Modern Holdings, LLC et al v. Corning, Inc. et al
Filing
291
MEMORANDUM OPINION & ORDER: Plaintiffs' 251 Motion to Certify Class Action is DENIED. Signed by Judge Gregory F. VanTatenhove on 3/29/2018. (STC)cc: COR
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF KENTUCKY
CENTRAL DIVISION
LEXINGTON
MODERN HOLDINGS, LLC, et al.,
Plaintiff,
v.
CORNING, INC., and
PHILIPS ELECTRONICS NORTH
AMERICA CORPORATION.
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Civil No. 5:13-cv-00405-GFVT
MEMORANDUM OPINION
&
ORDER
Defendants.
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This environmental mass-tort lawsuit alleges Defendants Corning Inc. and Philips
Electronics North America Corp., the successive owners of a glass manufacturing plant located
in Danville, Kentucky, intentionally or negligently released toxic chemicals and substances
during the sixty years of the plant’s operation. [See generally R. 211; R. 110 at 1.] As the
named Plaintiffs, Sellers & Sellers Co., Bobbie Lemons, Otis Ford, Charles Ford, Rosetta Ford,
Gary Ford, and Modern Holdings, LLC, claim Defendants’ release of these chemicals and
substances polluted the air, water, and soil within a five-mile radius, resulting in personal injury
and property damages to the named plaintiffs, as well as members of their proposed class. [See
generally R. 211; R. 110; R. 111 at 1.] 1 Today, this Court considers whether Plaintiffs’ proposed
class action should go forward, considering Plaintiffs’ Motion to Certify Class Action [R 251],
Defendants’ Memorandum of Law in Opposition to Plaintiffs’ Motion for Class Certification [R.
1
A separate action was brought by Philip’s former employees against Philips for their alleged damages. Cox, et al.
v. Philips Elec. N. Am. Corp., et al., No. 5:13-cv-406-GFVT-EBA. That case was dismissed. [R. 70; R. 71; R. 91.]
1
268], and Plaintiffs’ Reply [R. 290]. After careful consideration and detailed review, and for the
reasons that follow, the Plaintiffs’ Motion to Certify is DENIED.
I
A
Defendants Corning Inc. and Philips Electronics North America owned and operated the
Danville, Kentucky glass manufacturing facility at issue in this case, which Corning built in
1952. [R. 110 at 2; R. 211 at ¶ 29.] Corning operated its glass manufacturing business there
until 1983, when Corning sold the facility to Philips. [R. 110 at 2; R. 211 at ¶¶ 29–30.] From
1983 until 2011, Philips manufactured various glass products at the facility. [R. 110 at 2; R. 211
at ¶ 30.] Philips sold the facility back to Corning in 2013. [R. 110 at 2; R. 211 at ¶ 31.]
Plaintiffs here are individuals and corporations who own land allegedly damaged by
Defendants’ operations of the facility, and/or who allegedly experience personal injuries flowing
from the release of toxic substances by Defendants. They identify many hazardous substances
used in the course of the facility’s operations including, but are not limited to, asbestos, mercury,
antimony, arsenic, beryllium, cadmium, chromium, lead, tin, zinc oxide and other heavy metals,
thallium, perchloroethylene (PCE), 1-Trichloroethane (TCA), methylene chloride, PCB
compounds, benzene, toluene, vanadium, benzo(b)fluoranthene, benzo(a)pyrene, ethylbenzene,
silica, chlorinated fluorocarbons (CFC), 2-Butanone (MEK), trichloroethylene (TCE), and
ethanolamine. [R. 211 at ¶¶ 1–5; id. at ¶ 39.] Plaintiffs allege Corning and Philips illegally
dumped these hazardous substances in nearby fields, streams, and lands now owned by the
named Plaintiffs and members of the proposed class. [See generally R. 211.] Plaintiffs also
contend that Defendants improperly maintained their “settling ponds” (filtration systems used to
collect chemical run-off) and allowed lead dust and other hazardous substances to accumulate on
2
the roof of the facility and wash into the Clarks Run watershed, a source of drinking water for
the region. Id. at ¶¶ 55–56.
According to Plaintiffs, chemicals in wastewater discharge units, known as “outfalls,”
exceeded applicable statutory limits, and tests recently conducted on the facility’s grounds
indicated the presence of heavy metals in the soil, air, and building itself. Id. at ¶¶ 57–58.
Preliminary tests in the area also indicated elevated concentrations of lead, TCE, dichloroethene
(DCE), and arsenic in groundwater and surface water samples, as well as lead and arsenic
concentrations significantly above industrially accepted soil levels. Id. at ¶ 218.
To remedy these alleged wrongs and resulting damages, Plaintiffs seek relief through the
following legal theories: nuisance, trespass, negligence, battery, fraudulent concealment, and
negligent infliction of emotional stress. [R. 110; R. 211 at ¶ 27.] Medical monitoring was
dismissed as a cause of action against Defendants through Defendants’ earlier Motion to
Dismiss, but it has been preserved as a potential remedy. [R. 110 at 31–32]. Previously,
Defendants also moved to strike the proposed class allegations on the ground that they do not
comport with the requirements of Fed. R. Civ. P. 23(b) and Article III of the United States
Constitution. [R. 44.] That Motion was denied. [R. 111.]
Plaintiff’s Motion to Certify Class Action has been pending since April 3, 2017. [R 251.]
During the lengthy briefing period, Defendants also filed a joint Motion to Exclude the Opinion
of Albert Westerman. [R. 267.] That Motion was recently denied by this Court. [R. 287.] As
such, the opinion of Albert Westerman shall be considered by this Court for purposes of this
Order.
3
B
Plaintiffs’ Motion proposes that the following class be certified in this case: “all persons
who at any time between 1952 and November 27, 2013, resided within the Affected Area or who
owned off-Site property within the Affected Area as of November 27, 2013.” 2 [R. 251 at 1.]
Likewise, Plaintiffs propose that the following two subclasses be certified in this case: those who
owned property within this Affected Area and those who resided within this Affected Area
between 1952 and 2013. Id. at 2. The Affected Area is defined as “a parabolic shape extending
4,000 feet to the North of the on-Site smoke stacks, 12,000 feet to the East, 4,000 to the South,
and 3,000 to the West.” Id. at 1.
In support of their Motion, Plaintiffs have submitted voluminous information and
evidence comprised of various affidavits, memoranda, scientific data, maps, and depositions.
[See generally R. 252 and documents attached thereto.] Plaintiffs seek certification under any of
the provisions of Fed. R. Civ. P. 23(b) that will permit their proposed class to proceed, seeking
both an injunction and a variety of forms of other damages, including pecuniary damages for
personal injury and financial and property losses, as well as “damages for the diminution in the
value of their properties, additional compensatory and punitive damages, and the establishment
of a Court supervised medical monitoring program.” [R. 251 at 1; R. 211 at ¶ 28.]
Defendants oppose the certification of Plaintiffs’ proposed class and subclasses, having
already unsuccessfully moved to strike the proposed class allegations. [R. 44; R. 110.] In their
Memorandum of Law in Opposition to Plaintiffs’ Motion for Class Certification, Defendants
jointly contest not only Plaintiffs’ standing under Article III of the United States Constitution,
2
In their Fourth Amended Complaint, Plaintiffs’ initially described the class as “all persons who between 1952 and
2013 have owned property or resided within a five-mile radius of the site.” [R. 211 at ¶ 10.]
4
but also argue that Plaintiffs have failed to satisfy any prong of Rule 23(a) or Rule 23(b). [R.
268.]
II
A
This Court has broad discretion in deciding whether to certify a proposed class.
Pipefitters Local 636 Ins. Fund v. Blue Cross Blue Shield of Mich., 654 F.3d 618, 629 (6th Cir.
2011); In re Am. Med. Sys., Inc., 75 F.3d 1069, 1079 (6th Cir. 1996). This is so because a “class
action is ‘an exception to the usual rule that litigation is conducted by and on behalf of the
individual named parties only,’” and is subject to strict requirements under Rule 23. Wal-Mart
Stores, Inc. v. Dukes, 564 U.S. 338, 348 (2011) (quoting Califano v. Yamasaki, 442 U.S. 682,
700–01 (1979)). To warrant certification, class members must not only satisfy Article III
standing requirements, but must also “satisfy all four of the Rule 23(a) prerequisites—
numerosity, commonality, typicality, and adequate representation—and fall within one of the
three types of class actions listed in Rule 23(b).” Young v. Nationwide Mut. Ins. Co., 693 F.3d
532, 537 (6th Cir. 2012) (citing Sprague v. Gen. Motors Corp., 133 F.3d 388, 397 (6th Cir. 1998)
(en banc)). “The party seeking class certification has the burden to prove the Rule 23
certification requirements.” Id. (citing In re Am. Med. Sys., Inc., 75 F.3d at 1079). The party
opposing certification need not disprove the requirements. See id.
