Nowell v. Covidien, LP
Filing
44
MEMORANDUM OPINION AND ORDER granting 27 MOTION to Dismiss by District Judge James O. Browning. (vv)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF NEW MEXICO
JANICE NOWELL,
Plaintiff,
vs.
No. CIV 17-1010 JB\SMV
MEDTRONIC INC.; COVIDIEN PLC;
COVIDEN LP, and MEDTRONIC PLC,
Defendants.
MEMORANDUM OPINION AND ORDER
THIS MATTER comes before the Court on the Defendants’ Motion to Dismiss, filed
March 23, 2018 (Doc. 27)(“MTD”). The Court held a hearing on August 10, 2018. The primary
issues are: (i) whether the applicable statutes of limitations bar Plaintiff Janice Nowell’s claims
against Defendants Medtronic Inc., Covidien PLC, Covidien LP, and Medtronic PLC for
negligence, strict liability -- design defect, manufacturing defect, and failure-to-warn -- breach of
express warranty, and breach of implied warranty; and (ii) whether Nowell has alleged with
specificity how the Defendants’ product is defective and how that defect caused her injuries. The
Court will grant the MTD. Nowell’s warranty claims are untimely, because Nowell alleges that
her physician used the Defendants’ defective product to repair her hernia1 on October 27, 2010,
1
The Food and Drug Administration (“FDA”) states: “A hernia occurs when an organ,
intestine or fatty tissue squeezes through a hole or a weak spot in the surrounding muscle or
connective tissue. Hernias often occur at the abdominal wall. Sometimes a hernia can be visible
as an external bulge particularly when straining or bearing down.” Hernia Surgical Mesh
Implants, FDA, https://www.fda.gov/MedicalDevices/ProductsandMedicalProcedures/Implantsa
ndProsthetics/HerniaSurgicalMesh/default.htm (last visited Feb. 4, 2019). The FDA notes six
“most common” hernias: (i) inguinal, which “occurs in the inner groin”; (ii) femoral, which
“occurs in the upper thigh/outer groin”; (iii) incisional, which “occurs through an incision or scar
in the abdomen”; (iv) Ventral, which “occurs in the general abdominal/ventral wall”; (v) umbilical,
which occurs at the belly button”; and (vi) hiatal, which “occurs inside the abdomen, along the
but Nowell did not file her original Complaint for Damages for Personal Injury Resulting From
Negligence, Strict Liability and Breach of Warranties (Doc. 1)(“Complaint”), until October 5,
2017, almost three years after the expiration of the four-year statute of limitations governing
express and implied warranty claims. See N.M. Stat. Ann. § 55-2-725(1). Nowell’s negligence
and strict liability claims are untimely, because the Second Amended Complaint for Damages for
Personal Injury Resulting from Negligence, Strict Liability and Breach of Warranties, filed
January 19, 2018 (Doc. 24-1)(“Amended Complaint”), indicates that Nowell was aware of
cognizable tort injuries between April, 2011, and March, 2014, but did not file her original
Complaint until October 5, 2017, after the three-year statute of limitations governing negligence
and strict liability claims had expired. See N.M. Stat. Ann. § 37-1-8. Moreover, the Court
concludes that Nowell’s factual allegations lack specificity sufficient to satisfy the pleading
standard that the Supreme Court of the United States of America articulated in Bell Atlantic Corp.
v. Twombly, 550 U.S. 544 (2007). Nowell’s negligence claim does not plead facts alleging
causation.
Her strict liability claims do not allege any specific defect -- in either design,
manufacture, or warning -- that made the Defendants’ product unreasonably dangerous and caused
her injuries. Moreover, Nowell has not alleged that a feasible alternative design existed which
lacked the alleged design defect and that therefore would have prevented her injuries. See Morales
v. E.D. Etnyre & Co., 382 F. Supp. 2d 1278, 1283 (D.N.M. 2005)(Browning, J.)(“Thus, to the
upper stomach/diaphragm.” Hernia Surgical Mesh Implants, supra. Surgical intervention is the
only treatment available to repair a hernia. See FDA, supra. Hernia repair risks include: “pain,
infection, hernia recurrence, scar-like tissue that sticks tissues together (adhesion), blockage of the
large or small intestine (obstruction), bleeding, abnormal connection between organs, vessels, or
intestines (fistula), fluid build-up at the surgical site (seroma), and a hole in neighboring tissues or
organs (perforation).” Hernia Surgical Mesh Implants, supra.
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extent that a plaintiff could come to court and merely criticize a product, the Court believes that
the New Mexico law required the plaintiff to propose an alternative design.”). Nowell does not
allege an affirmation or representation that could support her express warranty claim.
Furthermore, Nowell does not allege with sufficient specificity a defect that rendered the
Defendants’ product sufficiently unfit for its particular purpose or sufficiently unmerchantable to
support her claim for breach of implied warranty. Finally, Nowell has not alleged facts sufficient
to support a finding that the Defendants’ conduct maliciously, intentionally, fraudulently,
oppressively, recklessly, or wantonly offended Nowell’s rights such that Nowell is entitled to
punitive damages. Accordingly, the Court will grant the MTD and dismiss the case with prejudice.
FACTUAL BACKGROUND
The Court takes the facts from the Amended Complaint. As this matter comes before the
Court on a motion to dismiss pursuant to rule 12(b)(6) of the Federal Rules of Civil Procedure, the
Court assumes that all facts in the Complaint are true, see Bell Atl. Corp. v. Twombly, 550 U.S.
at 555 (stating that, to survive a motion to dismiss, “[f]actual allegations must be enough to raise
a right to relief above the speculative level . . . on the assumption that all the allegations in the
complaint are true (even if doubtful in fact)”), and “grants all reasonable inferences from the
pleadings in that party’s favor,” Sanders v. Mountain Am. Fed. Credit Union, 689 F.3d 1138,
1141 (10th Cir. 2012).
According to the Amended Complaint, on October 27, 2010, Nowell had an operation with
Dr. William Pollard to repair a fifteen centimeter “superiorperiumbilical hernia.” Amended
Complaint ¶ 38, at 8. At the time, Dr. Pollard implanted a twenty centimeter “Parietex Mesh
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Composite”2 to repair Nowell’s hernia. Amended Complaint ¶ 38, at 8. Subsequently, the mesh
began to “pull away from the actual edges,” and on April 27, 2011, Nowell had a second surgery
wherein Dr. Pollard used additional sutures to reinforce the existing Parietex mesh. Amended
Complaint ¶ 38, at 8. Dr. Pollard did not inform Nowell of any problems with the mesh and, after
the surgery, noted that Nowell “was doing well.” Amended Complaint ¶ 38, at 8. Between April
27, 2011, and March 1, 2014, Nowell “began experiencing symptoms including but not limited to
exhaustion and pain in the area of the mesh.” Amended Complaint ¶ 38, at 8. During this period,
2
The Defendants describe the “Parietex™ composite ventral patch” as a polyester textile
mesh “specifically designed for small ventral hernia repair.” Parietex™ Composite Ventral Patch,
Medtronic, https://www.medtronic.com/covidien/en-us/products/hernia-repair/parietexcomposite-ventral-patch.html (last visited Feb. 2, 2019). The FDA notes that “surgeons often use
surgical mesh to strengthen the hernia repair and reduce the rate of recurrence,” and that “[t]he
majority of surgical mesh devices currently available for use are constructed from synthetic
materials or animal tissue.” Hernia Surgical Mesh Implants, supra note 1. Synthetic surgical mesh
can be found in knitted mesh or non-knitted sheet forms. The synthetic materials
used can be absorbable, non-absorbable or a combination of absorbable and nonabsorbable materials.
....
Non-absorbable mesh will remain in the body indefinitely and is considered a
permanent implant. It is used to provide permanent reinforcement to the repaired
hernia. Absorbable mesh will degrade and lose strength over time. It is not
intended to provide long-term reinforcement to the repair site. As the material
degrades, new tissue growth is intended to provide strength to the repair.
....
The most common adverse events following hernia repair with mesh are pain,
infection, hernia recurrence, adhesion, and bowel obstruction. Some other potential
adverse events that can occur following hernia repair with mesh are mesh migration
and mesh shrinkage (contraction).
Hernia Surgical Mesh Implants, supra note 1.
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“Nowell was skeptical as to whether the mesh was causing these problems”; however, Dr. Pollard
did not advise her that the mesh was causing these issues. Amended Complaint ¶ 38, at 8. On
March 1, 2014, Nowell underwent a CT scan.3 See Amended Complaint ¶ 38, at 8. The physicians
who performed Nowell’s CT scan neither concluded nor advised Nowell that the mesh was causing
her issues. See Amended Complaint ¶ 38, at 8. The physicians were unable to diagnose the
symptoms’ cause, because Nowell “apparently had cysts in the area associated with the mesh.”
Amended Complaint ¶ 38, at 8. On October 6, 2014, Nowell underwent another CT scan, which
“revealed a large fluid collection associated with the mesh” and a corresponding staph infection.4
Amended Complaint ¶ 38, at 8. On October 8, 2014, “Dr. Powell”5 informed Nowell that “there
3
The letters “CT” refer to “computed tomography” or “computerized tomography,” which
the FDA describes as
a noninvasive medical examination or procedure that uses specialized X-ray
equipment to produce cross-sectional images of the body. Each cross-sectional
image represents a “slice” of the person being imaged, like the slices in a loaf of
bread. These cross-sectional images are used for a variety of diagnostic and
therapeutic purposes.
Computed Tomography (CT),
FDA,
https://www.fda.gov/RadiationEmittingProducts/RadiationEmittingProductsandProcedures/MedicalImaging/MedicalX-Rays/uc
m115317.htm (last visited February 1, 2019).
4
The Mayo Clinic states:
Staph infections are caused by staphylococcus bacteria, types of germs commonly
found on the skin or in the nose of even healthy individuals. Most of the time, these
bacteria cause no problems or result in relatively minor skin infections. But staph
infections can turn deadly if the bacteria invade deeper into your body, entering
your bloodstream, joints, bones, lungs or heart.
Mayo Foundation for Medical Education and Research, Staph Infections,
https://www.mayoclinic.org/diseases-conditions/staph-infections/symptoms-causes/syc20356221 (last visited Feb. 19, 2019).
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was no choice but to remove the Parietex mesh and replace it with a biological mesh,” which he
“memorialized . . . in his treatment notes.” Amended Complaint ¶ 38, at 8. Moreover, during this
discussion, Dr. Pollard told Nowell “that there was a problem with the mesh itself.” Amended
Complaint ¶ 38, at 8. “On or about October 20, 2014,” Dr. Pollard removed the “infected and
disintegrated (unincorporated)” Parietex mesh from Nowell’s abdomen. Amended Complaint ¶
38, at 8.
PROCEDURAL BACKGROUND
On October 5, 2017, Nowell filed suit in the United States District Court for the District of
New Mexico, alleging six causes of action: (i) negligence; (ii) strict liability -- design defect; (iii)
strict liability -- manufacturing defect; (iv) strict liability -- failure-to-warn; (v) breach of express
warranty; and (vi) breach of implied warranty. See Complaint ¶¶ 103-155, at 18-32, filed October
5, 2017 (Doc. 1)(“Complaint”). Nowell subsequently amended the Complaint on October 6, 2017,
see First Amended Complaint for Damages for Personal Injury Resulting from Negligence, Strict
Liability and Breach of Warranties, filed October 6, 2017 (Doc. 4), and again on January 19, 2018,
but alleges the same claims, see Amended Complaint ¶¶ 103-155, at 22-36.
Nowell contends that the Defendants were negligent in failing to use reasonable care and
breached their duty to Nowell “in designing, manufacturing, marketing, labeling, packaging and
selling” the mesh. Amended Complaint ¶ 104, at 22. Specifically, Nowell contends that the
mesh’s design “did not provide for sufficient resiliency which caused the Product to disintegrate
in Plaintiff,” and that the mesh’s manufacturing process caused “an unreasonable risk of harm to
5
This is the single reference to a “Dr. Powell” in the Amended Complaint and in Nowell’s
subsequent filings. The Court therefore believes that this reference is a typographical error and
that this assertion refers to Dr. William Pollard. See Amended Complaint ¶ 38, at 8.
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women in whom the Product was implanted, including the Plaintiff.” Amended Complaint ¶ 105,
at 23. Nowell further alleges that the Defendants did not use reasonable care in the mesh’s testing
and inspection, in instructing physicians in how to use the mesh, and in evaluating the mesh’s
safety “to determine the nature, magnitude, and frequency of serious, life threatening
complications that were known or knowable.” Amended Complaint ¶ 105, at 23. Nowell further
alleges that the Defendants’ mesh is unreasonably dangerous and defective, because the mesh
material causes adverse reactions and injuries; the mesh design facilitated harmful bacteria growth,
which caused “immune reactions and subsequent tissue breakdown and adverse reactions and
injuries;” and the mesh has a propensity “to disintegrate inside the body,” “to deform when subject
to prolonged tension inside the body,” to cause “adverse tissue reactions,” and to create “a nonanatomic condition in the abdomen leading to chronic pain and functional disabilities when the
mesh is implant[ed] according to the manufacturers instructions.” Amended Complaint ¶ 106, at
23-24. Nowell adds that her “adverse tissue reactions . . . are causally related to infection, as the
materials used to construct the Product are foreign.” Amended Complaint ¶ 106, at 24.
