A lot has been discussed about the most recent changes to the Federal
Rules, especially with regard to Rule 37(e) and the requirement of the
intent to deprive standard to apply more serious sanctions. But, what
activities constitute intent to deprive? Should failing to issue a
litigation hold be considered intent to deprive a party of potentially
responsive ESI when that ESI is not preserved?
Rule 37(e)(2) says the following:
http://bit.ly/2pwW77Nhttp://bit.ly/2pwW77N+
--
Peterk
Dallas, Tx
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