The requirements for standing outlined by Article III of the United States Constitution
apply equally to class action lawsuits. Sutton v. St. Jude Medical S.C., Inc., 419 F.3d 568, 570
(6th Cir. 2005). The “irreducible” constitutional minimum of standing contains three elements:
an injury in fact, a causal connection, and likely redressability. Lujan v. Defenders of Wildlife,
504 U.S. 555, 560–61 (1992). The plaintiff in a suit must have suffered an “injury in fact,”
5
defined as “an invasion of a legally protected interest which is (a) concrete and particularized,
and (b) actual or imminent, not conjectural or hypothetical.” Id. at 560 (internal citations
omitted). Next, the plaintiff must demonstrate a “causal connection” between this injury and the
alleged conduct of the defendant; “the injury has to be fairly traceable to the challenged action of
the defendant, and not the result of the independent action of some third party not before the
court.” Id. (internal citations omitted). Finally, a favorable decision for the plaintiff must likely
redress this injury, and relief must be more than merely speculative. Id. at 561.
Plaintiffs seeking the certification of a class must prove two additional components in
order to show they have standing to proceed as a class. The proposed class must be identifiable
and unambiguous, and the named representatives must be members of the proposed class.
Pilgrim v. Universal Health Card, LLC, No. 5:09-cv-879, 2010 WL 1254849, *1 (N.D. Ohio
Mar. 25, 2010), aff’d, 660 F.3d 943 (6th Cir. 2011). In a properly defined class, only members
who have standing to file suit in their own right would be included. Chaz Concrete Co., LLC v.
Codell, No. 3:03-cv-52-KKC, 2006 WL 2453302, at *6 (E.D. Ky. Aug. 23, 2006). For that
reason, the Court may deem a proposed class overly broad if such a class would incorporate
members who neither have suffered harm nor are at risk to suffer such harm at the hands of the
defendant. Id. (quoting McGee v. East Ohio Gas Co., 200 F.R.D. 382, 388 (S.D. Ohio 2001).
The Court is not required to inquire into the merits of the case in order to determine
whether a person is a member of a class. Bostick v. St. Jude Med., Inc., No. 03-2626 BV, 2004
WL 3313614, *16 (W.D. Tenn. 2004). Rather, “[f]or a class to be sufficiently defined, the court
must be able to resolve the question of whether class members are included or excluded from the
class by reference to objective criteria.” Young v. Nationwide Mut. Ins. Co., 693 F.3d 532, 538
(6th Cir. 2012) (quoting 5 James W. Moore, et al., Moore’s Federal Practice § 23.21[3]
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(Matthew Bender, 3d ed. 1997)). Plaintiffs, as the party invoking jurisdiction, bear the burden of
proof on each requirement for standing. Id.; see also Beattie v. CenturyTel, Inc., 511 F.3d 554,
560 (6th Cir. 2007).
Plaintiffs argue their proposed class satisfies all of these standing requirements. [R. 2511 at 26–28.] Plaintiffs maintain their proposed class definition is sufficient because “it includes a
particular group (property owners and residents), that were [sic] harmed by a continuous and
cumulative course of action by Defendants during a particular time frame (from 1952 to present),
in a particular location (the Affected Area), and in a particular way (contamination by lead,
arsenic, and TCE).” Id. at 26–27.
Likewise, Plaintiffs claim their proposed class satisfies the Lujan standing requirements
because their expert reports sufficiently satisfy all of the components. Id. at 27. Plaintiffs
address neither causation nor redressability in their Motion. Id. Presumably, however, Plaintiffs
implicitly rely on the opinion of Maurice Lloyd to show causation and the opinions of Paul
Lanthier and Dr. John Kilpatrick to show redressability. See, e.g., id. at 16–18; 18–19; 23–24.
Similarly, although not explicitly, it may be inferred that the opinions of Dr. David Changaris,
Dr. Haley Godby, and Dr. Albert Westerman are offered in support of the personal injury in fact
component, while the opinions of Maurice Lloyd and Vance Mosley have been offered in
support of the property-damage injury in fact component. Compare id. at 24–25, with id. at 14–
15.
Defendants counter that the evidence and pleadings of the named Plaintiffs fail to satisfy
Article III, arguing the named Plaintiffs have failed to prove the proposed class has standing. [R.
298 at 10–12.] Specifically, Defendants argue the named Plaintiffs have shown neither that
every member of the proposed class has suffered a personal injury nor that each property that
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falls within the Affected Area has been diminished in value by Defendants. Id. at 11.
Defendants also contend the proposed class definitions constitute a “fail safe” class. Id. at 12.
Defendants are right to raise these issues. 3
Because at this state Article III issues in this case are dependent on whether a class is
certified, of standing will be resolved as informed by Rule 23. Amchem Prods., Inc. v. Windsor,
521 U.S. 591, 612–13 (1997). This Court “therefore follow[s] the path” taken by the Supreme
Court, “mindful that Rule 23’s requirements must be interpreted in keeping with Article III
constraints, and with the Rules Enabling Act, which instructs that rules of procedure ‘shall not
abridge, enlarge, or modify any substantive right.’” Id. at 613 (quoting 28 U.S.C. § 2072(b)); see
also Fed. R. Civ. P. 82.
B
A prospective class must meet a total of seven independent requirements. Two of these
stem from Article III’s standing requirements: “an identifiable class must exist and the definition
of the class must be unambiguous, and the named representative must be a member of the class.”
Pilgrim v. Universal Health Card, LLC, No. 5:09-cv-879, 2010 WL 1254849, *1 (N.D. Ohio
3
A litany of cases exist where similar problems were found to be dispositive of the class certification issue. See,
e.g., Thomas v. FAG Bearings Corporation, 846 F. Supp. 1400 (W.D. Mo. 1994) (denying motion for class
certification in groundwater contamination lawsuit because evidence demonstrated that proof of causation and
measure of damages precluded the proposed class from sharing common questions of law or fact); McGuire v. Int’l
Paper Co., No. 1:92-CV-593BRR, 1994 WL 261360 (S.D. Miss. Feb. 18, 1994) (finding that, upon motion for class
certification, proximate causation would have to be established on an individualized basis since the plaintiffs’ toxic
tort claims against a paper mill company covered a span of a number of years); Brown v. Se. Pa. Transp. Auth., No.
86-2229, 1987 WL 9273 (E.D. Pa. Apr. 9, 1987) (denying a motion for class certification for PCB property damage
claims, but granting the motion as to personal injury claims); see also Benefield v. Int’l Paper Co., 270 F.R.D. 640,
644 (M.D. Ala. 2010) (holding that plaintiffs’ two-mile radius class definition for an environmental contamination
suit failed because their experts could not say whether every home in the boundary showed signs of damages from
the defendant manufacturer’s activity); Cochran v. Oxy Vinyls LP, No. 3:06-cv-364-H, 2008 WL 4146383 (W.D.
Ky. Sept. 2, 2008) (holding that plaintiffs’ two-mile radius class definition failed at the class certification phase
because plaintiffs had offered “no meaningful evidence that [contaminants from the defendant’s plant] spread in a
uniform fashion in all directions from Defendants’ facility for a distance of up to two miles”) (emphasis added).
8
Mar. 25, 2010), aff'd, 660 F.3d 943 (6th Cir. 2011) (citations omitted). The remaining five
requirements stem from Rule (a) and (b):
(1) the class is so numerous that joinder of all members is impracticable; (2) there
are questions of law or fact common to the class; (3) the claims or defenses of the
representative parties are typical of the claims or defenses of the class; and (4) the
representative parties will fairly and adequately protect the interests of the class.
Finally, “In addition to the prerequisites of Rule 23(a), a party seeking class
certification must show that the class action is maintainable under Rule 23(b).”
Id. (citations omitted). There must be a statement of the facts indicating that each requirement of
the rule is fulfilled. Pipefitters Local 636 Ins. Fund v. Blue Cross Blue Shield of Mich., 654 F.3d
618, 629 (6th Cir. 2011).