Nowell also alleges that the Defendants “negligently failed to warn” her and/or her
healthcare providers about the mesh’s “propensities to deform inside the body,” about
“degradation, fragmentation and/or creep,” about “the rate and manner of mesh erosion or
extrusion,” and about the mesh’s risks, including “chronic infections” and “recurrent, intractable
abdominal pain and other pain.” Amended Complaint ¶ 107, at 24-25. The Defendants’ duty to
warn, asserts Nowell, extends to the “need for corrective or revision surgery to adjust or remove
the Product,” and treatment with the mesh exposes patients to greater risk than treatment with
“feasible available alternatives,” including risks attendant to multiple, debilitating surgeries.
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Amended Complaint ¶ 108, at 25. Nowell asserts that the Defendants’ negligence was the direct
and proximate cause of her “significant mental and physical pain and suffering” to include
“permanent injury, . . . medical treatment and . . . likely . . . further medical treatment and
procedures, . . . financial or economic loss, . . . obligations for medical services and expenses, lost
income, and other damages.” Amended Complaint ¶ 109, at 25.
Nowell contends that the Defendants are strictly liable for the mesh’s alleged design
defects, but for which, according to Nowell, she would not have sustained her injuries. See
Amended Complaint ¶ 121, at 27. Specifically, Nowell contends that the meshes’ “inelasticity,”
which causes “them to be improperly mated to the delicate and sensitive areas of the abdomen
where they are implanted, and causes pain upon normal daily activities that involve movement in
the abdomen,” and that the mesh has “[b]iomechanical issues . . . including, but not limited to, the
propensity of the Product to disintegrate inside the body, that in turn cause surrounding tissue to
be inflamed, become fibrotic, and contract, resulting in injury.” Amended Complaint ¶ 121, at 28.
Nowell reasserts the same alleged injuries described in paragraph 109. See Amended Complaint
¶ 122, at 28-29. Nowell adds that the mesh was “inherently defective,” because it “was not sturdy
enough to prevent disintegration and malformation,” which resulted in the mesh “breaking apart
while in the Plaintiff’s body. . . in turn caus[ing] . . . internal bleeding, infection and other serious
injuries.” Amended Complaint ¶ 123, at 29.
Nowell asserts that the Defendants are strictly liable for the mesh’s alleged manufacturing
defects, because the mesh “deviated materially from Defendants’ design and manufacturing
specifications in such a manner as to pose unreasonable risks of serious bodily harm to the
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Plaintiff.” Amended Complaint ¶ 125, at 29. Nowell alleges that these manufacturing defects
were the direct and proximate cause of her injuries. See Amended Complaint ¶ 126, at 29-31.
Nowell contends that the Defendants are strictly liable for not providing Nowell with
“appropriate and necessary warnings” regarding the mesh’s alleged defects. Amended Complaint
¶ 129, at 30. Nowell reasserts her arguments from paragraph 106, including that the Defendants
had a duty to warn her about the mesh’s propensity to disintegrate, fragment, degrade, and
improperly “mate[] with the abdominal region,” and to cause “chronic inflammation,” “chronic
infections,” “scarring,” and “recurrent, intractable pain.” Amended Complaint ¶ 129, at 30-31.
The Defendants’ duty to warn, asserts Nowell, extends to the “need for corrective or revision
surgery to adjust or remove the Product,” and that treatment with the mesh exposes patients to
greater risk than treatment with “feasible available alternatives” including risks attendant to
multiple, debilitating surgeries. Amended Complaint ¶ 129, at 31. Nowell asserts that the
Defendants’ failure-to-warn was the direct and proximate cause of her “significant mental and
physical pain and suffering” to include “permanent injury, . . . medical treatment and . . .
likely . . . further medical treatment and procedures, . . . financial or economic loss, . . . obligations
for medical services and expenses, lost income, and other damages.” Amended Complaint ¶ 130,
at 31-32.
Nowell asserts that the Defendants are liable for breach of express warranty based on
assurances made “to the general public, hospitals and health care professionals that the Product
was safe and reasonably fit for its intended purposes.” Amended Complaint ¶ 141, at 34. Nowell
contends that her physician chose the Defendants’ mesh based on such warranties and
representations. See Amended Complaint ¶ 142, at 34. The Defendants are liable, according to
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Nowell, because the mesh “was unreasonably dangerous and defective . . . and not as Defendant[s]
had represented,” Amended Complaint ¶ 144, at 34, which resulted in Nowell’s physician
implanting the mesh in Nowell’s body, see Amended Complaint ¶ 145 at 34, and thereby causing
the injuries detailed in paragraph 109 and repeated in paragraph 146, see Amended Complaint
¶ 146, at 34.
Nowell asserts that the Defendants are liable for breach of implied warranty, because the
mesh was neither merchantable nor fit for its intended purpose. See Amended Complaint ¶ 155,
at 35-36. Nowell asserts that such a breach is evident, because the mesh “disintegrated and
mishappened [sic] inside the Plaintiff’s body, causing injuries.” Amended Complaint ¶ 155, at 3536. Nowell reasserts her injuries that paragraph 106 describes. See Amended Complaint ¶ 157,
at 36. Nowell adds that “someone with knowledge in the trade would reject the mesh for failure
to meet the contract description.” Amended Complaint ¶ 159, at 36. Accordingly, Nowell requests
compensatory, punitive, and special damages, as well as attorney’s fees and costs, and any other
relief that the Court deem appropriate. See Amended Complaint at 37.
1.
The MTD.
The Defendants argue in the MTD that, for two independent reasons, the Court should
dismiss the Amended Complaint in its entirety pursuant to rule 12(b)(6): first, applicable statutes
of limitations bar each claim, and, second, the Amended Complaint relies on “labels and
conclusions,” and “a formulaic recitation of the elements of” each claim without any well-pled
facts alleging a specific defect with the Defendants’ product and how that defect purportedly
caused Nowell’s injuries. MTD at 1-2 (quoting Bell Atl. Corp. v. Twombly, 550 U.S. at 555).
The Defendants note that two other federal courts recently dismissed “similarly deficient”
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complaints against the Defendants involving injuries allegedly related to Parietex mesh. MTD at
2 (citing Rincon v. Covidien, No. 16-CV-10033, 2017 WL 2242969 (S.D.N.Y. May 22,
2017)(Furman, J.); Black v. Covidien PLC, No. 17-CV-6085-FPG, 2018 WL 573569 (W.D.N.Y.
Jan. 26, 2018)(Geraci, C.J.)).
The Defendants add that, because Nowell “has had ample
opportunity to plead her claims,” the Court should order the case’s dismissal “with prejudice.”
MTD at 2. The Defendants argue that dismissal under rule 12(b)(6) is appropriate when, as in this
case, “the ‘uncontroverted facts’ allege ‘dates that appear, in the first instance, to fall outside the
statutory limitations period.’” MTD at 6-7 (quoting Anderson Living Tr. v. WPX Energy Prod.,
LLC, Nos. CIV 12-0039 JB/SCY, 12-0040, 2015 WL 3543011, at *34 (D.N.M. May 26,
2015)(Browning, J.)). According to the Defendants, New Mexico’s Uniform Commercial Code,
N.M. Stat. Ann. § 55-2-725 (“UCC”), governs Nowell’s breach-of-express and implied-warranty
claims, and subjects such claims to a four-year statute of limitations period. See MTD at 7 (citing
N.M. Stat. Ann. § 55-2-725(1)). Nowell’s warranty claims are untimely, assert the Defendants,
because such claims accrue when a given product is delivered, see MTD at 7 (citing AIG Aviation
Ins. v. Avco Corp., 709 F. Supp. 2d 1124, 1131-32 (D.N.M. 2010)(Black, J.)), and here Nowell
alleges that her physician used the Defendants’ mesh to repair her hernia on October 27, 2010, but
did not file her original Complaint until October 5, 2017, which was almost three years after
Nowell’s putative warranty claim expired, see MTD at 7 (citing Amended Complaint ¶ 38, at 8)).
Although the Defendants concede that plaintiffs may bring express warranty claims beyond
four years from purchase “if the warranty explicitly guarantees ‘future performance,’” MTD at 7
(citing N.M. Stat. Ann. § 55-2-725(2)), the Defendants contend that the Amended Complaint does
not identify an express warranty, “let alone quote language that ‘explicitly guarantees future
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performance’ beyond four years,” MTD at 7 (internal quotation marks omitted)(quoting Willis v.
Smith, No. 16 CV 167 JAP/LF, 2016 WL 9281447, at *4 (D.N.M. Dec. 14, 2016)(Parker, J.)).
Nowell, instead, according to the Defendants, merely asserts that the “Defendant made assurances
. . . that the product was safe and reasonably fit for its intended purposes.” MTD at 7 (quoting
Amended Complaint ¶ 141, at 34). The Defendants note, in a footnote, that the discovery rule,
which tolls a cause of action until “the plaintiff discovers or with reasonable diligence should have
discovered that a claim exists,” MTD at 7 n.12 (quoting Roberts v. Sw. Cmty. Health Servs., 1992NMSC-042, ¶ 24, 837 P.2d 442, 449), does not apply to warranty claims, see MTD at 7 n.12 (citing
Porcell v. Lincoln Wood Prods., Inc., No. CIV 08-0617 MCA/LFG, 2010 WL 1541264, at *4
(D.N.M. March 31, 2010)(Armijo, J.)). The Defendants further note that implied warranties, “by
their very nature,” “do not explicitly guarantee future performance” and thus cannot be tolled
pursuant to § 55-2-725(2). MTD at 7-8 (internal quotation marks omitted)(quoting AIG Aviation
Ins. v. Avco Corp., 709 F. Supp. 2d at 1132). Hence, the Defendants conclude, Nowell’s breachof-express and implied-warranty claims are untimely. See MTD at 8.
The Defendants assert that Nowell’s negligence and strict-liability claims are likewise
untimely, because such claims are subject to a three-year statute of limitations. See MTD at 8
(citing N.M. Stat. Ann. § 37-1-8). The Defendants assert that New Mexico follows “the traditional
discovery rule,” pursuant to which a tort claim accrues at “the time of the injury not the time of
the negligent act.” MTD at 8 (quoting N.M. Elec. Serv. Co. v. Montanez, 1976-NMSC-028, ¶ 13,
551 P.2d 634, 637). The Defendants assert that the discovery rule, however, does not apply in this
case, because, according to the Defendants, the Amended Complaint alleges injuries that occurred
more than three years before Nowell filed her original Complaint. See MTD at 8. The Defendants
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note that “the few facts” in the Amended Complaint include the dates of Nowell’s surgeries and
alleged injuries. MTD at 8. On April 27, 2010, for example, exactly six months after Nowell
alleges that her physician used the Defendants’ mesh to repair her hernia, Nowell had a second
surgery, because the mesh allegedly “began to pull away from the actual edges.” MTD at 8
(quoting Amended Complaint ¶ 38, at 8). Thus, the Defendants argue, Nowell’s Amended
Complaint pleads that she was aware of a potential problem with the Defendants’ mesh seven years
before she filed her original Complaint. See MTD at 8. The Defendants add that Nowell, “at some
point in the next three years, . . . alleges that she began to experience ‘symptoms including but not
limited to exhaustion and pain in the area of the mesh.’” MTD at 8 (quoting Amended Complaint
¶ 38, at 8). Furthermore, according to the Defendants, Nowell’s symptoms were “sufficiently
problematic” to compel her to undergo a CT scan on March 1, 2014, which revealed “cysts in the
area associated with the mesh.” MTD at 8. The Defendants assert that, because these events “are
cognizable tort injuries that started the three-year limitations period,” MTD at 9 (citing Lent v.
Emp’t Sec. Comm’n, 1982-NMCA-147, ¶ 27, 658 P.2d 1134, 1139 (“[K]nowledge of injury, not
knowledge of the extent of the injury, is the basis for starting the running of the limitation
period.”)), Nowell’s negligence and strict liability claims are untimely, see MTD at 9 (citing
Bassham v. Owens-Corning Fiber Glass Corp., 327 F. Supp. 1007, 1009 (D.N.M. 1971)(Payne,
C.J.)(“[A]ny exposure which occurred more than three years before the filing of the action, would
be barred by the statute of limitations.”)).
The Defendants insist that tolling, “[t]he only basis for excusing this late filing,” is
unavailable to Nowell, because her Amended Complaint does not allege “reasonable diligence”
sufficient “to ‘establish[] a factual basis for tolling’ pursuant to the discovery rule.” MTD at 9
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(alteration in MTD)(quoting Andrew v. Schlumberger Tech. Corp., 808 F. Supp. 2d 1288, 1292
(D.N.M. 2011)(Browning, J.)). According to the Defendants, the discovery rule’s applicability
turns on whether Nowell “lacked knowledge of her cause of action and could not have discovered
it by exercising reasonable diligence during the statutory period.” MTD at 9 (quoting Blea v.
Fields, 2005-NMSC-029, ¶ 28, 120 P.3d 430, 440). The Defendants contend that, once Nowell
began to experience pain and discomfort following the April 27, 2010, surgery, either she knew
that the Defendants’ mesh caused those injuries, or she had a “duty to inquire into” the cause.
