling is especially important -
discovery. Scheduling the completion of discovery can serve some
of the same functions as the conference described in Rule 26(f).
Item (4) refers to setting dates for conferences and for trial.
Scheduling multiple pretrial conferences may well be desirable if
the case is complex and the court believes that a more elaborate
pretrial structure, such as that described in the Manual for
Complex Litigation, should be employed. On the other hand, only one
pretrial conference may be necessary in an uncomplicated case.
As long as the case is not exempted by local rule, the court must
issue a written scheduling order even if no scheduling conference
is called. The order, like pretrial orders under the former rule
and those under new Rule 16(c), normally will "control the
subsequent course of the action." See Rule 16(e). After
consultation with the attorneys for the parties and any
unrepresented parties - a formal motion is not necessary - the
court may modify the schedule on a showing of good cause if it
cannot reasonably be met despite the diligence of the party seeking
the extension. Since the scheduling order is entered early in the
litigation, this standard seems more appropriate than a "manifest
injustice" or "substantial hardship" test. Otherwise, a fear that
extensions will not be granted may encourage counsel to request the
longest possible periods for completing pleading, joinder, and
discovery. Moreover, changes in the court's calendar sometimes will
oblige the judge or magistrate when authorized by district court
rule to modify the scheduling order.
The district courts undoubtedly will develop several prototype
scheduling orders for different types of cases. In addition, when
no formal conference is held, the court may obtain scheduling
information by telephone, mail, or otherwise. In many instances
this will result in a scheduling order better suited to the
individual case than a standard order, without taking the time that
would be required by a formal conference.
Rule 16(b) assures that the judge will take some early control
over the litigation, even when its character does not warrant
holding a scheduling conference. Despite the fact that the process
of preparing a scheduling order does not always bring the attorneys
and judge together, the fixing of time limits serves
to stimulate litigants to narrow the areas of inquiry and
advocacy to those they believe are truly relevant and material.
Time limits not only compress the amount of time for litigation,
they should also reduce the amount of resources invested in
litigation. Litigants are forced to establish discovery
priorities and thus to do the most important work first.
Report of the National Commission for the Review of Antitrust Laws
and Procedures 28 (1979).
Thus, except in exempted cases, the judge or a magistrate when
authorized by district court rule will have taken some action in
every case within 120 days after the complaint is filed that
notifies the attorneys that the case will be moving toward trial.
Subdivision (b) is reenforced by subdivision (f), which makes it
clear that the sanctions for violating a scheduling order are the
same as those for violating a pretrial order.
Subdivision (c); Subjects to be Discussed at Pretrial
Conferences. This subdivision expands upon the list of things that
may be discussed at a pretrial conference that appeared in original
Rule 16. The intention is to encourage better planning and
management of litigation. Increased judicial control during the
pretrial process accelerates the processing and termination of
cases. Flanders, Case Management and Court Management in United
States District Courts, Federal Judicial Center (1977). See also
Report of the National Commission for the Review of Antitrust Laws
and Procedures (1979).
The reference in Rule 16(c)(1) to "formulation" is intended to
clarify and confirm the court's power to identify the litigable
issues. It has been added in the hope of promoting efficiency and
conserving judicial resources by identifying the real issues prior
to trial, thereby saving time and expense for everyone. See
generally Meadow Gold Prods. Co. v. Wright, 278 F.2d 867 (D.C. Cir.
1960). The notion is emphasized by expressly authorizing the
elimination of frivolous claims or defenses at a pretrial
conference. There is no reason to require that this await a formal
motion for summary judgment. Nor is there any reason for the court
to wait for the parties to initiate the process called for in Rule
16(c)(1).
The timing of any attempt at issue formulation is a matter of
judicial discretion. In relatively simple cases it may not be
necessary or may take the form of a stipulation between counsel or
a request by the court that counsel work together to draft a
proposed order.
Counsel bear a substantial responsibility for assisting the court
in identifying the factual issues worthy of trial. If counsel fail
to identify an issue for the court, the right to have the issue
tried is waived. Although an order specifying the issues is
intended to be binding, it may be amended at trial to avoid
manifest injustice. See Rule 16(e). However, the rule's
effectiveness depends on the court employing its discretion
