Guill, Jr. v. Alliance Resource Partners, L.P. et al
Filing
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ORDER STAYING CASE: Having found substantial overlap between the instant case, Hulett Guill, Jr. v. Alliance Resource Partners, L.P., et al. (Case No. 16-cv-424-NJR-DGW), and Carl Leeper v. Alliance Resource Partners, L.P., et al. (Case No. 16-cv-250 -NJR-DGW), and for reasons of sound judicial administration, the Court in its discretion sua sponte STAYS the above-captioned case. In light of the stay, Leeper's 30 Motion to Intervene is DENIED as moot and Defendants' 21 Motion to Dismiss is DENIED with leave to re-file at the appropriate time. Signed by Judge Nancy J. Rosenstengel on 3/27/2017. (bak)
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF ILLINOIS
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Plaintiff,
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vs.
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ALLIANCE RESOURCE PARTNERS,
L.P., HAMILTON COUNTY COAL, LLC, )
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and DOES 1-10,
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Defendants.
HULETT GUILL, JR., individually and
on behalf of all other similarly situated,
Case No. 16-CV-0424-NJR-DGW
MEMORANDUM AND ORDER
ROSENSTENGEL, District Judge:
Pending before the Court is a Motion to Intervene filed by Carl Leeper (Doc. 30)
and a Motion to Dismiss filed by Defendants Alliance Resource Partners, L.P. and
Hamilton County Coal, LLC (Doc. 21).
BACKGROUND
Two lawsuits have been filed in this district asserting claims on behalf of a class
against Defendants Alliance Resource Partners, L.P. (“Alliance”), Hamilton County
Coal, LLC (“Hamilton”), and various John Does. The earlier-filed case, Carl Leeper v.
Alliance Resource Partners, L.P., et al., Case No. 16-cv-250 (“Leeper case”) was filed on
March 8, 2016. This case was originally assigned to United States District Judge J. Phil
Gilbert, and then immediately reassigned to the undersigned. Thirty-seven days later,
Hulett Guill, Jr. v. Alliance Resource Partners, L.P., et al., Case No. 16-cv-424 (“Guill case”)
was filed in this district and automatically assigned to United States District Judge Staci
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M. Yandle. The undersigned accepted transfer of the Guill case as related to the Leeper
case, as both cases assert claims based on violations of the federal Worker Adjustment
and Retraining Notification Act (“WARN Act”). Specifically, both cases allege that
Defendants’ failure to provide 60-day advance notice of the termination of nearly 200
employees at Hamilton County Coal Mine #1 on February 6, 2016 violated the WARN
Act.
On June 27, 2016, motions to dismiss were filed by Defendants Hamilton and
Alliance in both cases, arguing that Defendants’ employment action did not constitute a
termination under § 2101(a)(6)(A) of the WARN Act. The motions alternatively
requested a stay of proceedings through August 1, 2016, which the Court granted in both
cases. In the Leeper case, once the briefing was supplemented and completed, Leeper
filed an Amended Complaint which rendered the original Motion to Dismiss filed in
Case No. 16-cv-250-NJR-DGW moot. The Amended Complaint proposes an alternative
theory (in addition to the claim that employees were “terminated” under 29 U.S.C.
§ 2101(a)(6)(A)), that the putative class experienced a “reduction in hours” under
29 U.S.C. § 2101(a)(6)(C)). Defendants Hamilton and Alliance followed up with a Motion
to Dismiss the Amended Complaint in January 2017. The briefing on that motion is now
complete. In the Guill case, however, the briefing on the original Motion to Dismiss
completed, and Plaintiff Guill did not file an amended complaint. Thus, motions to
dismiss remain pending in both cases. On February 10, 2017, Leeper sought to intervene
in the Guill case in order to request dismissal or a stay of the Guill case.