“Rule 23 does not set forth a mere pleading standard. A party seeking class certification
must affirmatively demonstrate his compliance with the Rule.” Wal-Mart Stores, Inc. v. Dukes,
564 U.S. 338, 350 (2011). Dukes verified that the district court should not merely presume that
the plaintiffs’ allegations in the complaint are true for the purposes of class motion without
resolving factual and legal issues. See Gooch v. Life Investors Ins. Co. of Am., 672 F.3d 402, 417
(6th Cir. 2012); see also In re Am. Med. Sys. Inc., 75 F.3d 1069, 1081 (6th Cir. 1996) (holding
that individual proofs, which “vary from plaintiff to plaintiff,” do not satisfy Rule 23(a)).
Rather, this Court must “probe behind the pleadings before coming to rest on the certification
question.” 4 Dukes, 564 U.S. at 350 (quoting Gen. Tel. Co. of Sw. v. Falcon, 457 U.S. 147, 160
(1982)).
4
Generally, courts should not consider the merits of a suit at the class certification stage. Eisen v. Carlisle and
Jacqueline, 417 U.S. 156, 177–78 (1974) (“We find nothing in either the language or history of Rule 23 that gives a
court any authority to conduct a preliminary inquiry into the merits of a suit in order to determine whether it may be
maintained as a class action.”). Wal-Mart Stores, Inc. v. Dukes, however, indicates some flux within the law, noting
that “some overlap with the merits of the plaintiff’s underlying claim” is inevitable at the class certification stage.
564 U.S. at 351.
9
1
a
Initially, Rule 23(a)(1) requires a proposed class to be “so numerous that joinder of all
members is impracticable.” A proposed class may satisfy this requirement by demonstrating the
impracticality of joinder. See, e.g., Fox v. Massey-Ferguson, Inc., 172 F.R.D. 653, 660 (E.D.
Mich. 1995) (“The numerosity requirement mandates that the joinder of all plaintiffs be
impracticable—not impossible.”). There is no magic number or strict test for determining
impracticality of joinder. Senter v. General Motors Corp., 532 F.2d 511, 523 n. 24 (6th Cir.
1976). “When class size reaches substantial proportions . . . the impracticability requirement is
usually satisfied by the numbers alone.” In re Am. Med. Sys. Inc., 75 F.3d 1069, 1079 (6th Cir.
1996); see also 1 Herbert B. Newberg & Alba Conte, Newberg on Class Actions, § 3.11 (3d ed.
2011).
Regardless, in determining practicability, a court should also consider the geographic
dispersion of the proposed class, the sophistication of proposed class members, and the
reluctance of individual class members to sue. 7A Wright & Miller, Federal Practice and
Procedure § 1762 (3d. ed.); see also Roman v. Korson, 152 F.R.D. 101, 105–06 (W.D. Mich.
1993); Young v. Trailwood Lakes, Inc., 61 F.R.D. 666, 668 (E.D. Ky. 1974). “When a class
numbers in the hundreds or thousands, the impracticability of joinder is obvious.” Mich. State
Univ. Faculty Ass’n v. Mich. State Univ., 93 F.R.D. 54, 56 n. 1 (W.D. Mich. 1981); see also
Newberg at § 3:12. For that reason, proposed classes with hundreds of members are routinely
held to satisfy the numerosity requirement. Mich. State Univ. Faculty Ass’n, 93 F.R.D. at 56. In
fact, courts have certified classes with as few as eighteen members. See, e.g., Cypress v.
Newport News Gen. and Nonsectarian Hosp. Ass’n, 375 F.2d 648, 653 (4th Cir. 1967) (“We
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further are of the opinion that eighteen is a sufficiently large number to constitute a class.”); see
also Brady v. Thurston Motor Lines, 726 F.2d 136, 145 (4th Cir. 1984) (“[W]e are unwilling as a
matter of law to hold that a class of 74 persons does not meet the requirement of numerosity.”).
Some courts hold that “a class of 40 or more members is sufficient to establish numerosity.”
Appoloni v. United States, 218 F.R.D. 556, 561 (W.D. Mich. 2003). All of this leads to the
conclusion that, in determining whether to certify a class, it is not necessary for a court to know
the precise number of class members. Rather, the Court may rely upon reasonable inferences
drawn from the known facts. In re Am. Med. Sys., Inc., 75 F.3d at 1079.
b
Various precedents cited by the parties inform this Court’s analysis. Plaintiffs cite Duffin
v. Exelon Corp., No. Civ. A. 06-C-1382, 2007 WL 845336 (N.D. Ill. Mar. 19, 2007), in support
of the proposition that they have established standing and numerosity sufficient to proceed as a
class action. [R. 251-1 at 27–28]. In Duffin, the plaintiffs alleged a nuclear plant unlawfully
leaked six million gallons of tritium-contaminated water over a period of four years into the
communities surrounding the plant. 2007 WL 845336, at *1. The contamination was alleged to
have affected areas within a roughly five-mile radius of the plant, resulting in damages to the
properties within that radius. Id. Although the court found the allegations were sufficient to
establish the Lujan standing requirements, the class, under Article III of the United States
Constitution, was found to be overbroad. Id. at *2–3. The proposed class also failed under Rule
23 because the overbroad class definition did not meet the requirements for numerosity. Id. at
*5.
Defendants have raised Article III issues with members of the proposed class. [R. 268 at
10–12.] Such lack of standing could prohibit a finding of numerosity within the Plaintiffs’
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proposed class, but the Court has already declined to reach this issue. See, supra, Section II.B.1.
Plaintiffs have identified 3,000 distinct parcels of property to be included in the proposed class.
[R. 290 at 4.] The number of individuals living on these properties would presumably establish
numerosity if all individuals had standing. See In re Am. Med. Sys., 75 F.3d 1069, 1079 (6th Cir.
1996). However, because the Court finds that the Plaintiffs failed to meet the other requirements
under Rule 23, this Court need not reach the constitutional implications of class standing and
issues related to numerosity. See Communist Party of the U.S. v. Subversive Activities Control
Bd., 351 U.S. 115, 123 (1956).
2
Next, in order for a class to be certified under Rule 23(a)(2), there must be “questions of
law or fact common to the class.” This is because, where there are common questions of law or
fact, “the class-action device saves the resources of both the courts and the parties by permitting
an issue potentially affecting every class member to be litigated in an economical fashion under
Rule 23.” Gen. Tel. Co. of Sw. v. Falcon, 457 U.S. 147, 155 (1982) (quoting Califano v.
Yamasaki, 442 U.S. 682, 700–01 (1979)). Traditionally, it has been the rule that to satisfy the
commonality requirement of Rule 23(a)(2), only one single issue that is common to all members
of the class is required, not multiple issues.5 In re Am. Med. Sys. Inc., 75 F.3d 1069, 1080 (6th
Cir. 1996); Alkire v. Irving, 330 F.3d 802, 820 (6th Cir. 2003) (“Although Rule 23(a)(2) refers to
common questions of law or fact, in the plural, there need only be one question common to the
class—though that question must be a ‘common issue the resolution of which will advance the
litigation.’”) (quoting Sprague v. Gen. Motors, 133 F.3d 388, 397 (6th Cir. 1998)). The language
5
Many courts have held that when the legality of the defendant’s standardized conduct toward all members of the
proposed class is at issue, the commonality factor is ordinarily met. See Appoloni v. United States, 218 F.R.D. 556,
561 (W.D. Mich. 2003); Bentley v. Honeywell Int’l, Inc., 223 F.R.D. 471, 481 (S.D. Ohio 2004) (“Where, as here,
Plaintiffs allege a common course of conduct by Defendants that caused harm, class certification is proper.”).
12
of commonality, however, “is easy to misread, since ‘[a]ny competently crafted class complaint
literally raises common “questions.”’” Wal-Mart Stores, Inc. v. Dukes, 564 U.S. 338, 349 (2011)
(quoting Richard A. Nagareda, Class Certification in the Age of Aggregate Proof, 84 N.Y.U. L.
Rev. 97, 131–132 (April 2009)). The essential commonality inquiry, therefore, is not whether
common questions exist, “but rather the capacity of a classwide proceeding to generate common
answers apt to drive the resolution of the litigation.” Id. at 350 (quoting Nagareda, supra, at
132). Dissimilarities between members of the proposed class can potentially impede the
satisfaction of this requirement. Id. Indeed, “[c]ommonality requires the plaintiff to demonstrate
that the class members ‘have suffered the same injury.’” Id. at 349–50 (emphasis added)
(quoting Falcon, 457 U.S. at 157).