sparingly.
Clause (6) acknowledges the widespread availability and use of
magistrates. The corresponding provision in the original rule
referred only to masters and limited the function of the reference
to the making of "findings to be used as evidence" in a case to be
tried to a jury. The new text is not limited and broadens the
potential use of a magistrate to that permitted by the Magistrate's
Act.
Clause (7) explicitly recognizes that it has become commonplace
to discuss settlement at pretrial conferences. Since it obviously
eases crowded court dockets and results in savings to the litigants
and the judicial system, settlement should be facilitated at as
early a stage of the litigation as possible. Although it is not the
purpose of Rule 16(b)(7) to impose settlement negotiations on
unwilling litigants, it is believed that providing a neutral forum
for discussing the subject might foster it. See Moore's Federal
Practice &#182; 16.17; 6 Wright & Miller, Federal Practice and
Procedure: Civil Sec. 1522 (1971). For instance, a judge to whom a
case has been assigned may arrange, on his own motion or a at a
party's request, to have settlement conferences handled by another
member of the court or by a magistrate. The rule does not make
settlement conferences mandatory because they would be a waste of
time in many cases. See Flanders, Case Management and Court
Management in the United States District Courts, 39, Federal
Judicial Center (1977). Requests for a conference from a party
indicating a willingness to talk settlement normally should be
honored, unless thought to be frivolous or dilatory.
A settlement conference is appropriate at any time. It may be
held in conjunction with a pretrial or discovery conference,
although various objectives of pretrial management, such as moving
the case toward trial, may not always be compatible with settlement
negotiations, and thus a separate settlement conference may be
desirable. See 6 Wright & Miller, Federal Practice and Procedure:
Civil Sec. 1522, at p. 751 (1971).
In addition to settlement, Rule 16(c)(7) refers to exploring the
use of procedures other than litigation to resolve the dispute.
This includes urging the litigants to employ adjudicatory
techniques outside the courthouse. See, for example, the experiment
described in Green, Marks & Olson, Settling Large Case Litigation:
An Alternative Approach, 11 Loyola of L.A. L.Rev. 493 (1978).
Rule 16(c)(10) authorizes the use of special pretrial procedures
to expedite the adjudication of potentially difficult or protracted
cases. Some district courts obviously have done so for many years.
See Rubin, The Managed Calendar: Some Pragmatic Suggestions About
Achieving the Just, Speedy and Inexpensive Determination of Civil
Cases in Federal Courts, 4 Just. Sys. J. 135 (1976). Clause 10
provides an explicit authorization for such procedures and
encourages their use. No particular techniques have been described;
the Committee felt that flexibility and experience are the keys to
efficient management of complex cases. Extensive guidance is
offered in such documents as the Manual for Complex Litigation.
The rule simply identifies characteristics that make a case a
strong candidate for special treatment. The four mentioned are
illustrative, not exhaustive, and overlap to some degree. But
experience has shown that one or more of them will be present in
every protracted or difficult case and it seems desirable to set
them out. See Kendig, Procedures for Management of Non-Routine
Cases, 3 Hofstra L.Rev. 701 (1975).
The last sentence of subdivision (c) is new. See Wisconsin Civil
Procedure Rule 802.11(2). It has been added to meet one of the
criticisms of the present practice described earlier and insure
proper preconference preparation so that the meeting is more than a
ceremonial or ritualistic event. The reference to "authority" is
not intended to insist upon the ability to settle the litigation.
Nor should the rule be read to encourage the judge conducting the
conference to compel attorneys to enter into stipulations or to
make admissions that they consider to be unreasonable, that touch
on matters that could not normally have been anticipated to arise
at the conference, or on subjects of a dimension that normally
require prior consultation with and approval from the client.
Subdivision (d); Final Pretrial Conference. This provision has
been added to make it clear that the time between any final
pretrial conference (which in a simple case may be the only
pretrial conference) and trail should be as short as possible to be
certain that the litigants make substantial progress with the case
and avoid the inefficiency of having that preparation repeated when
there is a delay between the last pretrial conference and trial. An
optimum time of 10 days to two weeks has been suggested by one
federal judge. Rubin, The Managed Calendar: Some Pragmatic
Suggestions About Achieving the Just, Speedy and Inexpensive
Determination of Civil Cases in Federal Courts, 4 Just. Sys. J.
135, 141 (1976). The Committee, however, concluded that it would be
inappropriate to fix a precise time in the rule, given the numerous
variables that could bear on the matter. Thus the timing has been