MTD at 9 (quoting Butler v. Deutsche Morgan Grenfell, Inc., 2006-NMCA-084, ¶ 34, 140 P.3d
532, 540 (“[T]he awareness of an injury creates a duty to inquire into its causes.”)). The
Defendants argues that the Amended Complaint is devoid, however, of allegations that, had
Nowell “diligently investigated the problem[,] she would have been unable to discover the cause
of her injury.” MTD at 9 (quoting Martinez v. Showa Denko, K.K., 1998-NMCA-111, ¶ 22, 964
P.2d 176, 180). Instead, the Defendants insist, the “sole allegation” offered in support of tolling
is that Nowell waited over four years for her physician “to allegedly inform her that ‘there was a
problem with the mesh and that it had to be removed.’” MTD at 9-10 (quoting Amended
Complaint ¶ 38, at 8). The Defendants contend that Nowell’s reliance on her physician’s
conclusion cannot support a reasonable-diligence finding, particularly in light of Nowell’s factual
assertions about her April, 2010, surgery and the “pain in the area of the mesh.” MTD at 10
(internal quotation marks omitted)(quoting Amended Complaint ¶ 38, at 8).
Hence, the
Defendants conclude, Nowell’s failure to allege “reasonable diligence” precludes the discovery
rule’s application, and warrants dismissal of Nowell’s negligence and strict liability claims. MTD
at 10.
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The Defendants next turn to their argument that Nowell’s claims do not satisfy the pleading
standard that Bell Atlantic Corp. v. Twombly and Ashcroft v. Iqbal, 556 U.S. 662 (2009), require,
because, according to the Defendants, the Amended Complaint pleads mere “‘labels and
conclusions’ instead of facts that raise a ‘plausible’ claim of relief.” MTD at 10 (citing Khalik v.
United Air Lines, 671 F.3d 1188, 1191 (10th Cir. 2012)). The Defendants assert that, although
Nowell’s six claims allege that the Defendants’ mesh was defectively designed, labeled, and
marketed, the Amended Complaint lacks “well-pleaded factual allegations pertaining to: (1) the
nature of the alleged defect; (2) how the alleged defect caused Plaintiff’s injury; and (3) the
information that Plaintiff believes should have been included in the product labeling and
warranty.” MTD at 10.
Beginning with Nowell’s negligence claim, the Defendants contend that, assuming they
owed Nowell a duty, the Amended Complaint does not plead facts that allege a breach of that duty
or proximate causation as New Mexico law requires to support such claims. See MTD at 10 (citing
Bellman v. NXP Semiconductors USA, Inc., 248 F. Supp. 3d 1081, 1122 (D.N.M.
2017)(Browning, J.)). The Defendants insist that Nowell’s negligence claim overlaps significantly
with her strict liability cause of actions and that, although negligence and strict liability are
frequently asserted together, negligence is the more demanding test, and Nowell has not alleged
negligence adequately. See MTD at 11 (citing Trujillo v. Berry, 1987-NMCA-072, ¶ 5, 738 P.2d
1331, 1333 (“The purpose behind the strict products liability doctrine is to allow an injured user
or consumer to recover . . . without the requirement of proving negligence.”)). Specifically, the
Defendants contend that Nowell has not pled any plausible facts which show how the Defendants
breached their duty of care or show specific acts or omissions which fall below the “ordinary care”
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that “a reasonably prudent supplier would use . . . in formulating, designing, making, inspecting,
testing, and packaging the product.” MTD at 11 (internal quotation marks omitted)(quoting Mims
v. Davol, Inc., No. CIV 16 0136-MCA-GBW, 2017 WL 3405559, at *4 (D.N.M. March 22,
2017)(Armijo, J.)). Instead, the Defendants assert, Nowell “simply recites the cause of action,”
MTD at 11 (citing Amended Complaint ¶ 105, at 22), and asks the Court to infer a breach of duty
from the fact that she allegedly suffered injuries, which, according to the Defendants, is a “post
hoc ergo prompter hoc logical fallacy”6 insufficient to maintain a negligence claim, MTD at 1112 (citing Pac. Indem. Co. v. Therm-O-Disc, Inc., 476 F. Supp. 2d 1216, 1231 (D.N.M.
2006)(Hansen, J.)(“The mere fact that the contacts on the Therm-O-Disc control fused is not
enough to demonstrate that Therm-O-Disc violated its duty to use ordinary care.”)).
Turning to Nowell’s three strict liability claims -- design defect, manufacturing defect, and
warning defect -- the Defendants assert that the Amended Complaint does not allege any specific
defects that made the Defendants’ mesh “unreasonably dangerous” and that caused Nowell’s
injuries. MTD at 12 (internal quotation marks omitted)(quoting Pac. Indem. Co. v. Therm-O-Disc,
Inc., 476 F. Supp. 2d at 1228-29). Moreover, Nowell’s design defect claim, according to the
Defendants, requires Nowell to allege further that “a feasible design existed which lacked the
alleged design defect and would have prevented her injuries.” MTD at 12 (citing Morales v. E.D.
Etnyre & Co., 382 F. Supp. 2d at 1283 (“Thus, to the extent that a plaintiff could come to court
and merely criticize a product, the Court believes that the New Mexico law required the plaintiff
6
“The post hoc ergo propter hoc fallacy assumes causality from temporal sequence. . . . It
is called a fallacy because it makes an assumption based on the false inference that a temporal
relationship proves a causal relationship.” McClaim v. Metabolife Int’l, Inc., 401 F.3d 1233, 1243
(11th Cir. 2005).
- 16 -
to propose an alternative design.”)). The Defendants assert that, instead of alleging a specific
design feature that rendered the Defendants’ mesh defective, the Amended Complaint
relies on a generalized list of alleged flaws that include: the mesh’s material caused
an “immune reaction”; the mesh was designed “to be inserted into and through an
area of the body with high levels of bacteria that adhere to the mesh”;
“[b]iomechanical issues . . . including, but not limited to, the propensity of the
Product to disintegrate”; and the mesh’s “inelasticity.”
MTD at 12-13 (quoting Amended Complaint ¶ 121, at 27-28). Such “vague and conclusory
allegations,” according to the Defendants, “could apply to all mesh products generally,” and thus
cannot support a plausible claim for relief against the Defendants and their particular mesh. MTD
at 13. The Defendants ask, rhetorically: “What is the alleged immune reaction? What ‘inelasticity’
is supposedly present?” and assert that Nowell’s failure to plead a specific defect “and/or to
conclude that each and every hernia mesh on the market is defective” cannot satisfy the requisite
pleading standard. MTD at 13.
The Defendants maintain that the Southern and Western Districts of New York recently
dismissed claims based on similar allegations about the Defendants’ Parietex Composite mesh,
because, although the plaintiffs in both cases cite the mesh’s design aspects, for example, “‘the
hydrophilic coating’ and ‘small pores and collagen,’” they do not specifically allege how the
design aspects were defective or how the purported defects caused the plaintiffs’ specific injuries.
MTD at 13 (quoting Rincon v. Covidien, No. 16-CV-10033, 2017 WL 2242969, at *2; Black v.
Covidien, PLC, No. 17-CV-6085-FPG, 2018 WL 573569, at *2). The Defendants insist that,
because the same problems are true of Nowell’s claims here, the Court should dismiss her design
defect claim. See MTD at 13 (citing Armijo v. Ex Cam, Inc., 656 F. Supp. 771, 773 (D.N.M.
1987)(Burciaga, J.)(“Plaintiff’s argument for strict liability fails on the first of these elements, that
the product must be ‘defective.’”), aff’d, 843 F.2d 406 (10th Cir. 1988)).
- 17 -
Regarding the alleged alternative-design pleading requirement, the Defendants assert that
the Amended Complaint merely alleges alternative surgical techniques to the use of hernia mesh
but not alternative designs to the Defendants’ mesh. See MTD at 14. Moreover, according to the
Defendants, Nowell “seems to concede that a safer hernia mesh design is not possible,” because,
although Nowell states that “[s]afer and more effective alternatives to hernia mesh exist,” she does
not identify any such alternatives and instead refers to the “Shouldice Repair, McVay Repair,
Bassini Repair, and Desarda Repair” as alternatives, which the Defendants insist are surgical
procedures that do not involve surgical mesh. MTD at 14 (quoting Amended Complaint ¶ 26, at
6). The Defendants insist that “a safer alternative design cannot be . . . the decision not to use a
product at all.” MTD at 14 (citing S.F. v. Archer Daniels Midland Co., 594 F. App’x 11, 12-13
(2d Cir. 2014)). The plaintiff in S.F. v. Archer Daniels Midland Co., according to the Defendants,
alleged strict liability and negligence claims against a manufacturer stemming from its sale of and
the plaintiff’s consumption of high fructose corn syrup, but the plaintiff did not allege a safer
alternative design for that product, instead suggesting that “[it] should not be used at all.” MTD
at 14 (quoting S.F. v. Archer Daniels Midland Co., 594 F. App’x at 12). In affirming the district
court’s dismissal of the plaintiff’s claims, the United States Court of Appeals for the Second Circuit
explained: “A design-defect claim will not stand if the only alternative is an outright ban.” MTD
at 14 (quoting S.F. v. Archer Daniels Midland Co., 594 F. App’x at 12). The Defendants contend
that, like the plaintiff’s insufficient allegations in S.F. v. Archer Daniels Midland Co., Nowell’s
failure to allege a feasible design alternative is a further basis on which the Court should dismiss
her design defect claim. See MTD at 14-15 (citing Reed v. Pfizer, Inc., 839 F. Supp. 2d 571, 578
(E.D.N.Y. 2012)(Vitaliano, J.)).
- 18 -
The Defendants dispute that the three scientific articles which Nowell cites in her Amended
Complaint support her design defect claim or provide any support for her assertion “that the type
of material that was used in Parietex mesh caused infection and disintegration which resulted in
pain, exhaustion, and other injuries,” or “that the type of surgical mesh as Parietex causes similar
injuries as those sustained by [Nowell].” MTD at 15 (quoting Amended Complaint ¶ 39, at 9-10).
The articles instead, according to the Defendants, merely highlight the underlying risks common
to all hernia repair surgeries, risks that the Defendants contend are well-known in the medical
community. See MTD at 15. In a footnote, the Defendants add that the first article -- “Central
Failures of Monofilament Polyester Mesh Causing Hernia Recurrence: A Cautionary Note” -examines “Parietex TCM,” and its potential for tearing, which, the Defendants contend, is not
causally connected to Nowell’s main injury, that is, infection. MTD at 15 n.14 (citing C.C. Petro
et. al., Central Failures of Lightweight Monofilament Polyester Mesh Causing Hernia Recurrence:
A Cautionary Note, 19 Hernia 155 (2015)). Moreover, according to the Defendants, the second
article -- “Postoperative Mesh Infection -- Still a Concern in Laparoscopic Era” -- summarizes
published findings and mentions the Defendants’ Parietex mesh only once; it says nothing about
Parietex Composite. MTD at 15 n.14 (citing Rajvilas Narkhede et. al., Postoperative Mesh
Infection -- Still a Concern in Laparoscopic Era, 77 Indian J. Surg. 322 (2015)). Finally, the
Defendants aver, although the third article -- “Novel in Vitro Model for Assessing Susceptibility
of Synthetic Hernia Repair Meshes to Staphylococcus aureus Infection” -- studies “Parietex
Composite,” it does not suggest a potential defect in the Defendants’ mesh that could be causally
linked to Nowell’s injuries. See MTD at 15 n.14 (citing Ihab F. Halaweish et. al., Novel in Vitro
Model for Assessing Susceptibility of Synthetic Hernia Repair Meshes to Staphylococcus aureus
- 19 -
Infection Using Green Fluorescent Protein-labeled Bacteria and Modern Imaging Techniques, 11
Surgical Infections 449 (2010)). None of the articles, argue the Defendants, demonstrate or even
suggest that the Defendants’ Parietex Composite Mesh caused Nowell’s injury or provide any
factual support for Nowell’s assertion that “[t]his article arguably proves that Parietex mesh causes
harmful bacterial infections.” MTD at 15 (citing Amended Complaint ¶ 39, at 10).
Turning to Nowell’s manufacturing defect claim, the Defendants assert that New Mexico
law requires Nowell to prove that the Defendants’ mesh came “‘off the assembly line with a
manufacturing defect’ that caused it to ‘depart[] from its intended design,’” MTD at 15-16
(alteration in MTD)(quoting Parker v. St. Vincent Hosp., 1996-NMCA-070, ¶ 14, 919 P.2d 1104,
1108), and thus, in contrast to a design defect claim, Nowell must allege and prove that a deviation
from the intended design -- as opposed to a defect in the design itself -- caused her injuries, see
MTD at 16. The Defendants maintain that Nowell’s assertion, that the mesh “deviated materially
from the Defendants’ design and manufacturing specifications,” MTD at 16 (quoting Amended
Complaint ¶ 125, at 29), is merely a “‘formulaic recitation of the elements of [the] cause of action’
without any corresponding factual support,” MTD at 16 (alteration in MTD)(quoting Ashcroft v.
Iqbal, 556 U.S. at 678). The Defendants urge the Court to dismiss Nowell’s manufacturing defect
claim, because the Amended Complaint does not identify a specific defect imparted during the
manufacturing process that caused the mesh implanted in Nowell “to depart from its FDA-cleared
design and performance standards, or from other Parietex mesh products manufactured by
Defendants.” MTD at 16.
Nowell’s third strict liability claim, her failure-to-warn claim, according to the Defendants,
requires her to prove not only that “(1) no warning was provided or the warning was inadequate;
- 20 -
and (2) the inadequacy or absence of the warning caused the plaintiff’s injury,” MTD at 16
(quoting Silva v. Smithkline Beecham Corp., No. 31,276, 2013 WL 4516160, at *3 (N.M. Ct. App.