Similar to their argument for numerosity, Plaintiffs cite Mejdrech v. Met-Coil Sys. Corp.,
319 F.3d 910 (7th Cir. 2003), and Cochran v. Oxy Vinyls LP, No. 3:06-cv-364-H, 2008 WL
4146383 (W.D. Ky. Sept. 2, 2008), in support of the proposition that their proposed class
satisfies the commonality requirement of Rule 23(a). [R. 251-1 at 29–30.] Cochran declined to
permit the certification of any Rule 23 class action, finding the plaintiffs’ generalized
assumptions insufficient. 2008 WL 4146383, at *13. In contrast, Mejdrech upheld the
certification of a Rule 23(b)(3) class made up of roughly one thousand residents of houses
located within one mile of a factory that allegedly had leaked a noxious solvent (TCE) into the
soil and groundwater under the class members’ houses, resulting in diminished property values.
319 F.3d at 911; see also Mejdrech v. Lockformer Co., No. 01-C-6107, 2002 WL 1838141 (N.D.
Ill. Aug. 12, 2002). But Mejdrech is distinguishable from the one at bar. First, the proposed
class in Mejdrech was significantly smaller than the proposed class here, which includes all
individuals or legal entities that own property within an eight thousand by fifteen thousand foot
13
“Affected Area” and all individuals who have resided within that space at any time from 1952
and November 27, 2013. [R. 251 at 1–2.] Second, the proposed class in Mejdrech sought only
property damages resulting from the contamination of one substance. Even in Mejdrech, the
damages were determined on an individual basis. 319 F.3d at 911–12. Here, the proposed class
seeks to recover damages for personal injury and property damages resulting from not one, but
at least twenty-five different substances. 6 [R. 251–1 at 1–4.] Finally, Mejdrech, a persuasive
opinion of the Seventh Circuit, restricted its own result to cases with “issues identical across all
the claimants.” Mejdrech, 319 F.3d at 911 (emphasis added). Here, although there are some
common questions pertinent to the case, the issues are not identical across all the claimants,
failing the crux of the Mejdrech result.
Plaintiffs also cite Sterling v. Velsicol Chem. Corp. in support of their argument in favor
of their satisfaction of the commonality inquiry. 855 F.2d 1188 (6th Cir. 1988). Sterling found
certification proper for a Rule 23(b)(3) class in the presence of a landfill, which was determined
to be the source of groundwater contamination within roughly one thousand acres surrounding
the landfill site. Sterling, 855 F.2d at 1192–94. In finding that the particular class at issue was
permissible with common issues “identical” across claimants, Sterling noted “the problem of
individualization of issues often is cited as a justification for denying class action treatment in
mass tort accidents.” Id. at 1196–97 (emphasis added); see also id. at 1196 n.8 (citing Fed. R.
Civ. P. 23, Advisory Committee’s Note to 1966 Amendment, 39 F.R.D. 69, 103 (1966)).
Sterling then limited class action treatment to the sole issue of determining liability, finding the
damage calculations inappropriate for class resolution. Id. at 1197. District courts retain broad
6
The inclusion of personal injury claims does not per se destroy commonality. See in re NFL Players Concussion
Injury Litig., 821 F.3d 410, 426–27 (3d Cir. 2016). However, the cases cited by the Plaintiffs involve either
property damages or personal injury damages, suggesting potential disparities of interest exist between plaintiffs
seeking only property damages, plaintiffs seeking only personal injury damages, and plaintiffs seeking both.
14
discretion to determine whether certification of a class action is proper, reviewed only for an
abuse of discretion. Id. But, for complex, mass, toxic tort accidents, no single proximate cause
can apply equally to each potential class member, causing individual issues outnumber common
issues. Id. To resolve these controversies, the district court should question the appropriateness
of a class action. Id.
This Court finds here significant individual issues that outnumber common issues,
precluding the use of “common answers” to further the case at trial, and barring certification of
the proposed class. Wal-Mart Stores, Inc. v. Dukes, 564 U.S. 338, 349–50 (2011). Perhaps
chiefly problematic is that the named Plaintiffs have such an enormous variety of issues between
them, each of which presents a unique question of both actual and proximate causation. This
leads the Court to doubt the typicality of the named Plaintiffs’ claims. As Plaintiffs’ own expert
conceded during his deposition,
DR. CHANGARIS: The challenge is that even in this population you’ve got one
person who is blind and another person who is old and a lot of these tests are not—
how shall I say—physically possible. [Some of the named Plaintiffs] can’t complete
one test, but they can complete another test. Part of the VNG is a balance test, which
is much more easily achievable, but if they are missing a leg, as one of these souls,
you’ve got a problem. So trying to construct, if you will, a flowchart for coming up
with making someone a true member [of this class] is going to take some dialogue
and some thought. . . .
QUESTION: Do you have any opinion at all as to a specific number of people in
the proposed class area that might have these physical symptoms?
DR. CHANGARIS: I have no clue. . . .
[R. 268-1 at 10–11, 14–15.]
Defendants discuss Plaintiffs’ reliance on Sterling in their response. [R. 268 at 21–22.]
Therein, Defendants insist that Plaintiff’s reliance on Sterling is not only misplaced, but also
unlawful. Id. The Sixth Circuit decided Sterling nearly ten years prior to the Supreme Court
15
issued the decision in Amchem Prods., Inc., and nearly twenty years prior to the decision in WalMart v. Dukes. Id. While this Court would not go so far as to assert that Sterling has been
overruled, this Court finds Defendants’ argument persuasive in this case, especially in the
presence of such similar circumstances to those in Amchem Prods., Inc., as will be discussed
later in this Order.
This Court also finds one enormous shortcoming in Plaintiffs’ discussion of the
commonality inquiry: Plaintiffs’ abject failure to mention Wal-Mart v. Dukes in either their
initial motion or their reply. Dukes concerned class certification under Rules 23(a) and Rule
23(b)(2), where the plaintiffs sought to introduce “statistical and anecdotal” evidence that there
were significant disparities in the number of women and men promoted at individual Wal-Mart
stores. 564 U.S. 338, 353–54, 356 (2011). This evidence was insufficient to satisfy the
commonality requirement of Rule 23(a), because it was overly broad and failed to establish
promotional disparities between Wal-Mart stores. Id. at 356–57. Dukes’ analysis sets the
modern standard for a commonality inquiry under Rule 23(a), which is “much more rigorous and
thus more difficult to meet.” Erwin Chemerinsky, New Limits on Class Actions, 47 Trial 54, 54
(2011). Dukes left this Court with the following directive for determining commonality:
What matters to class certification is not the raising of common questions—even in
droves—but, rather the capacity of classwide proceedings to generate common
answers apt to drive the resolution of the litigation. Dissimilarities within the
proposed class are what have the potential to impede the generation of common
answers.
Dukes, 564 U.S. at 350 (internal citations omitted). Under Dukes, “[c]ommonality requires the
plaintiff to demonstrate that the class members ‘have suffered the same injury.’” Id. at 349–50
(emphasis added) (quoting Gen. Tel. Co. of Sw. v. Falcon, 457 U.S. 147, 157 (1982)). Further, a
16
plaintiff must identify the specific challenged behavior or practice. Id. at 357 (quoting Watson v.
Fort Worth Bank & Trust, 487 U.S. 977, 994 (1988)).
Defendants acknowledge that the named Plaintiffs have alleged the same legal theories,
seek the same general forms of relief, and have claims that arise from the same general set of
circumstances. [R. 268 at 13–14; see also R. 211; R. 251-1 at 37–38.] But, as Defendants
correctly state, these elements are true in every case with multiple plaintiffs. [R. 268 at 14.]
Plaintiffs point to In re NFL Concussion Injury Litigation to demonstrate that commonality may
exist even when the plaintiffs were injured in different ways or during different periods. [R. 290
at 5.] However, the questions and answers regarding the NFL’s conduct were the same. In re
NFL Concussion Injury Litig., 821 F.3d 410, 427 (3d Cir. 2016). Instead, Plaintiffs here present
too many potential substances and potential injuries to elicit common answers. For example,
causation of one disease based on the alleged contamination of lead fails to present the same
legal question as the causation of a different disease based on contamination of TCE. Plaintiffs
ask this Court to find commonality in the allegations of contamination by Defendants with any or
all the listed substances. With these bare assertions, Plaintiffs miss the mark. “What matters to
class certification is not the raising of common questions—even in droves—but, rather the
capacity of classwide proceedings to generate common answers.” Dukes, 564 U.S. at 350.
Plaintiffs have failed to show their listed common questions will elicit common answers leading
to classwide relief. This is especially so in the presence of named Plaintiffs with such disparate
characteristics and alleged symptoms. [See, e.g., R. 211 at 2–3 ¶ 2.]