left to the court's discretion.
At least one of the attorneys who will conduct the trial for each
party must be present at the final pretrial conference. At this
late date there should be no doubt as to which attorney or
attorneys this will be. Since the agreements and stipulations made
at this final conference will control the trial, the presence of
lawyers who will be involved in it is especially useful to assist
the judge in structuring the case, and to lead to a more effective
trial.
Subdivision (e); Pretrial Orders. Rule 16(e) does not
substantially change the portion of the original rule dealing with
pretrial orders. The purpose of an order is to guide the course of
the litigation and the language of the original rule making that
clear has been retained. No compelling reason has been found for
major revision, especially since this portion of the rule has been
interpreted and clarified by over forty years of judicial decisions
with comparatively little difficulty. See 6 Wright & Miller,
Federal Practice and Procedure: Civil Secs. 1521-30 (1971). Changes
in language therefore have been kept to a minimum to avoid
confusion.
Since the amended rule encourages more extensive pretrial
management than did the original, two or more conferences may be
held in many cases. The language of Rule 16(e) recognizes this
possibility and the corresponding need to issue more than one
pretrial order in a single case.
Once formulated, pretrial orders should not be changed lightly;
but total inflexibility is undesirable. See, e.g., Clark v.
Pennsylvania R.R. Co., 328 F.2d 591 (2d Cir. 1964). The exact words
used to describe the standard for amending the pretrial order
probably are less important than the meaning given them in
practice. By not imposing any limitation on the ability to modify a
pretrial order, the rule reflects the reality that in any process
of continuous management what is done at one conference may have to
be altered at the next. In the case of the final pretrial order,
however, a more stringent standard is called for and the words "to
prevent manifest injustice," which appeared in the original rule,
have been retained. They have the virtue of familiarity and
adequately describe the restraint the trial judge should exercise.
Many local rules make the plaintiff's attorney responsible for
drafting a proposed pretrial order, either before or after the
conference. Others allow the court to appoint any of the attorneys
to perform the task, and others leave it to the court. See Note,
Pretrial Conference: A Critical Examination of Local Rules Adopted
by Federal District Courts, 64 Va.L.Rev. 467 (1978). Rule 16 has
never addressed this matter. Since there is no consensus about
which method of drafting the order works best and there is no
reason to believe that nationwide uniformity is needed, the rule
has been left silent on the point. See Handbook for Effective
Pretrial Procedure, 37 F.R.D. 225 (1964).
Subdivision (f); Sanctions. Original Rule 16 did not mention the
sanctions that might be imposed for failing to comply with the
rule. However, courts have not hesitated to enforce it by
appropriate measures. See, e.g., Link v. Wabash R. Co., 370 U.S.
628 (1962) (district court's dismissal under Rule 41(b) after
plaintiff's attorney failed to appear at a pretrial conference
upheld); Admiral Theatre Corp. v. Douglas Theatre, 585 F.2d 877
(8th Cir. 1978) (district court has discretion to exclude exhibits
or refuse to permit the testimony of a witness not listed prior to
trial in contravention of its pretrial order).
To reflect that existing practice, and to obviate dependence upon
Rule 41(b) or the court's inherent power to regulate litigation,
cf. Societe Internationale Pour Participations Industrielles et
Commerciales, S.A. v. Rogers, 357 U.S. 197 (1958), Rule 16(f)
expressly provides for imposing sanctions on disobedient or
recalcitrant parties, their attorneys, or both in four types of
situations. Rodes, Ripple & Mooney, Sanctions Imposable for
Violations of the Federal Rules of Civil Procedure 65-67, 80-84,
Federal Judicial Center (1981). Furthermore, explicit reference to
sanctions reenforces the rule's intention to encourage forceful
judicial management.
Rule 16(f) incorporates portions of Rule 37(b)(2), which
prescribes sanctions for failing to make discovery. This should
facilitate application of Rule 16(f), since courts and lawyers
already are familiar with the Rule 37 standards. Among the
sanctions authorized by the new subdivision are: preclusion order,
striking a pleading, staying the proceeding, default judgment,
contempt, and charging a party, his attorney, or both with the
expenses, including attorney's fees, caused by noncompliance. The
contempt sanction, however, is only available for a violation of a
court order. The references in Rule 16(f) are not exhaustive.
As is true under Rule 37(b)(2), the imposition of sanctions may
be sought by either the court or a party. In addition, the court
has discretion to impose whichever sanction it feels is appropriate
under the circumstances. Its action is reviewable under the abuse-
of-discretion standard. See National Hockey League v. Metropolitan
Hockey Club, Inc., 427 U.S. 639 (1976).

NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT
The amendments are technical. No substantive change is intended.

NOTES OF ADVISORY COMMITTEE ON RULES - 1993 AMENDMENT
Subdivision (b). One purpose of this amendment is to provide a
more appropriate deadline for the initial scheduling order required
by the rule. The former rule directed that the order be entered
within 120 days from the filing of the complaint. This requirement
has created problems because Rule 4(m) allows 120 days for service
and ordinarily at least one defendant should be available to
participate in the process of formulating the scheduling order. The
revision provides that the order is to be entered within 90 days
after the date a defendant first appears (whether by answer or by a
motion under Rule 12) or, if earlier (as may occur in some actions
against the United States or if service is waived under Rule 4),
within 120 days after service of the complaint on a defendant. The
longer time provided by the revision is not intended to encourage
unnecessary delays in entering the scheduling order. Indeed, in
most cases the order can and should be entered at a much earlier
date. Rather, the additional time is intended to alleviate problems
in multi-defendant cases and should ordinarily be adequate to
enable participation by all defendants initially named in the
action.
In many cases the scheduling order can and should be entered
before this deadline. However, when setting a scheduling
conference, the court should take into account the effect this
setting will have in establishing deadlines for the parties to meet
under revised Rule 26(f) and to exchange information under revised
Rule 26(a)(1). While the parties are expected to stipulate to
additional time for making their disclosures when warranted by the
circumstances, a scheduling conference held before defendants have
had time to learn much about the case may result in diminishing the
value of the Rule 26(f) meeting, the parties' proposed discovery
plan, and indeed the conference itself.
New paragraph (4) has been added to highlight that it will
frequently be desirable for the scheduling order to include
provisions relating to the timing of disclosures under Rule 26(a).
While the initial disclosures required by Rule 26(a)(1) will
ordinarily have been made before entry of the scheduling order, the
timing and sequence for disclosure of expert testimony and of the
witnesses and exhibits to be used at trial should be tailored to
the circumstances of the case and is a matter that should be
considered at the initial scheduling conference. Similarly, the
scheduling order might contain provisions modifying the extent of
discovery (e.g., number and length of depositions) otherwise
permitted under these rules or by a local rule.
The report from the attorneys concerning their meeting and
proposed discovery plan, as required by revised Rule 26(f), should
be submitted to the court before the scheduling order is entered.
Their proposals, particularly regarding matters on which they
agree, should be of substantial value to the court in setting the
timing and limitations on discovery and should reduce the time of
the court needed to conduct a meaningful conference under Rule
16(b). As under the prior rule, while a scheduling order is
mandated, a scheduling conference is not. However, in view of the
benefits to be derived from the litigants and a judicial officer
meeting in person, a Rule 16(b) conference should, to the extent
practicable, be held in all cases that will involve discovery.
This subdivision, as well as subdivision (c)(8), also is revised
to reflect the new title of United States Magistrate Judges
pursuant to the Judicial Improvements Act of 1990.
Subdivision (c). The primary purposes of the changes in
subdivision (c) are to call attention to the opportunities for
structuring of trial under Rules 42, 50, and 52 and to eliminate
questions that have occasionally been raised regarding the
authority of the court to make appropriate orders designed either
to facilitate settlement or to provide for an efficient and
economical trial. The prefatory language of this subdivision is
revised to clarify the court's power to enter appropriate orders at
a conference notwithstanding the objection of a party. Of course
settlement is dependent upon agreement by the parties and, indeed,
a conference is most effective and productive when the parties
participate in a spirit of cooperation and mindful of their
responsibilities under Rule 1.
Paragraph (4) is revised to clarify that in advance of trial the
court may address the need for, and possible limitations on, the
use of expert testimony under Rule 702 of the Federal Rules of
Evidence. Even when proposed expert testimony might be admissible
under the standards of Rules 403 and 702 of the evidence rules, the
court may preclude or limit such testimony if the cost to the
litigants - which may include the cost to adversaries of securing