Feb. 7, 2013)), but also, pursuant to the learned-intermediary doctrine,7 that a proper warning
would have altered her physician’s decision to use the Defendants’ mesh, see MTD at 16-17 (citing
Silva v. Smithkline Beecham Corp., No. 31,276, 2013 WL 4516160, at *3). In a footnote, the
Defendants note that the Court previously declined to apply the learned-intermediary doctrine to a
failure-to-warn claim, see MTD at 17 n.15 (citing Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d
1174, 1226 (D.N.M. 2008)(Browning, J.)), but suggest that, because the Court of Appeals of New
Mexico has since applied the learned-intermediary doctrine to such a claim, and because the
Supreme Court of New Mexico has not decided the issue, the intermediate court’s decision may
“prove helpful” in predicting how the state supreme court would decide the issue, MTD at 17 n.15
(quoting Am. Fire & Cas. Co. v. BCORP Canterbury at Riverwalk, LLC, 282 F. App’x 643, 648
(10th Cir. 2008)). The Defendants insist that the Amended Complaint does not allege facts
pertaining to these elements; for example, instead of alleging specific statements, so that the Court
could evaluate the statements’ sufficiency, Nowell asserts a list of warnings that, in her opinion,
the Defendants should have provided. See MTD at 17 (citing Amended Complaint ¶ 129, at 307
Black’s Law Dictionary defines the “Learned-Intermediary Doctrine”: “The principle that
a prescription-drug manufacturer fulfills its duty to warn of a drug’s potentially harmful effects by
informing the prescribing physician, rather than the end-user, of those effects.” LearnedIntermediary Doctrine, Black’s Law Dictionary 1024 (10th ed. 2014). Black’s Law Dictionary
notes that another term for “learned intermediary” is “informed intermediary,” which it defines as
“[s]omeone who is in the chain of distribution from the manufacturer to the consumer and who
knows the risks of the product.” Intermediary, Black’s Law Dictionary 938 (10th ed. 2014). See
Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d 1174, 1190 (D.N.M. 2008)(Browning, J.)(“Pursuant
to the learned-intermediary doctrine, the prescribing physician acts as a learned intermediary
between a prescription drug manufacturer and the ultimate user, and the manufacturer satisfies its
duty to warn by providing adequate warnings to the prescribing physician.”).
- 21 -
31). This list, according to Defendants, “could apply to any number of medical products,” MTD
at 17; it does not describe “a specific risk of harm” attendant to a defect known to the Defendants,
MTD at 17 (quoting Golden v. Brown, No. 17CV30568, 2017 WL 3272368, at *5 (Colo. Dist. Ct.
June 27, 2017)). Moreover, the Defendants assert, Nowell has alleged merely that the “Defendants
did not adequately warn the Plaintiff,” MTD at 17 (quoting Amended Complaint ¶ 129, at 30), and
not that a proper warning would have altered her physician’s decision to use the Defendants’ mesh
and thereby prevented her injuries, see MTD at 17-18 (citing Silva v. Smithkline Beecham Corp.,
No. 31,276, 2013 WL 4516160, at *3 (“Plaintiffs must show that adequate warnings would have
altered Dr. Lopez-Colberg’s decision to treat Patient with Paxil or its generic equivalent.”)). The
Defendants add that the Amended Complaint does not include “[a]ny allegation that Plaintiff’s
physicians were not aware of the purported ‘dangerous condition’ and, more essentially, would
not have utilized Defendants’ product had they been adequately warned.” MTD at 18 (citing Tapia
v. Davol, Inc., 116 F. Supp. 3d 1149, 1158-59 (S.D. Cal. 2015)(Curiel, J.)(“Plaintiff has failed to
allege that Defendants failed to warn his prescribing physician and failed to allege that if his
prescribing physician had been warned, then he would not have prescribed the [Defendants’ hernia
repair patch] to Plaintiff.”)). Furthermore, the Defendants contend, the pain-and-infection risks
associated with hernia repair surgery, regardless whether mesh is used, “were well known in the
medical community at the time of Plaintiff’s surgery,” MTD at 18, as the FDA’s inclusion of “pain,
infection, hernia recurrence, [and] scar-like tissue” in its list of inherent hernia surgery risks
confirms. MTD at 18 (emphasis in MTD)(internal quotation marks omitted)(quoting Hernia
Surgical Mesh Implants, FDA, https://www.fda.gov/MedicalDevices/ProductsandMedicalProced
ures/ImplantsandProsthetics/HerniaSurgicalMesh/default.htm (last visited Feb. 4, 2018)). The
- 22 -
Defendants add that the scientific articles cited in the Amended Complaint discuss the general
infection risks associated with all hernia surgery repair, which further evidences the medical
community’s general awareness of such risks. MTD at 18.
Regarding Nowell’s breach-of-express-warranty claim, the Defendants argue that New
Mexico’s UCC requires Nowell to prove that the Defendants’ “(1) ‘made an[] express affirmation
or representation . . . regarding’ the product; (2) the product deviated from the express warranty;
and (3) that deviation caused plaintiff’s injuries,” and contend that Nowell’s Amended Complaint
neither alleges facts pertaining to these three elements nor identifies a specific warranty that is
purportedly deficient, MTD at 17-18
(alteration in MTD)(quoting Bellman v. NXP
Semiconductors USA, Inc., 248 F. Supp. 3d at 1153). Nowell’s only allegations, according to the
Defendants, are boilerplate recitations of the cause of action, such as “Defendant expressly
warranted [the mesh] to be safe and effective for consumers like Plaintiff,” MTD at 19 (internal
quotation marks omitted)(quoting Amended Complaint ¶ 147, at 34-35), which courts “routinely
dismiss” as insufficiently pled, MTD at 19 (citing Bellman v. NXP Semiconductors USA, Inc.,
248 F. Supp. 3d at 1153 (“Indeed, aside from perfunctorily alleging in the Complaint that Rinchem
Co. ‘expressly’ warranted the chemicals that it supplied . . . Plaintiffs never explain the manner in
which Rinchem Co. made such a warranty or identify the warranty’s precise terms.”); Hammonds
v. Bos. Sci., Inc., No. CIV-11-0663-HE, 2011 WL 4978369, at *2 (W.D. Okla. Oct. 19,
2011)(Heaton, J.)(“[H]er amended complaint still fails to identify what warranties and
misrepresentations were made.”)). Without alleging a specific warranty’s contents, the Defendants
contend, neither the Defendants nor the Court can evaluate its sufficiency. See MTD at 19 (citing
Bellman v. NXP Semiconductors USA, Inc., 248 F. Supp. 3d at 1153 (“[T]he Court cannot
- 23 -
conclude . . . that [the defendant] made any express warranty, nor can it conclude, absent
knowledge of the alleged warranty’s terms, whether [defendant] breached those terms.”)). The
Defendants add that the Honorable Christina Armijo, United States District Judge for the District
of New Mexico, “dismissed a nearly identical breach of express warranty claim” in Mims v. Davol,
Inc., MTD at 19 (citing Mims v. Davol, Inc., 2017 WL 3405559, at *6), and thus the Court should
likewise dismiss Nowell’s breach-of-express-warranty claim against the Defendants.
Considering Nowell’s breach-of-implied-warranty claim, the Defendants assert that the
Amended Complaint neither alleges a claim for breach of implied warranty of fitness for a
particular purpose nor facts pertaining to each element of Nowell’s implied-warranty-ofmerchantability claim, which are the only claims for breaches of implied warranties that New
Mexico’s UCC permits. See MTD at 20 (citing N.M. Stat. Ann. §§ 55-2-314 to -315). The
Defendants note that the Amended Complaint does not mention the phrase “particular purpose”
but instead alleges that the Defendants’ mesh was not “merchantable,” which the Defendants
contend is a distinct and independent implied warranty. MTD at 20 (citing Amended Complaint
¶¶ 152, at 35; 154, at 35; 155, at 35-36; 159, at 36; 162, at 36-37)). The Defendants add, in a
footnote, that, although the Amended Complaint also alleges that the mesh was not “fit for the
ordinary purposes for which” it was sold, MTD at 20 n.17 (quoting Amended Complaint ¶ 152, at
35), that this phrase is included in the statutory definition of “merchantable,” MTD at 20 n.17
(citing N.M. Stat. Ann. § 55-2-314(2)(c) (“Goods to be merchantable must be at least such as . . .
are fit for the ordinary purposes for which such goods are used.”)).
The Defendants contend that, to maintain a claim for breach of the implied warranty of
merchantability, Nowell must prove that “the seller sold goods or products that fail to meet the
- 24 -
statutory definition of merchantable,” MTD at 20 (internal quotation marks omitted)(quoting
Bellman v. NXP Semiconductors USA, Inc., 248 F. Supp. 3d at 1126), which “resembles ordinary
products liability claims” in that the claimant must provide “proof of a defect,” Bellman v. NXP
Semiconductors USA, Inc., 248 F. Supp. 3d at 1155 (internal quotation marks omitted)(quoting
Pac. Indem. Co. v. Therm-O-Disc, Inc., 476 F. Supp. 2d at 1225). Hence, the Defendants conclude,
the Court should dismiss Nowell’s claim for breach of the implied warranty of merchantability for
the same reasons as the Court should dismiss her strict-liability and negligence claims -- the
Amended Complaint does not sufficiently allege a defect that renders the Defendants’ mesh
“unreasonably dangerous” and caused her injuries. MTD at 20-21 (internal quotation marks
omitted)(quoting Perfetti v. McGhan Med., 1983-NMCA-032, ¶ 45, 662 P.2d 646, 654 (“In this
case the identical defect is relied on for both products liability and breach of the implied warranty
of merchantability.”)).
The Defendants insist that, as with Nowell’s substantive causes of action, the Court should
deny her request for punitive damages, because the Amended Complaint does not allege the
requisite corresponding factual allegations to support a finding of the requisite scienter for punitive
damages. See MTD at 21. Instead, according to the Defendants, the Amended Complaint “simply
recites the standard for punitive damages,” MTD at 21 (citing Amended Complaint ¶ 102, at 22
(“Defendant’s conduct as described herein shows willful misconduct, malice, fraud, wantonness,
oppression, or that entire want of care which raises the presumption of conscious indifference to
consequences, thereby justifying an award of punitive damages.”)), which is the kind of
“unadorned, the-defendant-unlawfully-harmed-me accusation” that Bell Atlantic Corp. v.
Twombly and Ashcroft v. Iqbal foreclose, MTD at 21 (internal quotation marks omitted)(internal
- 25 -
quotation marks omitted)(quoting Ashcroft v. Iqbal, 556 U.S. at 678).
2.
The MTD Response.
Nowell responds to the Defendants’ MTD. See Plaintiff’s Response to Defendants Motion
to Dismiss, filed April 16, 2018 (Doc. 30)(“MTD Response”). Nowell argues that the Court either
should deny the MTD or should treat the MTD as a motion for summary judgment pursuant to rule
12(d). See MTD Response at 2. Nowell begins by summarizing the pleading standard that the
Supreme Court describes in Bell Atlantic Corp. v. Twombly and Ashcroft v. Iqbal, see MTD
Response at 2 (citing Ashcroft v. Iqbal, 556 U.S. at 675; Bell Atlantic Corp. v. Twombly 550 U.S.
at 570), and notes that this standard does not require complaints to include “all the factual
allegations necessary to sustain a conclusion that defendant violated clearly established law,” MTD
Response at 2-3 (quoting Breidenbach v. Bolish, 126 F.3d 1288, 1293 (10th Cir. 1997)). Nowell
insists that, in Currier v. Doran, 242 F.3d 905 (10th Cir. 2001), the United States Court of Appeals
for the Tenth Circuit concluded that the Supreme Court “superseded” such a requirement with its
decision in Crawford-El v. Britton, 523 U.S. 574 (1998), MTD Response at 3 (citing Currier v.
Doran, 242 F.3d at 916), and that Bell Atlantic Corp. v. Twombly articulates merely a “minimal
standard of notice pleading.” MTD Response at 3. Nowell adds, in a footnote, that this “general
or ‘notice’ pleading, rather than detailed pleading” compels courts to construe liberally a plaintiff’s
allegations. MTD Response at 3 (citing Johnson v. City of Shelby, 135 S. Ct. 346, 347, (2014)).
Nowell next asserts that the Amended Complaint contains “good faith” causes of action
“supported by a) Ms. Nowell’s surgeon; b) the scientific literature; and c) common sense.” MTD
Response at 3 (footnotes omitted)(citing Amended Complaint ¶ 38-39, at 8-11). Nowell contends
that her allegations sufficiently notify the Defendants that scientific arguments support her liability
theories. See MTD Response at 3. According to Nowell, such arguments include that the mesh
- 26 -
material “was hazardous due to its incompatibility with human tissue” and “was dangerous because
it was unreasonably susceptible to mechanical failure.” MTD Response at 3. Nowell argues that
“the hazardous materials” used to manufacture the Defendants’ mesh caused the mesh’s
disintegration and Nowell’s infection. MTD Response at 3-4. Nowell adds that she will develop
her “scientific arguments” after discovery and expert witness evaluation. MTD Response at 4.
Nowell has not retained an expert witness to develop her scientific arguments, she asserts, because
the Amended Complaint provides adequate notice of her claims’ plausibility. See MTD Response
at 4. Nowell adds that the Defendants will have an opportunity to refute her “scientific claims,”
but that “such arguments are largely premature at this stage because the factual evidence has not
been developed through discovery.” MTD Response at 4.