3
Under Rule 23(a)(3), “the claims or defenses of the representative parties” must be
“typical of the claims or defenses of the class.” This requirement seeks to ensure that the
17
interests of the named representatives align with the interests of the members of the proposed
class. In re Am. Med. Sys. Inc., 75 F.3d 1069, 1082 (6th Cir. 1996). A named plaintiff's claim is
typical if the claim arises from the same practice, event, or course of conduct giving rise to the
other class members’ claims, and if all claims are based on the same legal theory. Id. Although
the class representatives’ claims must be typical, “Rule 23 does not require absolute
homogeneity.” Tucker v. Union Underwear Co., Inc., 144 F.R.D. 325, 329 (W.D. Ky. 1992).
Rather, “Rule 23(a)(3) typicality ‘determines whether a sufficient relationship exists between the
injury to the named plaintiff and the conduct affecting the class, so that the court may properly
attribute a collective nature to the challenged conduct.’” Stout v. J.D. Byrider, 228 F.3d 709, 717
(6th Cir. 2000) (quoting Sprague v. General Motors Corp., 133 F.3d 388, 399 (6th Cir. 1998)).
The inquiry focuses special attention on “differences between class representative claims and
class claims that would defeat the representative nature of the class action.” Van Vels v. Premier
Athletic Center of Plainfield, Inc., 182 F.R.D. 500, 510 (W.D. Mich. 1998) (citations omitted).
Plaintiffs cite Senter v. Gen. Motors Corp., arguing the claims of the representatives need
only involve common elements of fact or law to satisfy the requirement of typicality. 532 F.2d
511, 525 n.31 (6th Cir. 1976). While accurate, this does not lead to the automatic conclusion that
the named Plaintiffs’ claims are typical of the class. See In re Am. Med. Sys., Inc., 75 F.3d at
1082. Defendants are correct to note that individual issues pertaining to each named Plaintiff
could be sufficient to indicate a failure of the typicality requirement. [R. 268 at 14–16.] As
discussed, there are a number of potential issues with the named Plaintiffs, including their
disparate age, unrelated health conditions, and varied living conditions and habits. Id. At least
two of the named Plaintiffs, for instance, live in a house built out of materials potentially
unlawfully taken from Defendants’ facilities, including former furnace bricks and “lead glass in
18
the mortar work,” presenting a wholly unique factual scenario. [R. 211 at 2–3 ¶ 2.] “The premise
of the typicality requirement is simply stated: as goes the claim of the named plaintiff, so go the
claims of the class.” Sprague, 133 F.3d at 399. While all potential class members allegedly
suffer from balance disorders, the named Plaintiffs have also claimed to suffer from various
other diseases purportedly caused by contamination from various substances. [R. 211 at ¶¶ 2–4.]
The Court recognizes that the potential class members need not share identical personal and/or
medical histories. See In re NFL Players Concussion Injury Litig., 821 F.3d 410, 420 (3d Cir.
2016). But, the distinct nature of these numerous diseases that Plaintiffs attempt to link to
Defendants’ alleged acts of contamination presents too many individualized issues. This Court
finds the common suffering of balance disorders does not cure this defect. These varied factors
could affect the claims of the named Plaintiffs’ claims without addressing the claims of the
unnamed class members, a clear indicator the proposed class lacks typicality.
4
Finally, Rule 23(a)(4) allows a class to be certified only if “the representative parties will
fairly and adequately protect the interests of the class.” This is an essential prerequisite for due
process, as a final judgment in a class action binds all class members. In re Am. Med. Sys. Inc.,
75 F.3d 1069, 1083 (6th Cir. 1996) (citing Hansberry v. Lee, 311 U.S. 32 (1940)). This circuit
applies a two-part test for determining the adequacy of representation. First, the named
representatives “must have common interests with the unnamed members of the class,” and
second, it must be apparent that the named representatives “will vigorously prosecute the
interests of the class through qualified counsel.” Senter v. General Motors Corp., 532 F.2d 511,
525 (6th Cir. 1976). This “adequate representation requirement overlaps with the typicality
19
requirement because in the absence of typical claims, the class representative has no incentives
to pursue the claims of the other class members.” In re Am. Med. Sys., Inc., 75 F.3d at 1083.
The named Plaintiffs also argue that they are adequate representatives of the class. Based
on the holding in Adams v. Fed. Materials Co., Plaintiffs claim adequacy is presumed in the
absence of contrary evidence. 2006 WL 3772065 (W.D. Ky. Dec. 19, 2006). This is false. This
Circuit applies a two-part test to determine adequacy of representation. First, the named
representatives must have common interests with the unnamed members of the class, and also, it
must be apparent that the named representatives will vigorously prosecute the interests of the
class through qualified counsel. Senter, 532 F.2d at 525; In re Dry Max Pampers Litig., 742
F.3d 713 (6th Cir. 2013). This requirement for adequate representation overlaps with the
requirement for typicality. Without typical claims, the representative plaintiffs have no incentive
to pursue further claims of other class members. In re Am. Med. Sys., Inc., 75 F.3d at 1083.
Because their injuries are analogous to injuries of the proposed class, Plaintiffs believe they have
satisfied the first prong of this test. Similarly, Plaintiffs argue they have satisfied the second
requirement by participation in the action and obtaining qualified counsel. [R. 251-1 at 31–32.]
But the analysis is not so straightforward. In their Fourth Amended Complaint, the
named Plaintiffs identified their specific illnesses: Rosetta Ford “suffers from diabetes, a
bleeding ulcer, gout, chronic bronchitis, and [atrial fibrillation] due to a heart valve problem”;
Gary Ford “has trouble breathing and nerve problems in his extremities”; Otis Ford “was
diagnosed with prostate cancer in 2005 and had surgery in 2006 to remove his prostate”; Charles
Ford “was diagnosed with a brain tumor on his pituitary gland in 2006,” and, when the tumor
was removed, “he lost sight in his right eye”; Bobbie Lemons “was diagnosed with multiple
sclerosis in 2008.” [R. 211 at ¶¶ 2–4.] Then, the named Plaintiffs went on to complain of at least
20
twenty-six general illnesses, capable of resulting from exposure to at least twenty-five substances
allegedly released by Defendants. [R. 211 at ¶ 43; R. 251-1 at 4.] Interestingly, however, while
Rosetta Ford claims several illnesses, she suffers from zero of the diseases listed in the complaint
as potentially resulting from exposure to the listed toxic substances. [Compare R. 211 at ¶ 2,
with id. at ¶ 39, and id. at ¶ 43.] Similarly, Charles Ford was diagnosed with a pituitary tumor,
Otis Ford was diagnosed with prostate cancer, and Bobbie Lemons suffers from multiple
sclerosis. [R. 211 at ¶¶ 2–4.] While they complain of other ailments, only these three are listed
by Plaintiffs as diseases caused by the alleged contamination. [Compare R. 211 at ¶¶ 2–4, with
id. at ¶ 39, and id. at ¶ 43.] Collectively, and on the face of their pleadings, the named Plaintiffs
suffer from only three out of twenty-six of the listed diseases, or 11.5% of the named ailments.
Id. The named Plaintiffs cannot be adequate representatives of the class when they do not suffer
from the injuries complained of. 7 See Senter, 532 F.2d at 525; In re Dry Max Pampers Litig.,
742 F.3d 713.
The named Plaintiffs’ Lone Pine disclosures are consistent with these conclusions. [See
R. 175; R. 176; R. 177; R. 178; R. 179; R. 180; R. 181; R. 182; R. 183.] In these disclosures, the
named Plaintiffs generally provide support for the proposition that they may all suffer from
balance disorders associated with and resulting from exposure to toxic substances. Assuming for
the sake of argument that these allegations are true, however, the named Plaintiffs’ have still not
shown that they are adequate representatives of the proposed class. Although the medical reports
7
This Court is also concerned with the conflict of interests arising from currently injured class members and those
who do not yet present symptoms from alleged exposure to toxic substances. Those who already suffer injuries seek
immediate payments, while those complaining only of exposure may require different forms of damages. Amchem
Prods., Inc. v. Windsor, 521 U.S. 591, 626 (1997). These goals are contradictory. Id. The fact that many potential
class members do not currently exhibit symptoms is also problematic for purposes of adequate notice under Rule
23(c)(2)(B). “Even if they fully appreciate the significance of class notice, those without current afflictions may not
have the information or foresight needed to decide, intelligently, whether to stay in or opt out [of the class].” Id. at
628.