testimony on the same subjects by other experts - would be unduly
expensive given the needs of the case and the other evidence
available at trial.
Paragraph (5) is added (and the remaining paragraphs renumbered)
in recognition that use of Rule 56 to avoid or reduce the scope of
trial is a topic that can, and often should, be considered at a
pretrial conference. Renumbered paragraph (11) enables the court to
rule on pending motions for summary adjudication that are ripe for
decision at the time of the conference. Often, however, the
potential use of Rule 56 is a matter that arises from discussions
during a conference. The court may then call for motions to be
filed.
Paragraph (6) is added to emphasize that a major objective of
pretrial conferences should be to consider appropriate controls on
the extent and timing of discovery. In many cases the court should
also specify the times and sequence for disclosure of written
reports from experts under revised Rule 26(a)(2)(B) and perhaps
direct changes in the types of experts from whom written reports
are required. Consideration should also be given to possible
changes in the timing or form of the disclosure of trial witnesses
and documents under Rule 26(a)(3).
Paragraph (9) is revised to describe more accurately the various
procedures that, in addition to traditional settlement conferences,
may be helpful in settling litigation. Even if a case cannot
immediately be settled, the judge and attorneys can explore
possible use of alternative procedures such as mini-trials, summary
jury trials, mediation, neutral evaluation, and nonbinding
arbitration that can lead to consensual resolution of the dispute
without a full trial on the merits. The rule acknowledges the
presence of statutes and local rules or plans that may authorize
use of some of these procedures even when not agreed to by the
parties. See 28 U.S.C. Secs. 473(a)(6), 473(b)(4), 651-58; Section
104(b)(2), Pub. L. 101-650. The rule does not attempt to resolve
questions as to the extent a court would be authorized to require
such proceedings as an exercise of its inherent powers.
The amendment of paragraph (9) should be read in conjunction with
the sentence added to the end of subdivision (c), authorizing the
court to direct that, in appropriate cases, a responsible
representative of the parties be present or available by telephone
during a conference in order to discuss possible settlement of the
case. The sentence refers to participation by a party or its
representative. Whether this would be the individual party, an
officer of a corporate party, a representative from an insurance
carrier, or someone else would depend on the circumstances.
Particularly in litigation in which governmental agencies or large
amounts of money are involved, there may be no one with on-the-spot
settlement authority, and the most that should be expected is
access to a person who would have a major role in submitting a
recommendation to the body or board with ultimate decision-making
responsibility. The selection of the appropriate representative
should ordinarily be left to the party and its counsel. Finally, it
should be noted that the unwillingness of a party to be available,
even by telephone, for a settlement conference may be a clear
signal that the time and expense involved in pursuing settlement is
likely to be unproductive and that personal participation by the
parties should not be required.
The explicit authorization in the rule to require personal
participation in the manner stated is not intended to limit the
reasonable exercise of the court's inherent powers, e.g., G.
Heileman Brewing Co. v. Joseph Oat Corp., 871 F.2d 648 (7th Cir.
1989), or its power to require party participation under the Civil
Justice Reform Act of 1990. See 28 U.S.C. Sec. 473(b)(5) (civil
justice expense and delay reduction plans adopted by district
courts may include requirement that representatives "with authority
to bind [parties] in settlement discussions" be available during
settlement conferences).
New paragraphs (13) and (14) are added to call attention to the
opportunities for structuring of trial under Rule 42 and under
revised Rules 50 and 52.
Paragraph (15) is also new. It supplements the power of the court
to limit the extent of evidence under Rules 403 and 611(a) of the
Federal Rules of Evidence, which typically would be invoked as a
result of developments during trial. Limits on the length of trial
established at a conference in advance of trial can provide the
parties with a better opportunity to determine priorities and
exercise selectivity in presenting evidence than when limits are
imposed during trial. Any such limits must be reasonable under the
circumstances, and ordinarily the court should impose them only
after receiving appropriate submissions from the parties outlining
the nature of the testimony expected to be presented through
various witnesses, and the expected duration of direct and cross-
examination.