Nowell asserts that New Mexico products liability law recognizes “claims sounding in
common law negligence and in strict liability,” and that the Amended Complaint includes claims
that arise under these theories. MTD Response at 5 (citing Parker v. St. Vincent Hosp., 1996NMCA-070, ¶ 14, 919 P.2d at 1108). She then recites a negligence claim’s elements and asserts
that she established the first element, “the existence of a duty owed to the Plaintiff,” in paragraphs
11, 12, and 27; the second element, “a breach of that duty,” in paragraphs 36, 38, and 41-45; the
third element, “a causal connection between the Defendants’ conduct and her injuries” in
paragraphs 22, 23, 36, 38-40, 46, and 49-51; and the fourth element, “damages” resulting from the
Defendants’ conduct, in paragraphs 69, 85, 102, 109, 118-19, 122, 126, 130, 138, 146, 157, 162,
and in the requested relief on page thirty-seven. MTD Response at 5-6 (citing Parker v. E.I.
DuPont de Nemours & Co., 1995-NMCA-086, ¶ 35, 909 P.2d 1, 11).
- 27 -
According to Nowell, the Amended Complaint alleges in paragraph 86 that the condition
of the Defendants’ mesh resulted in “an unreasonable risk of injury.” MTD Response at 6 (internal
quotation marks omitted)(quoting Smith ex rel. Smith v. Bryco Arms, 2001-NMCA-090, ¶ 13, 33
P.3d 638, 644). Nowell maintains that, in paragraphs 11, 12, and 27, the Amended Complaint
establishes the Defendants as the mesh’s manufacturer and distributor, and, in paragraphs 42, 68,
52(b), 71 73, 83, 86(2), 86(3), 87, 95, 104, 105, 106, 111, 116, 121, 123, 125, 127, and 131, that
the Defendants neither designed nor manufactured the mesh with “ordinary care.” MTD Response
at 6.
Nowell asserts that she “placed the Defendants on notice of her general strict liability
claims,” because her Amended Complaint alleges:
(1) the product was defective (See, Amended Complaint ¶¶38, 41, 42, 47, 50, 52),
(2) the product was defective when it left Defendants’ hands (See, ¶60), and it was
substantially unchanged when it reached the consumer (See, ¶60); (3) that because
of the defect the product was unreasonably dangerous to the consumer (See, ¶86);
(4) that the consumer was injured or damaged (See, ¶¶38, 40); and (5) the defective
product was the proximate cause of the injury or damage (See, ¶¶22, 23, 39, 47, 49,
50, 51).
MTD Response at 7 (citing Garner v. Raven Indus., Inc., 732 F.2d 112, 114 (10th Cir. 1984)).
Nowell avers that “[a]n unreasonable risk of injury is a risk a reasonably prudent person
having full knowledge of the risk would find unacceptable,” MTD Response at 7 (internal
quotation marks omitted)(quoting Smith ex rel. Smith v. Bryco Arms, 2001-NMCA-090, ¶ 13, 33
P.3d at 644), and that the test for such risk “allows for proof and argument under any rational
theory of defect,” MTD Response at 7 (quoting Smith ex rel. Smith v. Bryco Arms, 2001-NMCA090, ¶ 14, 33 P.3d at 644), of which New Mexico recognizes three: manufacture, design, and
failure-to-warn, see MTD Response at 7 (citing Fernandez v. Ford Motor Co., 1994-NMCA-063,
¶ 26, 879 P.2d 101, 110). According to Nowell, the Amended Complaint sufficiently alleges her
- 28 -
strict-liability claims and any deficiency “results not from the fault of Ms. Nowell, but from her
inability to gather information from the Defendants at this pre-discovery stage.” MTD Response
at 7-8.
Nowell quotes from New Mexico’s Civil Uniform Jury Instructions (“Civ. UJI”) to support
her assertion that she may prove causation so long as the defective product contributes to the injury;
“[i]t need not be the only explanation . . . nor the reason that is nearest in time or place.” MTD
Response at 8 (quoting Civ. UJI 13-1424). Moreover, Nowell avers, she may prove causation for
her failure-to-warn claim by showing that “an adequate warning would have been noticed and
acted upon to guard against the danger.” MTD Response at 8 (quoting Civ. UJI 13-1425).
According to Nowell, the Amended Complaint alleges causation specifically in paragraph
38, wherein she states that the “Plaintiff underwent surgery during which the surgeon, Dr. William
Pollard, removed an infected and disintegrated Parietex mesh in Plaintiff’s abdomen.” MTD
Response at 8 (citing Amended Complaint ¶ 38, at 8). Nowell adds that paragraph 38 alleges that
she “experienced pain in the area of the mesh and exhaustion,” and that the mesh “also caused
Plaintiff to undergo multiple surgical interventions.” MTD Response at 8 (citing Amended
Complaint ¶ 38, at 8). Moreover, adds Nowell, paragraph 46 alleges that the mesh “was made
from material that is both biologically incompatible with human tissue and susceptible to
mechanical failure,” which, “when implanted in the human body, . . . promotes (and in Ms.
Nowell[’s] case it promoted) infection and disintegration.”
MTD Response at 8-9 (citing
Amended Complaint ¶ 46, at 12). Nowell insists that paragraph 38 contains “scientific references”
which show that “non-biologically compatible Paritex mesh” causes the type of injuries that
- 29 -
Nowell suffered, i.e., “disintegration and infection.” MTD Response at 9 (citing Amended
Complaint ¶ 38, at 8).
Regarding her failure-to-warn claim, Nowell maintains that the allegations in the Amended
Complaint are sufficient, because paragraph 67 states that the “‘Defendants failed to provide
sufficient warnings’ . . . to put Ms. Nowell ‘on notice of the dangers and adverse effects caused by
implantation of the Product’” and because paragraph 70 states that the Defendants marked the
mesh “as safe” and as “free from the kinds of risks and hazards that the [Product] actually posed.”
MTD Response at 9 (alteration in MTD Response)(citing Amended Complaint ¶ 70, at 17).
Further support for this claim, according to Nowell, is seen in paragraph 139, which states that
“[b]ut for the Defendants’ failure-to-warn, the Plaintiff would not have sustained [the alleged]
injuries,” MTD Response at 9 (citing Amended Complaint ¶ 139, at 33), paragraph 138, which
states that Nowell’s injuries “would not have occurred if adequate warning and instruction had
been provided,” MTD Response at 9 (citing Amended Complaint ¶ 138, at 33), and paragraph 129,
which states that the Defendants’ “failure to warn caused . . . Plaintiff not to be aware of the defects
[that] cause her injury,” MTD Response at 9 (alteration in MTD Response)(citing Amended
Complaint ¶ 129, at 30)). According to Nowell, these allegations are sufficient for a reasonable
jury to find that, had the Defendants warned Nowell of the mesh’s “actual risks,” “she would have
declined to have it surgically implanted in her body.” MTD Response at 9.
Nowell concedes that she has not obtained information regarding the mesh’s “exact
manufacturing process and specific warranty language,” but insists that this information is within
the Defendants’ “exclusive control.” MTD Response at 9. Hence, Nowell requests the Court’s
- 30 -
permission to amend further the Amended Complaint “once this information becomes available
through the discovery process.” MTD Response at 10.
Nowell next responds to the Defendants’ averment that “significant overlap” exists
between Nowell’s negligence and strict-liability claims, and asserts that “this overlap results from
the similarity of elements between the two causes of action.” MTD Response at 10 (citing MTD
at 11). Nowell argues that the “breach” and “defect” elements in a strict liability claim, and in a
negligence claim, respectively, are “closely related,” because both elements “require an
unreasonable departure from ordinary care.” MTD Response at 10. Nowell adds that “causation”
is another element that strict liability and negligence claims share, because “products liability law
evolved from negligence law.” MTD Response at 10 (citing MacPherson v. Buick Motor Co., 217
N.Y. 382, 382 (N.Y. 1916)(Cardozo, J.)). Nowell suggests that the Court should focus on whether
the Amended Complaint adequately places the Defendants on notice of her claims and not whether
such claims overlap. See MTD Response at 10.
Nowell disputes the Defendants’ contention that she engaged in a “post hoc ergo prompter
hoc logical fallacy,” because her causation theories are “based on scientific research.” MTD
Response at 10-11 (citing MTD at 11). Nowell further disputes the Defendants’ contention that
she “seems to concede that a safer hernia mesh design is not possible,” because the Amended
Complaint alleges that the Defendants should have made their mesh from “biologically
compatible” material that “was not susceptible to mechanical failure” and that “it is allegedly
possible to manufacture a product with these attributes.” MTD Response at 11 (citing MTD at
14). Nowell asserts that her punitive damages request is not an allegation that the Court can
dismiss for failure to state a claim upon which relief can be granted, because, according to Nowell,
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the Tenth Circuit has concluded that a punitive damages claim is “part and parcel of a liability
determination,” and “does not have any independent being until a jury has decided, based on the
preponderance of the evidence, that not only was a defendant’s conduct negligent, but that it was
gross, willful, wanton or malicious.”
MTD Response at 11 (internal quotation marks
omitted)(quoting Mason v.Texaco, Inc., 948 F.2d 1546, 1554 (10th Cir. 1991)). Moreover, Nowell
argues that the Amended Complaint alleges, in paragraphs 85, 91, 98, 102, 114, 119, 139, and 162,
conduct that qualifies for punitive damages. MTD Response at 12.
Nowell next disputes the Defendants’ allegations that she did not bring her claims within
the applicable statutes of limitations, because, according to Nowell, the discovery rule tolls the
limitations period and she did not discover that the Defendants’ mesh was causing her injury until
October 8, 2014, when Dr. Pollard advised her “for the first time that there was a problem with the
mesh and that it had to be removed.” MTD Response at 12-13 (citing Williams v. Stewart, 2005NMCA-061, ¶ 10, 112 P.3d 281, 285). Nowell asserts that Martinez v. Showa Denko, K.K., 1998NMCA-111, 964 P.2d 176, wherein the Court of Appeals of New Mexico stated that, under the
discovery rule, the statute of limitations is triggered when the plaintiff “acquires knowledge of
facts, conditions, or circumstances which would cause a reasonable person to make an inquiry
leading to the discovery of the concealed cause of action,” further supports her position. MTD
Response at 13 (internal quotation marks omitted)(quoting Martinez v. Showa Denko, K.K., 1998NMCA-111, ¶ 24, 964 P.2d at 182). Nowell adds that the October 6, 2014, CT scan, attached to
the MTD Response as Exhibit B, and which Dr. Pollard memorialized in his clinic notes, attached
to the MTD Response as Exhibit A, informed Dr. Pollard’s decision to remove the mesh. See
MTD Response at 13.
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Nowell concedes that she was skeptical about the mesh’s safety before October 8, 2014,
but relied on Dr. Pollard’s opinion that the mesh was not her symptoms’ source. See MTD
Response at 14. Hence, Nowell argues that it would have been unreasonable for her to assume
that the mesh was the cause of her symptoms until October 8, 2014, which, according to Nowell,
the Amended Complaint alleges in paragraph 38. See MTD Response at 13-14. Nowell adds that
her April 16, 2018, declaration, attached to the MTD Response as Exhibit C, further alleges these
facts. See MTD Response at 14. Nowell therefore maintains that, because she acquired “sufficient
knowledge to pursue a cause of action” on October 8, 2014, and because she filed her original
Complaint on October 5, 2017, she brought this action within the statute of limitations. MTD
Response at 14. Nowell adds that, although she has “presented matters outside the pleadings in
the form of three exhibits,” MTD Response at 14, the exhibits rebut the Defendants’ assertion that
“uncontroverted facts” show that Nowell filed her claim outside the statute of limitations. MTD
Response at 14 (quoting MTD at 6). Nowell requests that, should the Court consider her exhibits,
the Court treat the MTD as a motion for summary judgment pursuant to rule 12(d) of the Federal
Rules of Civil Procedure. See MTD Response at 15 (citing Fed. R. Civ. P. 12(d) (“If, on a motion
under Rule 12(b)(6) or 12(c), matters outside the pleadings are presented to and not excluded by
the court, the motion must be treated as one for summary judgment under Rule 56.”)).
3.
The MTD Reply.
The Defendants reply to the MTD Response. See Reply in Support of Defendants’ Motion
to Dismiss, filed May 4, 2018 (Doc. 32)(“MTD Reply”). In the MTD Reply, the Defendants assert
that the Court should grant the MTD, because the MTD Response does not identify well-pled
allegations which could support the elements necessary to prove Nowell’s claims, and because it
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confirms that the statutes of limitations bar Nowell’s claims. See MTD Reply at 1. The
Defendants repeat their argument that the “uncontroverted facts” establish that the applicable
statutes of limitations bar Nowell’s claims, which warrant dismissal pursuant to rule 12(b)(6).
MTD Reply at 1 (quoting Anderson Living Tr. v. WPX Energy Prod., LLC, 2015 WL 3543011,
at *34). The Defendants contend that the MTD Response does not address the Defendants’
argument that Nowell’s warranty claims are untimely, “and thus concedes the point.” MTD Reply
at 1 (citing MTD at 7; Pennington v. Northrop Grumman Space & Mission Sys. Corp., 269 F.
App’x 812, 820 (10th Cir. 2008)). Nowell’s claims are untimely, argue the Defendants, because
the discovery rule is inapplicable, see MTD Reply at 2 (citing N.M. Stat. Ann. § 55-2-725), and
because Nowell filed suit on October 5, 2017, which is outside the statutorily permitted four-year
period to bring a warranty claim arising from her October 27, 2010 surgery, see MTD Reply at 2
(citing Porcell v. Lincoln Wood Prods., Inc., 2010 WL 1541264, at *4).