21
reveal some symptoms of the diseases the named Plaintiffs claim to suffer from, these diseases
do not generally differ from those provided in the Fourth Amended Complaint, which was
submitted after the named Plaintiffs’ Lone Pine disclosures were filed in the Record. [Compare
R. 175, and documents filed sequentially, (filed February 2, 2016), with R. 211 (filed July 26,
2016).] Together, the Fourth Amended Complaint and the named Plaintiffs’ Lone Pine
disclosures generally reveal that the named Plaintiffs do not adequately represent proposed class
members who allegedly suffer from the more than twenty other diseases listed in the Fourth
Amended Complaint. Id. Further assuming that the named Plaintiffs and every person who has
lived in the Affected Area at any time from 1952 to 2013 suffers from these same balance
disorders, the named Plaintiffs would still not be adequate representatives. The named Plaintiffs
have unique medical histories and factual backgrounds, which may affect determinations of
causation. [See, e.g., R. 211 at 2–3 (two of the named Plaintiffs live in a house built out of
pieces of the plant); R. 268-1 at 19–20 (one of the named Plaintiffs is partially blind, one is
missing a leg, etc.).]
Additionally, while Plaintiffs identify 3,000 distinct parcels of property, these properties
are not all similarly situated in relation to the Defendants’ property. Variations in distance to the
alleged source of contamination, as well as distances to other potential sources of contamination,
may affect the typicality of the named Plaintiffs’ claims. Even assuming a proposed class
satisfies the stringent requirements of Article III and Rule 23(a), however, the proposed class
may still not proceed. This is because the proposed class must also satisfy the seventh
requirement: qualifying under a prong of Rule 23(b).
22
C
1
Rule 23(b)(1) applies when separate adjudications will create a risk of decisions that are
either inconsistent with or dispositive of other class members’ claims. This provision, however,
is restricted. A Rule 23(b)(1)(A) class action is only appropriate “when ‘the party is obliged by
law to treat the members of the class alike,’ for example when the class touches upon how a
utility company interacts with its customers or how the government imposes a tax.” Pipefitters
Local 636 Ins. Fund v. Blue Cross Blue Shield of Mich., 654 F.3d 618, 633 (6th Cir. 2011)
(quoting Amchem Prods., Inc. v. Windsor, 521 U.S. 591, 614 (1997)). “Certification is not
appropriate simply because ‘some plaintiffs may be successful in their suits against a defendant
while others may not.’” Id. (quoting In re Bendectin Prod. Liab. Litig., 749 F.2d 300, 305 (6th
Cir. 1984)). Similarly, a Rule 23(b)(1)(B) class action is only appropriate when the suit threatens
to impair or dispose of the rights and interests of absent class members, as in the case of lawsuits
filed by shareholders or against trustees, or where there is a limited fund available to pay
damages. See generally Ortiz v. Fibreboard Corp., 527 U.S. 815 (1999).
2
Rule 23(b)(2) applies exclusively in cases when class members seek the same declaratory
or injunctive relief and do not assert individualized claims for damages. Wal-Mart Stores, Inc. v.
Dukes, 564 U.S. 338, 360–61 (2011). Generally, claims for monetary relief are inappropriate
under Rule 23(b)(2). Id.; see also id. at 363 (“Rule 23(b)(2) ‘does not extend to cases in which
the appropriate final relief relates exclusively or predominantly to money damages’” (quoting
Fed. R. Civ. P. 23, Advisory Committee’s Note to 1966 Amendment, 39 F.R.D. 69, 102 (1966))).
Rather, “‘[c]ivil rights cases against parties charged with unlawful, class-based discrimination
23
are prime examples’ of what (b)(2) is meant to capture.” Id. at 361 (quoting Amchem Prods.,
Inc. v. Windsor, 521 U.S. 591, 614 (1997)). Rule 23(b)(2) “reflects a series of decisions
involving challenges to racial segregation—conduct that was remedied by a single classwide
order.” Id. “In none of the cases cited by the Advisory Committee as examples of (b)(2)’s
antecedents did the plaintiffs combine any claim for individualized relief with their classwide
injunction.” Id. (emphasis added) (citing Advisory Committee’s Note, 39 F.R.D. at 102). This is
because permission to combine individualized and classwide relief within a single Rule 23(b)(2)
class is inconsistent with the structure of Rule 23(b).” Id.
3
Unlike Rules 23(b)(1) and 23(b)(2), Rule 23(b)(3) is “framed for situations in which
class-action treatment is not as clearly called for.” Wal-Mart Stores, Inc. v. Dukes, 564 U.S. 338,
362 (2011) (internal quotation marks and citations omitted). Rule 23(b)(1) is intended for
situations where “individual adjudications would be impossible or unworkable.” Id. at 361.
Likewise, Rule 23(b)(2) is designed for situations where the relief sought “perforce affect[s] the
entire class at once.” Id. at 361–62. Both are used in situations where “[p]redominance and
superiority are self-evident.” Id. at 363. A class may be certified under Rule 23(b)(3), however,
where predominance and superiority are not as clear and “individualized monetary claims” are
sought. Amchem Prods., Inc. v. Windsor, 521 U.S. 591, 615 (1997); Dukes, 564 U.S. at 361–63.
To qualify for certification pursuant to Rule 23(b)(3), “a class must meet two
requirements beyond the Rule 23(a) prerequisites: Common questions must ‘predominate over
any questions affecting only individual members’; and class resolution must be ‘superior to other
available methods for the fair and efficient adjudication of the controversy.’” Amchem Prods.,
Inc., 521 U.S. at 615 (quoting Fed. R. Civ. P. 23(b)(3)). This first inquiry into predominance
24
tests whether proposed classes warrant adjudication by representation. Id. at 623. Rule 23(b)(3)
superiority inquiry tests whether the proposed class action is in fact the best and most efficient
manner to adjudicate the relevant controversy. See id. at 615.
The Rule sets forth various factors pertinent to this determination, including:
(A) the class members’ interests in individually controlling the prosecution or
defense of separate actions; (B) the extent and nature of any litigation concerning
the controversy already begun by or against class members; (C) the desirability or
undesirability of concentrating the litigation of the claim in the particular forum;
and (D) the likely difficulties in managing a class action.
Fed. R. Civ. P. 23(b)(3). Although these factors are generally to be given equal weight, in some
cases, one factor alone may be dispositive. Indeed, in certain cases, denial of class certification
may be appropriate if the interests of certain included individuals are sufficiently strong.
Amchem Prods., Inc., 521 U.S. at 616 (quoting Advisory Committee’s Note, 39 F.R.D. at 104–
05). This is especially so in toxic tort cases, where individual injuries and damages are often at
issue. See id. When a suit involves claims for death and/or personal injury, the plaintiffs
asserting those claims have significant interests and individual motivations determining whether
and when to settle. Id. at 616 (quoting Georgine v. Amchem Prods., Inc., 83 F.3d 610, 633 (3d
Cir. 1996), aff’d, Amchem, 521 U.S. 591).
4
Plaintiffs seek certification under any of the provisions of Rule 23(b) that will permit
their proposed class to proceed. [R. 251 at 1]. This Court is informed both by the nature of this
action and the remedies sought. Among these remedies, Plaintiffs request injunctive relief,
pecuniary damages for personal injury and financial and property losses, as well as “damages for
the diminution in the value of their properties, additional compensatory and punitive damages,
and the establishment of a Court supervised medical monitoring program.” [R. 211 at ¶ 28.]
25
Considering the pleadings, this Court is persuaded that neither Rule 23(b)(1) nor Rule 23(b)(2)
are appropriate provisions through which to consider certifying the proposed class. See
Pipefitters Local 636 Ins. Fund v. Blue Cross Blue Shield of Mich., 654 F.3d 618, 633 (6th Cir.
2011); In re Bendectin Prod. Liab. Litig., 749 F.2d 300, 305 (6th Cir. 1984); Ortiz v. Fibreboard
Corp., 527 U.S. 815 (1999); Wal-Mart Stores, Inc. v. Dukes, 564 U.S. 338, 360–61, 363 (2011);
Amchem Prods., Inc. v. Windsor, 521 U.S. 591, 614 (1997); but see Olden v. LeFarge Corp., 383
F.3d 495 (6th Cir. 2004) (result disputed by Burkhead v. Louisville Gas & Elec. Co., 250 F.R.D.
287 (W.D. Ky. 2008) (“Quite simply, Olden properly demonstrates the latitude district courts
have in making their certification decisions, but does not dictate a particular result here.”)).
Clearly, if this matter were to proceed as a class action, the only appropriate provision through
which the proposed class could be considered would be Rule 23(b)(3). Amchem Prods., Inc.,
521 U.S. at 614–16 (1997); see also Burkhead, 250 F.R.D. 287; Cochran v. Oxy Vinyls LP, No.
3:06-CV-364-H, 2008 WL 4146383 (W.D. Ky. Sept. 2, 2008).