COMMITTEE NOTES ON RULES - 2006 AMENDMENT
The amendment to Rule 16(b) is designed to alert the court to the
possible need to address the handling of discovery of
electronically stored information early in the litigation if such
discovery is expected to occur. Rule 26(f) is amended to direct the
parties to discuss discovery of electronically stored information
if such discovery is contemplated in the action. Form 35 is amended
to call for a report to the court about the results of this
discussion. In many instances, the court's involvement early in the
litigation will help avoid difficulties that might otherwise arise.
Rule 16(b) is also amended to include among the topics that may
be addressed in the scheduling order any agreements that the
parties reach to facilitate discovery by minimizing the risk of
waiver of privilege or work-product protection. Rule 26(f) is
amended to add to the discovery plan the parties' proposal for the
court to enter a case-management or other order adopting such an
agreement. The parties may agree to various arrangements. For
example, they may agree to initial provision of requested materials
without waiver of privilege or protection to enable the party
seeking production to designate the materials desired or protection
for actual production, with the privilege review of only those
materials to follow. Alternatively, they may agree that if
privileged or protected information is inadvertently produced, the
producing party may by timely notice assert the privilege or
protection and obtain return of the materials without waiver. Other
arrangements are possible. In most circumstances, a party who
receives information under such an arrangement cannot assert that
production of the information waived a claim of privilege or of
protection as trial-preparation material.
An order that includes the parties' agreement may be helpful in
avoiding delay and excessive cost in discovery. See Manual for
Complex Litigation (4th) Sec. 11.446. Rule 16(b)(6) recognizes the
propriety of including such agreements in the court's order. The
rule does not provide the court with authority to enter such a case-
management or other order without party agreement, or limit the
court's authority to act on motion.
Changes Made After Publication and Comment. This recommendation
is of a modified version of the proposal as published. Subdivision
(b)(6) was modified to eliminate the references to "adopting"
agreements for "protection against waiving" privilege. It was
feared that these words might seem to promise greater protection
than can be assured. In keeping with changes to Rule 26(b)(5)(B),
subdivision (b)(6) was expanded to include agreements for asserting
claims of protection as trial-preparation materials. The Committee
Note was revised to reflect the changes in the rule text.
The proposed changes from the published rule are set out below.
[Omitted]