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ANALYSIS
Leeper seeks to intervene in the Guill case “for purposes of seeking dismissal or a
stay of this later action, based on the Seventh Circuit’s adherence to the ‘first-to-file’
rule” (See Doc. 30 in Case No. 16-cv-424-NJR-DGW). Leeper argues that his intervention
is proper as a matter of right under Federal Rule 24(a) or via permission intervention
under Rule 24(b). Leeper requests leave to intervene in order to file a motion to dismiss
or stay, a copy of which he attached to the motion.
The first-to-file rule provides that a district court may, for purposes of judicial
administration, dismiss or stay a suit “when it is duplicative of a parallel action that is
already pending in another federal court.” Great West Casualty Company v. Ross Wilson
Trucking, No. 3:16-cv-03253, 2017 WL 707484, at *4 (C.D. Ill. Feb. 22, 2017) (citing Serlin v.
Arthur Anderson & Co., 3 F.3d 221, 223 (7th Cir. 1993)). Cases are considered duplicative
where “there are no significant differences between the claims, parties, and available
relief.” Serlin, 3 F.3d at 224.
The Seventh Circuit Court of Appeals does not rigidly adhere to the first-to-file
rule. See Research Automation, Inc. v. Schrader-Bridgeport Intern., Inc., 626 F.3d 973, 980 (7th
Cir. 2010); see also Trippe Mfg. Co. v. Am. Power Conversion Corp., 46 F.3d 624, 629 (7th Cir.
1995). Rather, the first-to-file rule is viewed in this circuit “as a question of comity over
which the district court enjoys a great deal of discretion.” Askin v. Quaker Oats Co., No. 11
C 111, 2012 WL 517491, at *3 (N.D. Ill. Feb. 15, 2012) (citing Research Automation, Inc., 626
F.3d at 980-81)). It is part of a district court’s “inherent power to administer their dockets
so as to conserve scarce judicial resources” by avoiding duplicative litigation. Trippe Mfg.
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Co., 46 F.3d at 629. The Seventh Circuit has cautioned that “[n]o rule requires that district
courts dismiss duplicative lawsuits, and we have sometimes suggested that district
courts should stay a second lawsuit pending the outcome of an earlier-filed lawsuit
addressing the same issues.” Wallis v. Fifth Third Bank, 443 F. App’x 202, 205 (7th Cir.
2011).
Here, the two actions are obviously pending within the same district and before
the same judge, as both cases are now pending before the undersigned. Plaintiff Guill
argues that, under this scenario, the first-to-file rule does not apply. Some courts have
applied the first-to-file rule notwithstanding the fact that two actions had both been filed
in the same district. See Save Power Ltd. v. Syntek Fin. Corp., 121 F.3d 947, 950 (5th Cir.
1997) (the first-to-file rule “applies where related cases are pending before two judges in
the same district . . . .”); Chapa v. Mitchell, No. A-05-CV-769-JN, 2005 WL 2978396, at *n. 1
(W.D. Tex. Nov. 4, 2005) (applying first-to-file rule to actions pending in same district
court). Other courts have observed, however, that application of the first-to-file rule is
not appropriate where the actions are pending before the same judge. See Jones
v. Singing River Health Servs. Found., Nos. 1:14CV447-LG-RHW, 1:15CV1-LG-RHW,
1:15CV44-LG-RHW, 2015 WL 12672726, at *3 (S.D. Miss. June 5, 2015); see also Sheehy v.
Santa Clara Valley Transp. Auth., No. 5:14-cv-01325-PSG, 2014 WL 2526968, at *2 (N.D.
Cal. June 4, 2014); see also Olin Corp v. Continental Cas. Co., No. 2:10-cv-00623-GMN-RRJ,
2011 WL 1337407, at *2 (D. Nev. Apr. 6, 2011). This is generally because concerns
justifying application of the rule, such as comity, efficiency, and uniformity, are
nonexistent or greatly reduced in this scenario. See, e.g. Rodriguez v. Taco Bell Corp.,
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No. C13-1498, 2013 WL 5877788, at *3 (E.D. Cal. Oct. 13, 2013) (“The concerns justifying
the application of the first-to-file rule, particularly those relating to federal comity, do
not apply when both cases are pending before the same judge in the same court”).