The Defendants reassert that Nowell’s negligence and strict liability claims are also
untimely, because such claims carry a three-year statute of limitations period, and because Nowell
did not file suit “until almost seven years” after her October 27, 2010, surgery. MTD Reply at 2.
Defendants dispute that Nowell can salvage her claims “by contending that she ‘did not reasonably
discover that the Parietex was causing her injuries until October 8, 2014,’” MTD Reply at 2
(quoting MTD Response at 13), because she acknowledges that she underwent a second surgery
on April 27, 2011, after the Defendants’ mesh “allegedly ‘began to pull away from the actual
edges,’” MTD Reply at 2 (emphasis in MTD Reply)(quoting Amended Complaint ¶ 38, at 8). The
Defendants aver, in a footnote, that, although the MTD Response alleges that Nowell’s physician
“affirmatively told her that there was not a problem with the mesh” and specifically advised her
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that the mesh “was not causing her symptoms,” MTD Reply at 2 n.1 (quoting MTD Response at
14), the Amended Complaint alleges only that, following her April 27, 2011, surgery, “she was
‘not informed by the doctor that there was any problem with the mesh itself,’ . . . and that
‘[b]etween April 27, 2011 and March 1, 2014,’ she was ‘not advised that [her symptoms] were
caused by the mesh,’” MTD Reply at 2 n.1 (emphasis and alterations in MTD Reply)(quoting
Amended Complaint ¶ 38, at 8). The Defendants contend that, if Nowell’s “new claims” about
her physician’s statements are true, they “raise serious questions” about Nowell’s ability to
establish causation.
MTD Reply at 2 n.1.
The Defendants contend that Nowell had the
“knowledge of facts, conditions, or circumstances” to cause a “reasonable person to make an
inquiry” whether the mesh caused her injuries more than six years before she filed suit. MTD
Reply at 2-3 (internal quotation marks omitted)(quoting Butler v. Deutsche Morgan Grenfell, Inc.,
2006-NMCA-084, ¶ 34, 140 P.3d at 540).
Nowell’s duty to inquire “only intensified,” the Defendants insist, because, “[b]etween
April 27, 2011 and March 1, 2014, [Nowell] began experiencing symptoms including but not
limited to exhaustion and pain in the area of the mesh.” MTD Reply at 3 (emphasis in MTD
Reply)(internal quotation marks omitted)(quoting Amended Complaint ¶ 38, at 8).
The
Defendants assert that the Amended Complaint does not allege why Nowell did not ensure whether
the mesh was sufficiently defective to file suit at the time of her April 27, 2011, surgery or in the
three years between that surgery and her March, 2014, CT scan, i.e., allegations “that if she had
diligently investigated the problem she would have been unable to discover the cause of her
injury.” MTD Response at 3 (internal quotation marks omitted)(quoting Martinez v. Showa
Denko, K.K., 1998-NMCA-111, ¶ 22, 964 P.2d at 180). Hence, the Defendants conclude that the
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Amended Complaint does not allege facts that could toll Nowell’s negligence and strict liability
claims. See MTD Reply at 3.
The Defendants argue that the three exhibits which Nowell attaches to the MTD Response
“show a lack of respect for the pleadings requirements of the federal rules,” given that Nowell has
had three opportunities -- “an initial complaint and two amended pleadings” -- to raise the fact
issues that Nowell’s exhibits address. MTD Reply at 3. Nonetheless, the Defendants assert, the
first two exhibits, the CT scan and physician’s notes, are irrelevant, because they relate to Nowell’s
2014 surgery, which occurred after the statute of limitations had run. See MTD Reply at 3. The
Defendants contend that the Court cannot consider Nowell’s exhibits, see MTD Reply at 3 (citing
Great Am. Ins. Co. v. Crabtree, No. CIV 11-1129 JB/KBM, 2012 WL 3656500 at *21 (D.N.M.
Aug. 23, 2012)(Browning, J.)(citing Casanova v. Ulibarri, 595 F. 3d 1120, 1125 (10th Cir. 2010)),
but even if it could, “they do not address the fact that she was on discovery notice prior to the
expiration of the statute of limitations in October 2013,” MTD Reply at 4. The Defendants add
that the Court likewise cannot consider the Declaration of Janice Nowell, filed April 16, 2018
(Doc. 30-3)(“Nowell Affidavit”), in which she alleges that her physician told her that the pain in
the area around her mesh did not relate to the mesh itself. See MTD Reply at 4 (citing Anderson
Living Tr. v. WPX Energy Prod., LLC, 2015 WL 3543011, at *13; Lymon v. Aramark Corp., 728
F. Supp. 2d 1222, 1261 (D.N.M. 2010)(Browning, J.), aff’d, 499 F. App’x 771 (10th Cir. 2012)).
Even if the Court could consider the Nowell Affidavit, according to the Defendants, the Nowell
Affidavit does not save Nowell’s time-barred claims, because Dr. Pollard’s diagnosis either was
true, which would negative Nowell’s claims, or was a misdiagnosis, which would not relieve
Nowell of her responsibility to pursue her symptom’s cause. See MTD Reply at 4 (citing Robinson
- 36 -
v. BNSF Ry. Co., No. 11-2464-JWL, 2012 WL 4747155, at *4 (D. Kan. Oct. 4, 2012)(Lungstrum,
J.)(“[A] misdiagnosis does not relieve a patient of all responsibility in pursuing the cause of her
symptoms, and continued reliance on a misdiagnosis in the face of contrary evidence may be
unreasonable.”), aff’d sub nom. Robinson v. BNSF Ry. Co., 553 F. App’x 792 (10th Cir. 2014)).
Here, according to the Defendants, Nowell cannot rely on her physician’s alleged misdiagnosis to
toll her claims, because she “affirmatively alleges” that she had surgery to repair the mesh within
a year of its implantation and that she continued to suffer pain in the area around the mesh for three
additional years. MTD Reply at 4-5.
The Defendants contend that Nowell’s request that the Court exercise its discretion to
accept her exbibits and to treat the MTD as a motion for summary judgment pursuant to rule 12(d)
is moot, because, “even if considered, they do not save her claims.” MTD Reply at 5. Moreover,
the Defendants insist, rule 12(d) permits the conversion that Nowell requests “only if ‘all parties
[are] given reasonable opportunity to present all material made pertinent to such a motion by Rule
56.’” MTD Reply at 5 (quoting Fed. R. Civ. P 12(d)). In contrast to Nowell’s “repeated
opportunities to include all necessary and relevant information” in the Amended Complaint, the
Defendants assert that they have not had the opportunity to discover material germane to a rule 56
motion, and that, for this reason, the Court should deny Nowell’s request for a rule 12(d)
conversion. See MTD Reply at 5. Should the Court convert the MTD into a motion for summary
judgment, the Defendants request the opportunity to obtain discovery “limited to the statute of
limitations issue, before the Court considers the motion.” MTD Reply at 5 (emphasis in MTD
Reply).
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Turning to Nowell’s negligence claim, the Defendants argue that the MTD Response does
not identify any well-pled facts in the Amended Complaint which allege that the Defendants
breached a duty that caused Nowell’s injuries. See MTD Reply at 6. The Defendants dispute that
Breidenbach v. Bolish and Currier v. Doran support Nowell’s pleading standards assertions,
because those cases, according to the Defendants, discuss pleading requirements only in the
qualified-immunity context, “which obviously has no bearing in this case.” MTD Reply at 6 n.3
(citing MTD Response at 3). The Defendants add that none of Nowell’s pleadings refer to “any
specific acts or omissions” which suggest that the Defendants breached their duty of care to Nowell
but instead provide “general allegations” that the Defendants did not properly inspect, test or
package the mesh “without specifying how the inspections, testing, or packaging failed to satisfy
a manufacturer’s duty to exercise ordinary care.”
MTD Reply at 6 (emphasis in MTD
Reply)(citing Mims v. Davol, Inc., 2017 WL 3405559, at *4). The Defendants insist that, because
the FDA has never recalled any of their mesh products, the Amended Complaint’s lack of
allegations as to how the Defendants breached their duty is “especially problematic.” MTD Reply
at 7.
The Defendants reassert their dispute that the three scientific articles which the Amended
Complaint cites support Nowell’s causation theories, because these articles do not suggest that the
Defendants’ mesh caused Nowell’s injuries. See MTD Reply at 7. According to the Defendants,
each article focuses on well-known risks attendant to all hernia surgeries. See MTD Reply at 7.
The Defendants assert that Nowell “misses the point” when she contends that the overlap between
her negligence and strict liability claims “arises from the ‘similarity of elements between the two
causes of action,’” because the Defendants’ argument is that pleading negligence requires more
- 38 -
than pleading strict liability, and it therefore follows that, because Nowell has inadequately pled
strict liability, the Court should dismiss her negligence claims. MTD Reply at 8 (quoting MTD
Response at 10).
According to the Defendants, Nowell’s strict liability claims for design defect and for
failure-to-warn both require pleading that the mesh was “‘defective’ and ‘unreasonably
dangerous,’” but Nowell has neither pled a specific defect in the Defendants’ mesh design, nor a
feasible design alternative that lacked the defect and that would have prevented her injuries. MTD
Reply at 8 (citing Morales v. E.D. Etnyre & Co., 382 F. Supp. 2d at 1283 (“Thus, to the extent that
a plaintiff could come to court and merely criticize a product, the Court believes that the New
Mexico law required the plaintiff to propose an alternative design.”)). The Defendants note that
the MTD Response proposes a design alternative “made from a material that a) was biologically
compatible; and b) was not susceptible to mechanical failure,” and assert that, even if Nowell
includes this allegation in her Amended Complaint, which the Defendants contend she does not,
the inclusion does not answer what alternative design is allegedly compatible with Nowell’s
specific biology and not susceptible to mechanical failure. MTD Reply at 9 (internal quotation
marks omitted)(quoting MTD Response at 11). The Defendants repeat their argument that Nowell
has not pled facts sufficient to satisfy the elements of a failure-to-warn claim, because her
allegations do not “disclose the nature and extent of the danger” about which the Defendants
should have warned. MTD Reply at 10 (quoting Jones v. Minnesota Min. & Mfg. Co., 1983NMCA-106, ¶ 32, 669 P.2d 744, 750 (“A warning, to be adequate, must disclose the nature and
extent of the danger.”)). Furthermore, the Defendants continue, Nowell has not pled facts to
indicate that “proper warnings” would have altered her physician’s treatment decisions. MTD
- 39 -
Reply at 10 (citing Silva v. Smithkline Beecham Corp., 2013 WL 4516160, at *3 (“Plaintiffs must
show that adequate warnings would have altered Dr. Lopez-Colberg’s decision to treat Patient with
Paxil or its generic equivalent.”); Black v. Covidien PLC, No. 17-CV-6085-FPG, 2018 WL
573569, at *4)).
The Defendants insist that Nowell concedes that she has insufficiently pled her
manufacturing defect and warranty claims when she states that “despite due diligence she has been
unable to obtain information pertaining to the exact manufacturing process and specific warranty
language.” MTD Reply at 10 (quoting MTD Response at 9). In response to Nowell’s assertion
that the information necessary to plead her claims is within the Defendants’ exclusive control, and
“will be developed after discovery is complete and an expert witness evaluates the information,”
MTD Reply at 10-11 (quoting MTD Response at 4), the Defendants assert that Nowell cannot rely
on “vague allegations and the hope that discovery eventually will reveal some basis” for Nowell’s
claim, MTD Reply at 11 (citing DM Research v. Coll. of Am. Pathologists, 170 F.3d 53, 56 (1st
Cir. 1999)(“[C]onclusory allegations in a complaint, if they stand alone, are a danger sign that the
plaintiff is engaged in a fishing expedition.”)).
The Defendants maintain that Nowell is not entitled to punitive damages, and contend that
she “misses the point” when she asserts that “punitive damages is not an allegation that can be
dismissed for failure to states a claim,” MTD Reply at 11 (internal quotation marks
omitted)(quoting MTD Response at 11), because, according to the Defendants, Nowell’s punitive
damages request “requires” an allegation that the Defendants engaged in conduct that was
“maliciously intentional, fraudulent, oppressive, or committed recklessly or with a wanton
disregard to the plaintiffs’ rights,” MTD Reply at 11 (emphasis in MTD Reply)(internal quotation
- 40 -
marks omitted)(quoting Loucks v. Albuquerque Nat. Bank, 1966-NMSC-176, ¶ 48, 418 P.2d 191,
199). Hence, punitive damages should not arise, the Defendants conclude, because the Amended
Complaint pleads no facts that could support this claim. See MTD Reply at 11-12.
4.
The Hearing.
At the hearing on August 10, 2018, the Defendants began by asking the Court to grant their
MTD, because, according to the Defendants, Nowell’s Amended Complaint fails to state claims
upon which relief can be granted, and because the applicable statutes of limitations bar her
inadequately pled claims. See Transcript of Hearing at 4:24-5:4 (taken August 10, 2014), filed
August 22, 2018 (Doc. 43)(Reyes)(“Tr.”). The Defendants note that the Amended Complaint is
Nowell’s second amended complaint after seeing the Defendants’ initial motion to dismiss, which
indicates to the Defendants that Nowell is unable to cure the Amended Complaint’s deficiencies.