Rule 23(b)(3) provides certification for a proposed class if both the prerequisites of
subdivision (a) are satisfied and “the court finds that the questions of law or fact common to the
members of the class predominate over any questions affecting only individual members, and
that a class action is superior to other available methods for the fair and efficient adjudication of
the controversy.” Fed. R. Civ. Pro. 23(b)(3) (emphasis added). This predominance requirement
of Rule 23(b)(3) “parallels subdivision (a)(2) [commonality] in that both require that common
questions exist, but subdivision (b)(3) contains the more stringent requirement that common
issues ‘predominate’ over individual issues.” In re Am. Med. Sys., Inc., 75 F.3d 1069, 1084 (6th
Cir. 1996). In evaluating predominance and superiority, the Civil Rules direct this Court to
consider four additional factors, including proposed class members’ interests in individually
26
adjudicating their disputes, the extent of related litigation, the desirability of maintaining a class
action before this Court, and the likely difficulties in maintaining this action. Fed. R. Civ. P.
23(b)(3)(A)–(D).
Even though “individual damage determinations might be necessary,” a proposed class
might go forward so long as “the plaintiffs have raised common allegations which would likely
allow the court to determine liability (including causation) for the class as a whole.” Olden v.
LeFarge Corp., 383 F.3d 495, 508 (6th Cir. 2004). A court might also bifurcate a liability issue
from a damages issue under Rule 23(c)(4). Id. at 509 (“As the district court properly noted, it
can bifurcate the issue of liability from the issue of damages, and if liability is found, the issue of
damages can be decided by a special master or by another method.”). Similarly, the definition of
the proposed class need not be perfect. Should the definition of a Rule 23 class prove imperfect
after certification, the class definition may be amended. Indeed, the definition may be “subject
to refinement based upon further development of the record, and can be expanded or contracted
if the facts so warrant.” Boggs v. Divested Atomic Corp., 141 F.R.D. 58, 61–62 (S.D. Ohio
1991).
D
Consideration of all of the aforementioned Rule 23(a) factors lead this Court to determine
that class action treatment is inappropriate for this matter. Although the facts of this case present
unique issues under the elements of Rule 23(a), the unsuitability of class action treatment for this
case becomes most clear when considering the predominance and superiority requirements of
Rule 23(b)(3). Rule 23(b)(3) “parallels subdivision (a)(2) [commonality] in that both require that
common questions exist, but subdivision (b)(3) contains the more stringent requirement that
27
common issues ‘predominate’ over individual issues.” In re Am. Med. Sys., Inc., 75 F.3d 1069,
1084 (6th Cir. 1996) (quoting Fed. R. Civ. P. 23(b)(3)).
Here again, cases cited by the parties illuminate this Court’s analysis. In support of their
motion, Plaintiffs heavily rely on Sterling v. Velsicol Chem. Corp., arguing the predominance
inquiry is satisfied. 855 F.2d 1188 (6th Cir. 1988). As previously discussed, Sterling certified a
Rule 23(b)(3) class for land owners near a landfill contaminating contamination within roughly
one thousand acres surrounding the landfill site, but limited class action treatment to the sole
issue of determining liability, Id. at 1192–94, 1196–97. Sterling questioned the appropriateness
of class action treatment of liability resulting from complex, mass, toxic tort accidents. Id. at
1197.
In opposition, Defendants cite a series of toxic tort and property damage cases. In
Burkhead et al. v. Louisville Gas & Elec. Co., a property damage case, Judge Heyburn refused to
certify a Rule 23(b)(3) class action where the proposed class definition was inadequate and the
predominance inquiry was unsatisfied, among other issues. 250 F.R.D. 287, 295 (W.D. Ky.
2008) (finding that the named plaintiffs were also an inadequate “cross section” of the proposed
class). In finding the proposed class did not satisfy the Rule 23(b)(3) predominance inquiry,
Judge Heyburn heavily relied on Amchem Prods., Inc., recalling the Supreme Court’s
determination that certification “on the basis of an ‘overarching dispute about the health
consequences of asbestos’ alone was inappropriate, given the ‘greater number of questions
peculiar to’ the individual class members.” Id. at 299 (quoting Amchem Prods., Inc. v. Windsor,
521 U.S. 591, 624 (1997)). Burkhead found classwide proof of trespass and nuisance claims
would necessarily require individual testimony as to each allegedly damaged class member,
precluding certification of a class action. Id. at 300. Similarly, the plaintiffs in Cochran, et al. v.
28
Oxy Vinyls, LP, sought property damages for unlawful toxic contaminations by an industrial
plant. No. 3:06-CV-364-H, 2008 WL 4146383 (W.D. Ky. Sept. 2 2008) (Heyburn, J.). The
Court noted resemblance to Burkhead, finding these trespass and nuisance claims were not suited
for class action treatment, and evidence of causation was based upon highly individualized
testimony. Id. at *12.
Ball, et al. v. Union Carbide Corp., et al., is also revealing. In Ball, a large number of
current and former residents of a town located on former federal lands used for nuclear weapon
research and construction sued the federal officials and contractors responsible for maintaining
the former nuclear facilities. 385 F.3d 713 (6th Cir. 2004). The plaintiffs sought various forms
of damages, including medical monitoring, for personal injuries resulting from radioactive
contamination on the land. See generally id. All of the claims were dismissed by the district
court, which found class action treatment could not be sustained, and the decision was upheld by
the Sixth Circuit. Id. at 717. Noting the limitations of Sterling as a useful precedent for classaction plaintiffs, the Sixth Circuit noted that certain types of damages can preclude class action
treatment. Id. at 727–28. Requesting medical monitoring and/or environmental cleanup of
property raises predominating, individualized issues, precluding the satisfaction of Rule 23. Id.
Perhaps most notably, however, Defendants cite the Manual for Complex Litigation
(Fourth)’s discussion of toxic tort cases. [R. 268 at 21.] Therein, Defendants note that many of
the cases on which Plaintiffs rely in support of their motion are now considered obsolete. Id.
The Manual, for instance, specifically cautions class-action plaintiffs and courts against reliance
on Sterling v. Velsicol Chem. Corp., noting that the opinion “should be read with caution in light
of subsequent rulings of the Supreme Court and courts of appeals.” Manual for Complex
Litigation (Fourth) § 22.71 n.1310 (2004) [hereinafter Manual]; id. at § 22.71. In lieu of
29
reliance on cases like Sterling, the Manual strongly suggests that district courts analyzing
whether a toxic tort is eligible for class action treatment should place their analysis within the
parameters established by Amchem Prods., Inc. v. Windsor. Manual § 22.72. Since Amchem
Prods., Inc., many district courts have refused to certify classes for mass tort claims because of
dispersed personal injury or property damage. Id. Reasoning varies, but the Manual specifically
explains individual issues of exposure, causation, and/or damages can defeat predominance
under Rule 23(b)(3), rendering class action trial unmanageable. Id. Additionally, such
variations create inadequate class representation, as claims are atypical of interests of absent
class members, as this Court has previously suggested in this case. Id.
In an attempt to demonstrate the fitness of using class action suits in mass environmental
tort cases, Plaintiffs compare their action to In re Oil Spill by Oil Rig “Deepwater Horizon” in
Gulf of Mexico, on April 20, 2010 (In re Deepwater Horizon). In that case, the Eastern District
of Louisiana certified a settlement class action for individuals who lived, worked, owned, or
leased property within a certain geographic area between April 20, 2010, and April 16, 2012. In
re Deepwater Horizon, 910 F. Supp. 2d 891, 903 (E.D. La. 2012). Individuals in the class traced
their injuries to the same event: the explosion, fire, and subsequent oil spill aboard the offshore
drilling rig, Deepwater Horizon, on April 20, 2010. Id. at 915. Thus, the Deepwater Horizon
plaintiffs were able identify a specific event on a specific date that caused their injuries, resulting
in typical claims. Here, however, the named Plaintiffs attempt to address a series of events
occurring sometime during a span of over six decades and between two defendants.
Finally, this Court reaches Amchem Prods., Inc. v. Windsor, which concerned a Rule
23(b)(3) settlement class action for many individuals affected by asbestos contamination and its
various side effects. In holding that the settlement class could not satisfy the Rule 23(b)(3)
30
predominance requirement, the Supreme Court emphasized a variety of issues with toxic tort
class actions generally through its consideration of the particular facts of Amchem Prods., Inc.:
Class members were exposed to different asbestos-containing products, for
different amounts of time, in different ways, and over different periods. Some class
members suffered no physical injury or have only asymptomatic pleural changes,
while others [suffer from a variety of ailments] . . . . Each has a different history of
cigarette smoking, a factor that complicates the causation inquiry.