-End-


-CITE-
28 USC APPENDIX IV. PARTIES 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
IV. PARTIES

-HEAD-
IV. PARTIES

-End-



-CITE-
28 USC APPENDIX Rule 17 01/03/2007

-EXPCITE-
TITLE 28 - APPENDIX
FEDERAL RULES OF CIVIL PROCEDURE
IV. PARTIES

-HEAD-
Rule 17. Parties Plaintiff and Defendant; Capacity

-STATUTE-
(a) Real Party in Interest. Every action shall be prosecuted in
the name of the real party in interest. An executor, administrator,
guardian, bailee, trustee of an express trust, a party with whom or
in whose name a contract has been made for the benefit of another,
or a party authorized by statute may sue in that person's own name
without joining the party for whose benefit the action is brought;
and when a statute of the United States so provides, an action for
the use or benefit of another shall be brought in the name of the
United States. No action shall be dismissed on the ground that it
is not prosecuted in the name of the real party in interest until a
reasonable time has been allowed after objection for ratification
of commencement of the action by, or joinder or substitution of,
the real party in interest; and such ratification, joinder, or
substitution shall have the same effect as if the action had been
commenced in the name of the real party in interest.
(b) Capacity To Sue or Be Sued. The capacity of an individual,
other than one acting in a representative capacity, to sue or be
sued shall be determined by the law of the individual's domicile.
The capacity of a corporation to sue or be sued shall be determined
by the law under which it was organized. In all other cases
capacity to sue or be sued shall be determined by the law of the
state in which the district court is held, except (1) that a
partnership or other unincorporated association, which has no such
capacity by the law of such state, may sue or be sued in its common
name for the purpose of enforcing for or against it a substantive
right existing under the Constitution or laws of the United States,
and (2) that the capacity of a receiver appointed by a court of the
United States to sue or be sued in a court of the United States is
governed by Title 28, U.S.C., Sections 754 and 959(a).
(c) Infants or Incompetent Persons. Whenever an infant or
incompetent person has a representative, such as a general
guardian, committee, conservator, or other like fiduciary, the
representative may sue or defend on behalf of the infant or
incompetent person. An infant or incompetent person who does not
have a duly appointed representative may sue by a next friend or by
a guardian ad litem. The court shall appoint a guardian ad litem
for an infant or incompetent person not otherwise represented in an
action or shall make such other order as it deems proper for the
protection of the infant or incompetent person.

-SOURCE-
(As amended Dec. 27, 1946, eff. Mar. 19, 1948; Dec. 29, 1948, eff.
Oct. 20, 1949; Feb. 28, 1966, eff. July 1, 1966; Mar. 2, 1987, eff.
Aug. 1, 1987; Apr. 25, 1988, eff. Aug. 1, 1988; Pub. L. 100-690,
title VII, Sec. 7049, Nov. 18, 1988, 102 Stat. 4401.)