Although the Court is cognizant of the district court cases expressing disapproval
of dismissing or staying a duplicative action pending before the same judge under the
first-to-file rule, the Court has not discovered any binding Seventh Circuit case law that
prevents the Court from taking such action. Instead, the Seventh Circuit has indicated
that, in a putative class action setting, where the plaintiffs are not necessarily identical
but are part of the same class pursuing an identical claim in the same court, “no
mechanical rule governs the handling of overlapping cases.” See Blair v. Equifax Check
Servs., Inc., 181 F.3d 832, 838 (7th Cir. 1999).
Under these circumstances, where both cases purport to represent the same class,
the Court finds that a stay, rather than dismissal, is appropriate. A court should consider
the following factors in determining whether a later-filed case should be stayed:
“(i) whether a stay will unduly prejudice or tactically disadvantage the non-moving
party, (ii) whether a stay will simplify the issues in question and streamline the trial, and
(iii) whether a stay will reduce the burden of litigation on the parties and the court.”
Askin v. Quaker Oats Co., No. 11 CV 111, 2012 WL 517491, at *6 (N.D. Ill. Feb. 15, 2012)
(quoting Markel Am. Ins. Co. v. Dolan, 787 F. Supp. 2d 776, 779 (N.D. Ill. 2011)).
These factors weigh in favor of granting a stay in this case. The two cases include
an identical claim on behalf of the same proposed class against the same defendants. The
two cases also seek the same relief. In light of the substantial similarities between the two
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cases, the Court finds that a stay of the Guill case would simplify the issues and
streamline the trial. Invoking such a stay will avoid the inherent inefficiencies involved
with duplicative litigation, will reduce the burden of litigation on the parties and the
Court, and will not cause undue prejudice. Accordingly, the Court finds it appropriate to
stay this case.1
CONCLUSION
Having found substantial overlap between the instant case, Hulett Guill, Jr. v.
Alliance Resource Partners, L.P., et al. (Case No. 16-cv-424-NJR-DGW), and Carl Leeper v.
Alliance Resource Partners, L.P., et al. (Case No. 16-cv-250-NJR-DGW), and for reasons of
sound judicial administration, the Court in its discretion sua sponte STAYS the
above-captioned case. In light of the stay, Leeper’s Motion to Intervene (Doc. 30) is
DENIED as moot, and Defendants’ Motion to Dismiss (Doc. 21) is DENIED with leave
to re-file at the appropriate time.
IT IS SO ORDERED.
DATED: March 27, 2017
s/ Nancy J. Rosenstengel__________
NANCY J. ROSENSTENGEL
United States District Judge
1
Although, at this point in the proceedings, Leeper has not officially motioned the Court for a stay, this is
of no consequence as the Court may stay a case under the first-to-file rule sua sponte. See Hartford Fire Ins.
Co. v. Harleysville Mut. Ins. Co., 736 F.3d 255, 258 n. 1 (4th Cir. 2013) (“the court was free to raise the issue of
the first-to-file rule sua sponte”); see also Inforizons, Inc. v. VED Software Servs., Inc., 204 F.R.D. 116, 120 (N.D.
Ill. 2001) (denying request for dismissal under first-to-file rule but staying proceedings on court’s own
motion); see also Marks v. Mackey, No. 6:14-CV-00441, 2014 WL 3530137, at *2 (W.D. La. July 15, 2014) (“The
first-to-file rule may be raised by a district court sua sponte.”); see also Strukmyer, LLC v. Infinite Financial
Solutions, Inc., No. 3:13-cv-3798-L, 2013 WL 6388563, at *6 (N.D. Tex. Dec. 5, 2013) (“even if Defendants had
not filed their motion to transfer, the Court could raise the first-to-file rule sua sponte.”). Additionally, the
Court has had the added benefit of briefing from the parties on this issue, as the first-to-file rule was
sufficiently addressed in the briefing relating to Leeper’s Motion to Intervene.
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