The exposure only plaintiffs especially share little in common, either with each
other or with the presently injured class members. It is unclear whether they will
contract asbestos-related disease and, if so, what disease each will suffer. They will
also incur different medical expenses because their monitoring and treatment will
depend on singular circumstances and individual medical histories.
Amchem Prods., Inc., 521 U.S. at 624 (quoting Georgine v. Amchem Prods., Inc., 83 F.3d 610,
626 (3d Cir. 1996)). Claims of consumer fraud, securities fraud, or antitrust violations satisfy
this test for predominance. Id. at 625. Even mass tort cases arising from a single disaster may be
suitable for class action treatment, satisfying the predominance inquiry. Id.; see also In re
Deepwater Horizon, 910 F. Supp. 2d at 926–27. Nonetheless, the Advisory Committee
responsible for the revisions of Rule 23 in 1966 noted that cases involving mass accidents likely
present significant individual questions of damages, liability, and defenses of liability, rendering
these cases inappropriate for class action certification. Id. (citing Advisory Committee’s Note,
39 F.R.D. 69). In short, mass toxic tort cases presenting many factual questions pertaining to the
time and duration of exposure, in what manner, to which substances, and to what result, are only
very rarely suitable for class-action treatment, being precluded by individual questions that
predominate over common questions. Id.
Here, as evidence of personal injuries, Plaintiffs present the opinions of Dr. Haley
Godby, Dr. David Changaris, and Dr. Albert Westerman. [R. 251-1 at 24–25; see generally R.
252; R. 253.] Dr. Godby’s analysis resulted in her conclusion with “certainty that we have ruled
31
out vestibular dysfunction as the culprit” of the named Plaintiffs’ balance disorders. [R. 253-33.]
Similarly, the affidavit of Dr. Changaris recites that he concludes that “each Plaintiff, based upon
the physical exam, interviews, and information provided to me regarding each Plaintiff’s
exposure to toxic substances such as lead, arsenic, and TCE, was that each Plaintiff suffers a
balance disorder with central processing disorder caused by lead exposure.” [R. 253-27 at ¶ 3.]
Further, “Dr. Godby’s findings provide further support for my initial conclusion that the balance
disorders suffered by the named Plaintiffs to this litigation are a result of neurotoxic
vestibulopathy caused by exposure to lead, arsenic, and/or [TCE].” Id. at ¶ 5. Dr. Changaris
went on to conclude that he “predict[s] that balance disorders attributable to neurotoxic
vestibulopathy will be common amongst members of the proposed class.” Id. at ¶ 9.
Dr. Westerman’s opinions are the most voluminous and comprehensive of the three
opinions offered. Dr. Westerman outlines the adverse health effects of exposure to lead, arsenic,
and TCE. [R. 253-17 at 7–15; R. 253-18 at 1–5.] He explains how those chemicals are absorbed
by the body through dermal contact, breathing, eating, and drinking. [R. 253-17 at 7–15; R. 25318 at 1–5.] He further enumerates how future damages could be stopped through protective
measures. [R. 253-17 at 15–16.] Exposure to lead and arsenic typically occurs “through
inhalation of dusts and particulates, dermal exposure to soils, incidental ingestion of soils,
consumption of food grown in contaminated soils, and drinking spring or well water.” Id. at 15.
TCE may be ingested through a variety of means, but is perhaps most commonly ingested
through breathing. [R. 253-18 at 5.] Considering all of the above, Dr. Westerman concludes
these similarities favor class certification. [R. 253-19 at 1.]
With regard to property damages, Plaintiffs have submitted an estimated value
diminution for their named properties, including when such diminution occurred. [R. 251-1 at
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15]. In addition, Plaintiffs have submitted reports prepared by Paul Lanthier of Jenkins
Environmental, Inc., outlining the nature and cost of remedial activities to restore the named
properties within the Affected Area to an uncontaminated state. [Id.; see also R. 176-3; R. 1774; R. 178-4; R. 180-4; R. 181-4.] The estimated cost of environmental remediation for these four
properties alone far exceeds one million dollars. [R. 176-3; R. 177-4; R. 178-4; R. 180-4; R.
181-4.] Plaintiffs contend that the properties (and, by implication, property owners) within the
Affected Area forming the basis of the proposed class is readily ascertainable by reference to
geographic boundaries, based upon scientific testing expert opinions. [R. 251-1 at 27.]
Specifically, Plaintiffs refer to the opinions of Maurice Lloyd to identify the properties located
within the alleged TCE plume. Id. at 17. The property owners, and therefore class members,
will be ascertained by tax records. Id. at 27.
None of this information, however, resolves the fact that individual questions
predominate over common questions, or the matter of whether class action treatment is a
superior method of resolving these controversies. The varied nature of the named Plaintiffs’
afflictions, their lengths of exposure, the sources through which their alleged exposure occurred,
their unique medical histories, inconsistencies between the injuries from which the named
Plaintiffs suffer and those they complain of, etcetera, all reveal individual issues that
predominate over common issues, including statute of limitations concerns, precluding the
certification of a Rule 23(b)(3) class. Likewise, the nature of the property damages the named
Plaintiffs claim also precludes class action treatment. Burkhead et al. v. Louisville Gas & Elec.
Co., 250 F.R.D. 287, 300 (W.D. Ky. 2008); Cochran, et al. v. Oxy Vinyls, LP, No. 3:06-CV-364H, 2008 WL 4146383, at *12 (W.D. Ky. Sept. 2, 2008). Thus, neither of the named Plaintiffs’
proposed subclasses may be certified in this case.
33
The named Plaintiffs have each allegedly been exposed to toxic substances at different
times, and in different ways, between 1952 and 2013, a sixty-one year period. [R. 211 at ¶¶ 2–4,
¶ 84, ¶ 163.] The alleged release of toxic substances by the plant into the Affected Area did not
occur under one owner, but two. Id. at ¶¶ 6–7. The Fourth Amended Complaint reveals that
some of the named Plaintiffs suffer from zero of the listed diseases known to result from the
listed toxic substances. [Compare R. 211 at ¶ 2–4, with id. at ¶ 39, and id. at ¶ 43.] The named
Plaintiffs’ Lone Pine disclosures, however, contradict the Fourth Amended Complaint, alleging
that all of the named Plaintiffs suffer from a balance disorder. [See R. 175; R. 176; R. 177; R.
178; R. 179; R. 180; R. 181; R. 182; R. 183.] But the named Plaintiffs’ own expert conceded
that the balance tests were not “physically possible” for some of the named Plaintiffs, one of
whom is missing a leg, another of whom is blind, and yet another of whom exceeds ninety years
of age. [R. 268-1 at 10–11; R. 211 at ¶ 3.] While the named Plaintiffs have submitted statistical
evidence that the alleged diminution in value of class members’ property might be determined on
a classwide basis, this does not resolve the inherently personal nature of trespass and nuisance
causes of action, which have previously been found to be inappropriate for class action
treatment. Burkhead, 250 F.R.D. at 300; Cochran, 2008 WL 4146383, at *12.
In addition, although this Court has made little mention of the matter, there is also
significant concern for how adequate Rule 23(c)(2)(B) notice could be provided to each and
every one of the individuals who, between 1952 and 2013, resided within the Affected Area.
This subclass holds an uncertain number of persons, many of whom may be impossible to track,
with many others potentially displaying few to no symptoms, with no knowledge of the alleged
harm they may face. Each of these potential “exposure-only” class members presents a conflict
of interest against the interest of named plaintiffs who are currently injured. See Amchem Prods.,
34
Inc. v. Windsor, 521 U.S. 591, 626 (1997). The individual Plaintiffs in this case have significant
interests for individually controlling the prosecution of his case, including whether and when to
settle. Id. at 616. These potential future plaintiffs should not be denied their day in court, should
the need arise. Class action treatment is simply improper in this case.
III
This Court previously noted that Plaintiffs’ proposed class is readily ascertainable by
reference to objective criteria on its face. This Court also acknowledged that it is at least
plausible that all property owners within the defined geographic radius of the Facility could have
been damaged by the Defendants’ activities. In so doing, however, this Court cautioned that
those determinations might not hold at the class certification stage, citing a string of cases in
which class certification was denied for a lack of injury in fact or lack of sufficient evidence of
causation. Today, this Court announces that they do not. Accordingly, and the Court being
otherwise sufficiently advised, it is hereby ORDERED that the Plaintiffs’ Motion to Certify
Class Action, [R 251], is DENIED.
This the 29th day of March, 2018.
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