-MISC1-
NOTES OF ADVISORY COMMITTEE ON RULES - 1937
Note to Subdivision (a). The real party in interest provision,
except for the last clause which is new, is taken verbatim from
[former] Equity Rule 37 (Parties Generally - Intervention), except
that the word "expressly" has been omitted. For similar provisions
see N.Y.C.P.A. (1937) Sec. 210; Wyo.Rev.Stat.Ann. (1931) Secs. 89-
501, 89-502, 89-503; English Rules Under the Judicature Act (The
Annual Practice, 1937) O. 16, r. 8. See also Equity Rule 41 (Suit
to Execute Trusts of Will - Heir as Party). For examples of
statutes of the United States providing particularly for an action
for the use or benefit of another in the name of the United States,
see U.S.C., [former] Title 40, Sec. 270b (Suit by persons
furnishing labor and material for work on public building contracts
* * * may sue on a payment bond, "in the name of the United States
for the use of the person suing") [now 40 U.S.C. Sec. 3133(b),
(c)]; and U.S.C., Title 25, Sec. 201 (Penalties under laws relating
to Indians - how recovered). Compare U.S.C., Title 26, [former]
Sec. 1645(c) (Suits for penalties, fines, and forfeitures, under
this title, where not otherwise provided for, to be in name of
United States).
Note to Subdivision (b). For capacity see generally Clark and
Moore, A New Federal Civil Procedure - II. Pleadings and Parties,
44 Yale L.J. 1291, 1312-1317 (1935) and specifically Coppedge v.
Clinton, 72 F.(2d) 531 (C.C.A.10th, 1934) (natural person); David
Lupton's Sons Co. v. Automobile Club of America, 225 U.S. 489
(1912) (corporation); Puerto Rico v. Russell & Co., 288 U.S. 476
(1933) (unincorporated ass'n.); United Mine Workers of America v.
Coronado Coal Co., 259 U.S. 344 (1922) (federal substantive right
enforced against unincorporated association by suit against the
association in its common name without naming all its members as
parties). This rule follows the existing law as to such
associations, as declared in the case last cited above. Compare
Moffat Tunnel League v. United States, 289 U.S. 113 (1933). See
note to Rule 23, clause (1).
Note to Subdivision (c). The provision for infants and
incompetent persons is substantially [former] Equity Rule 70 (Suits
by or Against Incompetents) with slight additions. Compare the more
detailed English provisions, English Rules Under the Judicature Act
(The Annual Practice, 1937) O. 16, r.r. 16-21.

NOTES OF ADVISORY COMMITTEE ON RULES - 1946 AMENDMENT
The new matter [in subdivision (b)] makes clear the controlling
character of Rule 66 regarding suits by or against a federal
receiver in a federal court.

NOTES OF ADVISORY COMMITTEE ON RULES - 1948 AMENDMENT
Since the statute states the capacity of a federal receiver to
sue or be sued, a repetitive statement in the rule is confusing and
undesirable.

NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT
The minor change in the text of the rule is designed to make it
clear that the specific instances enumerated are not exceptions to,
but illustrations of, the rule. These illustrations, of course,
carry no negative implication to the effect that there are not
other instances of recognition as the real party in interest of one
whose standing as such may be in doubt. The enumeration is simply
of cases in which there might be substantial doubt as to the issue
but for the specific enumeration. There are other potentially
arguable cases that are not excluded by the enumeration. For
example, the enumeration states that the promisee in a contract for
the benefit of a third party may sue as real party in interest; it
does not say, because it is obvious, that the third-party
beneficiary may sue (when the applicable law gives him that right.)
The rule adds to the illustrative list of real parties in
interest a bailee - meaning, of course, a bailee suing on behalf of
the bailor with respect to the property bailed. (When the possessor
of property other than the owner sues for an invasion of the
possessory interest he is the real party in interest.) The word
"bailee" is added primarily to preserve the admiralty practice
whereby the owner of a vessel as bailee of the cargo, or the master
of the vessel as bailee of both vessel and cargo, sues for damage
to either property interest or both. But there is no reason to
limit such a provision to maritime situations. The owner of a
warehouse in which household furniture is stored is equally
entitled to sue on behalf of the numerous owners of the furniture
stored. Cf. Gulf Oil Corp. v. Gilbert, 330 U.S. 501 (1947).
The provision that no action shall be dismissed on the ground
that it is not prosecuted in the name of the real party in interest
until a reasonable time has been allowed, after the objection has
been raised, for ratification, substitution, etc., is added simply
in the interests of justice. In its origin the rule concerning the
real party in interest was permissive in purpose: it was designed
to allow an assignee to sue in his own name. That having been
accomplished, the modern function of the rule in its negative
aspect is simply to protect the defendant against a subsequent
action by the party actually entitled to recover, and to insure
generally that the judgment will have its proper effect as res
judicata.
This provision keeps pace with the law as it is actually
developing. Modern decisions are inclined to be lenient when an
honest mistake has been made in choosing the party in whose name
the action is to be filed - in both maritime and nonmaritime cases.
See Levinson v. Deupree, 345 U.S. 648 (1953); Link Aviation, Inc.