See Tr. at 5:5-9 (Reyes). The Defendants further note that the three exhibits which Nowell attached
to the MTD Response are improper on a 12(b)(6) motion and that any allegations therein “should
have, of course, been made in any one of her three complaints.” Tr. at 5:14-18 (Reyes).
The Court then asked Nowell whether, after considering the briefing and her reply, she is
willing to concede any of her claims. See Tr. at 6:9-12 (Court).
Nowell responded that she
concedes that the applicable statute of limitations bars her express warranty claim. See Tr. at 6:1417 (Montclare). The Court next asked Nowell to describe what she sees as the defect in the
Defendants’ mesh. See Tr. at 7:1-3 (Court). Nowell responded that the defect, as she sees it, has
two elements: first, that the mesh “was made from a material that was unreasonable, . . . and that
the propensity of the material used to promote infection, as evidenced by the scientific literature,
would make it an unreasonable product and unsafe product”; and second, that “the way that it was
manufactured, the physical integrity of the mesh itself was not sturdy enough to withstand the
- 41 -
forces of [Nowell’s] body and therefore, it did not -- it caused physical injury due to the fact that
the mesh was mechanically unfit.” Tr. at 7:7-22 (Montclare).
The Court confirmed that Nowell is asserting a manufacturing defect claim and a design
defect claim. See Tr. at 7:23-8:1 (Court, Montclare). The Court then asked Nowell whether she
has proposed an alternative material that the Defendants should have used to design their mesh.
See Tr. at 8:2-9 (Court). Nowell responded that she does not have alternatives “at this time.” Tr.
at 8:10-15 (Montclare). The Court asked whether Nowell has retained an expert that has advised
her that the Defendants could have manufactured their mesh using alternative materials. See Tr.
at 8:18-22 (Court). Nowell responded that, although she has not retained such an expert and cannot
“argue the weight of the evidence in that regard at this time,” “the types of surgical mesh that are
being used now are improvements on the older manufacturing methods employed by defendants,”
and that she is “confident” that she can show this to the Court’s satisfaction. Tr. at 8:23-9:5
(Montclare).
The Court confirmed that Nowell does not have an alternative material, see Tr. at 9:6-13
(Court, Montclare), and asked Nowell to make an opening statement, see Tr. at 9:14-16 (Court).
In response, Nowell stated that she is not here to weigh the evidence, but merely to determine
whether the Amended Complaint is plausible on its face. See Tr. at 9:17-21 (Montclare). Nowell
added that she “has articulated, almost element by element, factual assertions that are plausible as
to each and every claim,” which, according to Nowell, is unnecessary “at this early stage.” Tr. at
9:24-10:2 (Montclare). Nowell added that the Court should not expect her “to give complex
scientific arguments on how she could improve the product at this time,” evidence which Nowell
contends will “be forthcoming as the case progresses.” Tr. at 11:1-5 (Montclare). Turning to the
- 42 -
statute of limitations, Nowell asserted that the Court should not deem her to have discovered the
injury until her physician diagnosed it and that cases, in particular Robinson v. BNSF Railway
Co., “investigate the relationship between a misdiagnosis and the discovery of an injury.” Tr. at
11:9-14 (Montclare). Nowell asserted that, because the question when the cause of action occurred
is a factual issue, the Court should analyze it in the summary judgment context, after the Court
affords Nowell the ability to depose witnesses. See Tr. at 11:14-21 (Montclare). Nowell
summarized her response to the Court’s concern regarding an alternate material by asserting that
“a better alternative product would be one that didn’t cause her injury.” Tr. at 12:2-4 (Montclare).
The Defendants asserted that Nowell’s implied breach of warranty claim
carries the same four-year statute of limitations as the express warranty claim, and
that there is no discovery tolling with respect to any warranty claim, including an
implied breach of warranty claim. And because plaintiff did not file her complaint
until seven years after the mesh was implanted, both of the warranty claims are
barred by the statute of limitations.
Tr. at 12:13-22 (Reyes). The Defendants added that Nowell has not set out either warranty claim’s
elements sufficient to withstand rule 12(b)(6). See Tr. at 12:23-13:2 (Reyes).
The Court then asked Nowell why she is conceding that her express-warranty claim is timebarred, but arguing that her implied warranty claim is timely. See Tr. at 13:3-7 (Court). Nowell
responded that a New Mexico statute makes clear that the discovery rule cannot toll an express
warranty claim, but that “New Mexico law . . . has not made a decision anywhere in the case law
or in statutory law that would either apply or not apply the discovery rule to implied warranty
claims such as that for a particular fitness of purpose or merchantability.” Tr. at 13:14-19
(Montclare).
The Court then asked why a federal court should predict that the Supreme Court of New
Mexico would apply the discovery rule to an implied warranty claim and whether other courts
- 43 -
have done so, see Tr. at 13:22-14:6 (Court), to which Nowell responded that she has observed a
trend in New Mexico appellate jurisprudence which indicates that the Court of Appeals of New
Mexico or the Supreme Court of New Mexico would apply the discovery rule to implied warranty
claims “because this particular type of claim is very tort-related, whereas most express warranty
claims are more sales-related,” Tr. at 14:7-19 (Montclare).
The Defendants then directed the Court to AIG Aviation Insurance v. Avco Corp., 709 F.
Supp. 2d 1124 (D.N.M. 2010)(Black, J.), wherein the Honorable Bruce Black, former United
States District Judge for the District of New Mexico, concluded that implied warranties “by their
very nature ‘do not explicitly guarantee future performance’” and therefore cannot be tolled
pursuant to the applicable statute. Tr. at 15:4-16 (Reyes)(quoting AIG Aviation Ins. v. Avco Corp.,
709 F. Supp. 2d at 1132). The Defendants add that no reason exists to distinguish between an
implied-warranty claim and an express-warranty claim in the discovery rule context, because
“[t]he question is: What is the product being guaranteed for?” Tr. at 15:20-25 (Reyes). The Court
asked the Defendants whether any court has held or suggested that the discovery rule applies to an
implied-warranty claim. See Tr. at 16:2-6 (Court). The Defendants responded that they “have not
seen that in our research to date” and that Nowell apparently also has not seen it, Tr. at 16:9-11
(Reyes), to which Nowell replied that she believes that federal courts in the United States District
Court for the District of Kansas have interpreted State of Kansas law to hold that the discovery
rule does apply to implied warranties, see Tr. at 16:12-17 (Montclare). The Defendants responded
that they “are trying really hard not to make a We’re-not-in-Kansas joke.” Tr. at 16:22-23 (Reyes).
The Defendants turned next to their argument that the Amended Complaint fails to state a
claim for the breach of implied warranty, and asserted that Nowell “does not set out what the
- 44 -
warranty was, what the implied warranty was, or what the breach of that was with respect to that.”
Tr. at 17:10-15 (Reyes). The Court asked Nowell what the implied warranty is in this case. See.
Tr. at 17:16-17 (Court). Nowell responded: “merchantability, . . . due to the fact that . . . the
particular type of mesh that was used was causing injuries, . . . and that an implied warranty would
extend from the discovery of that injury.” Tr. at 17:18-25 (Montclare). The Defendants rejoined:
“[I]f an implied warranty could be tolled under the discovery rule, it would gut the express
warranty rule with respect to the statute of limitations.” Tr. at 18:6-9 (Reyes).
The Defendants insisted that the parties agree that Nowell did not file her claims until seven
years after her initial surgery involving the Defendants’ mesh, and, thus, “because the face of the
complaint establishes that the statute of limitations bar the claim without some form of tolling,”
Nowell now bears the burden to make allegations that, if proven at trial, could convince a
reasonable jury to reject the limitations. Tr. at 18:20-19:4 (Reyes). The Defendants insisted further
that Nowell has not carried this burden and that she misconstrues the discovery rule when she
states that it became reasonable to assume that the Defendants’ mesh was causing her symptoms
only on October 8, 2014, i.e., after her physician diagnosed the mesh as her injury’s cause despite
its implantation nearly four years before, in October, 2010. See Tr at 19:5-19 (Reyes). The
Defendants continued:
The question under the discovery rule is not when a plaintiff gets a definitive
diagnosis of the injury and its cause. The question is when the plaintiff, quote,
“experiences physical symptoms that would cause an ordinary person to make an
inquiry about the discovery of the cause of the symptoms. That is the point at which
the statute of limitations begins to accrue.”
Tr. at 19:20-20:2 (Reyes)(quoting Gerke v. Romero, 2010-NMCA-60, ¶ 14, 237 P. 3d. 111, 116).
The Defendants added that Gerke v. Romero is a case which Nowell herself directed the Court in
the MTD Response. See Tr. at 20:3-6 (Reyes). The Defendants maintained that, “as a matter of
- 45 -
law,” Nowell’s cause of action accrued “no later than April 27, 2011,” because, on that date,
Nowell underwent a second hernia mesh surgery, which “was necessitated because the mesh had
begun to, quote, ‘pull away from the edges,’ end quote.” Tr. at 20:8-15 (Reyes)(quoting Amended
Complaint, ¶ 38, at 8). The Defendants insisted that Nowell was “on inquiry notice that there may
have been an issue with the mesh,” not only because of the second surgery but also because, from
April 27, 2011, to March 1, 2014, “she continued to experience exhaustion and pain, quote, ‘in the
area of the mesh,’ end quote.” Tr. at 20:16-22 (Reyes)(quoting Amended Complaint ¶ 38, at 8).
The Defendants added that the statutes of limitation on Nowell’s remaining claims are three years
and therefore are timed-barred even if tolled until April 27, 2011. See Tr. at 21:8-11 (Reyes).
Nowell responded that the parties and the Court are “not here to weigh the evidence of . . .
the specific facts that went to when this cause of action ensued” and that the cases which the
Defendants cite are “summary judgment cases where the few facts have been . . . fully developed
through the discovery process including the depositions of all the witnesses.” Tr. at 21:15-22:1
(Montclare). Nowell added that even the Defendants’ “most powerful case,” Robinson v. BNSF
Railway Company, “which investigated the relationship between the misdiagnosis and the
discovery of an injury” is a summary judgment case that is distinguishable from the facts here,
because the patient in Robinson v. BNSF Railway Company was not under a physician’s constant
care, unlike Nowell, and because the patient’s physician did not discuss potential other causes for
the patient’s injury, whereas here Nowell’s physician “discussed the possibility that the staph
infection could have been normal.” Tr. at 22:5-18 (Montclare). Nowell added that, in Robinson
v. BNSF Railway Co., the Honorable John Lungstrum, United States District Judge for the District
of Kanasas, “discussed [Mest v. Cabot Corp., 449 F.3d 502, 514 (3d Cir. 2006)], which indicates
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affirmatively that a negative diagnosis on the part of the doctor would toll the statute of
limitations.” Tr. at 22:15-18 (Montclare). Nowell contended that Mest v. Cabot Corp. is relevant
here, because here her physician, “up until October 8, [2014,] had affirmatively said that the mesh
did not cause the injury.” Tr. at 22:19-25 (Montclare). Nowell maintained that her claims are
plausible and that, “at the very least, there is a material issue of fact . . . as to when the statute of
limitations accrued,” which, according to Nowell, is a summary judgment standard that the Court
need not consider on a motion pursuant to rule 12(b)(6). Tr. at 23:2-8 (Montclare).
The Court asked Nowell whether she has anything further to say regarding the discovery
issue, i.e., any facts to add that are not already in the Nowell Affidavit or in her Amended
Complaint, because, in the Court’s experience, plaintiffs avoid addressing statutes-of-limitations
questions at the motion-to-dismiss stage by omitting dates, which the Court previously has
permitted, but here the Amended Complaint and the Nowell Affidavit include dates and facts such
that the issue arguably is ripe for decision. See Tr. at 23:10-24:6 (Court). Nowell responded in
the affirmative and argued that the case has not ripened to the point where the Court can make a
final decision, because Nowell, for example, has not deposed her physician “so that he can explain
in detail how he had indicated that he affirmatively said that the mesh was not involved.” Tr. at
24:7-14 (Montclare). “So we have not even scratched the surface as far as our ability to marshal
the evidence in support of the claim, because we simply don’t believe that that’s our burden at this
juncture.” Tr. at 24:14-18 (Montclare). The Court asked whether Nowell is suggesting that a split
exists among jurisdictions or whether, among New Mexico cases, “there were some cases that read
a certain way which suggest your facts would be time-barred, that the discovery rule -- the
discovery would have occurred earlier; and then there are some cases that you’re saying it would
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not satisfy the discovery rule[.]” Tr. at 24:22-25:4 (Court). In response, Nowell asserted that the
cases to which she directs the Court explain how a physician’s misdiagnosis could toll the statute
of limitations when the misdiagnosis prevents the plaintiff from discovering the issue, and that
such cases might help the defense to build arguments “during summary judgment” whether
Nowell’s cause of action accrued before the misdiagnosis. Tr. at 25:8-19 (Montclare). The Court
asked what about Robinson v. BNSF Railway Co. tells Nowell that her case is not appropriate
either to decide on a motion to dismiss or to decide that the discovery rule does not apply. See Tr.
at 25:22-26:5 (Court). Nowell responded that Robinson v. BNSF Railway Co. cites Mest v. Cabot
Corp., which “basically says that if the doctor gives a misdiagnosis to the plaintiff, as he did in this
case, the statute of limitations tolls. Because . . . the plaintiff did not know that there was an injury,
because the doctor told the plaintiff that that was not a cause of the injury.” Tr. at 26:12-22
(Montclare). The Court then asked whether Nowell is alleging that her physician committed
malpractice. See Tr. at 26:24-27:1 (Court). Nowell responded that her physician’s statement -that the Defendants’ mesh was not the cause of Nowell’s injury until October 8, 2014, when he
changed his opinion -- “may very well be malpractice,” but that she has not developed that
argument and therefore considers it a misdiagnosis. Tr. at 27:3-8 (Montclare).
The Defendants conceded that Robinson v. BNSF Railway Co. “does indicate that a
misdiagnosis is not a basis not to toll the discovery rule,” but asserted that the issue here is “[w]hen
the individual was on inquiry notice and should have taken reasonable action, reasonable actions
would have uncovered the injury.” Tr. at 27:25-28:5 (Reyes). The Defendants emphasized that
Mest v. Cabot Corp. is a United States Court of Appeals for the Third Circuit case and called the
Court’s attention to Martinez v. Showa Denko, K.K., which is a Court of Appeals of New Mexico
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case. See Tr. at 28:7-11 (Reyes). The Defendants contended that, in Martinez v. Showa Denko,
K.K., the Court of Appeals of New Mexico addresses the interplay between a misdiagnosis and
the discovery rule:
“This case involves contrary diagnoses in which the overwhelming diagnosis was
that the individual had not suffered a particular injury that was caused by a
product.” It later turned out that she had, and the Court wrote, “Although we are
sympathetic to plaintiff’s situation, nothing in the discovery rule serves to suspend
the running of the statute of limitations merely because there are divergent medical
opinions concerning the nature or cause of the illness or injuries. As observed by
another court” -- they cite another court in Texas -- “because of the discovery rule’s
requirement of reasonable diligence, the tolling of the applicable statute of
limitations by the rule ends when the person claiming the benefit of the rule
acquires knowledge of facts, conditions, or circumstances which would cause a
reasonable person to make an inquiry leading to the discovery of the concealed
cause of action. This is so because the knowledge of such matters is, in the law,
equivalent to knowledge of the cause of action itself for limitation purposes.”
Tr. at 28:13-29:9 (Reyes)(quoting Martinez v. Showa Denko, K.K., 1998-NMCA-111, ¶ 24, 964
P.2d 176, 182).
The Defendants noted that, although the Court cannot take the Nowell Affidavit into
consideration if the case proceeds to discovery, the Defendants assume that Nowell will testify
consistent with the Nowell Affidavit, and that the Nowell Affidavit’s statements, specifically,
“I was concerned that there was a problem with the surgical mesh that was
implanted on October 27, 2010. I talked about my concerns with my physician. He
advised me that he did not think that my symptoms were caused by the mesh. Since
he is my doctor, I accepted his advice that the mesh was not causing my symptoms.
However, I still had my suspicions.”
indicate as a matter of law that Nowell’s claims are time-barred. Tr. at 29:10-24 (Reyes)(quoting
Nowell Affidavit at 1)). The Defendants reasserted that the statute of limitations began to run after
Nowell’s second surgery put Nowell on inquiry notice and expired well before Nowell filed her
initial Complaint. See Tr. at 29:25-30:5 (Reyes). Because Nowell was on inquiry notice as of the
day of her second surgery, in April, 2011, the Defendants argued, discovery will not change the
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facts in the Amended Complaint and in the Nowell Affidavit, and will confirm only that the statutes
of limitations bar Nowell’s claims. See Tr. at 30:614 (Reyes).
Turning to Nowell’s strict-liability claims, the Defendants asserted that Nowell conceded
in the MTD Response that she did not plead facts sufficient to state a manufacturing-defect claim.
See Tr. at 30:22-31:10 (Reyes)(quoting MTD Response at 9 (“In regard to the manufacturing and
warranty defects, Ms. Nowell concedes that despite due diligence, she has been unable to obtain
information pertaining to the exact manufacturing process and specific warranty [language].”)).
The Defendants urged the Court to take Nowell’s assessment to its logical conclusion and dismiss
her manufacturing-defect claim, because she does not “state in any way, shape, or form how this
particular mesh was defective when it came out of the plant with respect to the manufacturing.”
Tr. at 31:11-17 (Reyes). The Court asked the Defendants whether this argument applies to all
three of Nowell’s strict-liability theories -- design, manufacture, and failure-to-warn. See Tr. at
31:18-24 (Court). The Defendants responded that their understanding is that Nowell’s concession
is limited to her manufacturing-defect claim. See Tr. at 31:25-32:5 (Reyes). Nowell replied that
her inability to articulate plausible facts regarding the manufacturing defect is because that
information is available to her only through the discovery process: “The nuances of the
manufacturing process are not known and cannot be known by my client until further discovery.”
Tr. at 32:8-15 (Montclare). She therefore asked the Court to dismiss that count without prejudice.
See Tr. at 32:16-17 (Montclare).
The Defendants turned next to Nowell’s design-defect claim and disputed Nowell’s
assertion that, because the mesh material did not prevent accumulation of infection, it was therefore
unreasonable. See Tr. at 33:11-20 (Reyes). Instead, the Defendants argued that all hernia repair
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surgeries carry a well-known infection risk, and, thus Nowell’s infection allegation is insufficient
to indicate that the Defendants’ mesh is unreasonably dangerous. See Tr. at 33:20-34:2 (Reyes).
The Defendants provided the Court with three grounds to dismiss Nowell’s claim:
[F]irst, the claim must be dismissed because they haven’t alleged an actual design
defect. Secondly, the claim should be dismissed because there’s nothing in her
allegation that makes it plausible as opposed to just consistent with or possible that
her injury was caused by a defect in the mesh as opposed to it just being a known
side effect of a well-functioning mesh and would have happened regardless of what
mesh was used. And third . . . , Your Honor, you had another good question . . . ,
which is: What safer alternative design is she proposing with respect to the mesh?
And . . . they don’t have one. And . . . they don’t have one because all meshes carry
this potential risk of infection that Ms. Nowell was injured by.
Tr. at 34:3-20 (Reyes).
The Defendants reminded the Court of its opinion in Morales v. E.D. Etnyre & Co. wherein,
the Defendants argued, the Court “rightfully said that we should be concerned with the plaintiff
coming to court ‘merely to criticize a product’ without proposing any alternative.” Tr. at 34:2125 (Reyes)(quoting Morales v. E.D. Etnyre & Co., 382 F. Supp. 2d at 1283 (“Thus, to the extent
that a plaintiff could come to court and merely criticize a product, the Court believes that the New
Mexico law required the plaintiff to propose an alternative design.”). The Defendants disputed
Nowell’s position that she can later obtain an expert to deduce a safer alternative: “We don’t put
parties to the expense of litigation in the hopes that someone will be able to manufacture a claim
with further discovery. The very purpose of [Ashcroft v.] Iqbal and [Bell Atlantic Corp. v.]
Twombly is that we use the complaint process as a gatekeeping function.” Tr. at 35:5-10 (Reyes).
An alternative theory for Nowell’s infection, the Defendants contended, is that, because
“it’s clear from her complaint that for four years, she didn’t seem to have an infection in her
abdomen,” Nowell developed a staph infection, “which began at the skin, at the drainage site, [and]
migrated down to her body[,] to include the mesh.” Tr. at 35:14-36:1 (Reyes). The Defendants
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insist that this theory is consistent with the Amended Complaint’s allegations and with the
physician’s notes that Nowell attaches to the MTD Response. See Tr. at 36:2-9 (Reyes).
The Court stated that it has dealt with competing designs at trial, “so it’s clear to the jury
what they’re being asked to compare the current design with,” but questioned whether state or
federal pleading law requires the plaintiff in a products liability case “to put their competing
designs on the table at the time they file the case.” Tr. at 36:21-37:5 (Court). In response, Nowell
asserted that the Court in Morales v. E.D. Etnyre & Co. made clear to the parties that it would not
permit that case to go to trial unless the plaintiff proposed a safer alternative. See Tr. at 37:8-12
(Reyes). The Defendants added that Nowell has not alleged that a safer hernia mesh product design
exists which could reduce the risk of infection, because “the very injury that she’s complaining of
is an injury that’s inherent in every single mesh product.” Tr. at 37:13-24 (Reyes). The Defendants
insisted that the Court should require Nowell to propose a safer alternative design before allowing
Nowell to proceed with discovery. See Tr. at 38:3-8 (Reyes). The Defendants informed the Court
that, after its decision in Morales v. E.D. Etnyre & Co., the Court of Appeals of New Mexico
issued a decision in Bustos v. Hyundai Motor Co., 2010-NMCA-090, 243 P.3d 440, which
distinguished Morales v. E.D. Etnyre & Co., because the Court of Appeals of New Mexico
discussed whether a safer alternative design was an element with respect to enhanced injuries, and
it concluded that the jury should consider the safer alternative as a factor but not as a requirement.
See Tr. at 38:9-22 (Reyes)(citing Bustos v. Hyundai Motor Co., 2010-NMCA-090, ¶ 57, 243 P.3d
at 453). The Defendants noted, however, that the Court of Appeals of New Mexico in Bustos v.
Hyundai Motor Co. quoted the Court favorably regarding whether a plaintiff can come to court
merely to criticize a product. See Tr. at 38:23-39:2 (Reyes). The Defendants added that, after the
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Supreme Court’s decisions in Bell Atlantic Corp. v. Twombly and Ashcroft v. Iqbal, Nowell must
present the Court with a hernia mesh alternative that does not carry a risk of infection, which, the
Defendants maintain, is a product that does not exist. See Tr. at 39:2-9 (Reyes).
In response, Nowell argued that an alternative design better than the Defendants’ mesh is
not an element of her claims, and she therefore does not need to articulate one at this time. See
Tr. at 39:13-18 (Reyes). Nevertheless, Nowell asserted, the Amended Complaint cites three
scientific articles which indicate how the Defendants’ “actual, specific mesh” is dangerous. Tr. at
39:23-40:2 (Montclare). “Central Failures of Monofiliment Polyester Mesh Causing Hernia
Recurrence: A Cautionary Note,” Nowell averred, describes how a mesh type similar to the
Defendants’ “was deemed to have had a high incidence of mechanical failure.” Tr. at 40:2-7
(Montclare). Further evidence, alleged Nowell, is in “Postoperative Mesh Infection -- Still A
Concern in Laparoscopic Era,” which “states that this type of synthetic mesh was . . . dangerous,”
and in “Novel in Vitro Model for Assessing Susceptibility of Synthetic Hernia Meshes,” which
“state[s] that this type of mesh is a major cause of patient morbidity and results in substantial health
care expenditures.”
Tr. at 40:8-18 (Montclare).
Because these articles indicate that the
Defendants’ mesh is “extremely dangerous,” Nowell concluded, the question is not whether
Nowell can present the Court with a better mesh but whether the Defendants’ mesh “should be
used in the first place.” Tr. at 40:21-24 (Montclare).
The Defendants disputed that the three scientific articles support Nowell’s allegation that
the Defendants’ mesh is dangerous, beginning with the first article, which “discusses a potential
for a central mesh fracture, which is not an injury complained of here, not something that happened
with the mesh here. It also discussed a different mesh.” Tr. at 41:7-14 (Reyes). Moreover, the
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Defendants continued, the second and third articles support the Defendants’ position that infection
is a known risk in all hernia repair surgeries and, therefore, Nowell cannot allege causation,
because the Amended Complaint does not assert facts to suggest that Nowell’s injury resulted from
a design defect as opposed to a side effect associated with all surgical hernia repairs. See Tr. at
41:15-25 (Reyes).
The Defendants next turned to Nowell’s failure-to-warn claim and asserted that all hernia
repair meshes, including their mesh, carry a warning that infection is a known side effect; “[s]o
the physician was warned of the risk of the infection, and the duty here runs from the manufacturer
to the physician.” Tr. at 42:7-14 (Reyes). The Defendants noted that the Amended Complaint
does not allege that the Defendants did not warn Nowell’s physician or that her physician would
have made a decision not to use the Defendants’ mesh had he had a different warning. See Tr. at
42:14-17 (Reyes).
The Defendants acknowledged their familiarity with the Court’s decision in Rimbert v. Eli
Lilly & Co., wherein the Court concluded that the Supreme Court of New Mexico would not adopt
the learned-intermediary doctrine, but asserted that the rationale underlying that decision does not
apply here, because Rimbert v. Eli Lilly & Co. involved direct manufacturer-to-consumer
advertising and the Defendants do not advertise their hernia mesh products to the consumer
directly. See Tr. at 42:18-43:8 (Reyes). A patient’s physician, the Defendants argued, makes the
decision as to which hernia mesh to use, and this decision is based often on the physician’s
idiosyncratic preferences for one mesh over another or, once the surgery has commenced, after the
physician can evaluate a given hernia’s nature and extent. See Tr. at 43:11-17 (Reyes). Hence,
the Defendants concluded, unlike the defendant in Rimbert v. Eli Lilly & Co., they do not have a
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duty to warn the ultimate consumer of the risks associated with their hernia mesh products; “[h]ere
the duty does and must run to the physician.” Tr. at 43:18-22 (Reyes). The Defendants added that
Nowell alleges neither the specific mesh-type that her physician used on her, nor the allegedly
inadequate warnings associated with the specific mesh-type used, which, the Defendants argued,
clouds the question what specific, adequate warning the Defendants could have provided. See Tr.
at 44:5-11 (Reyes).
Nowell replied by identifying two distinct issues: first, whether the Defendants should have
given a warning in the first place, and second, whether any warning was sufficient or reasonable.
See Tr. at 44:14-18 (Montclare). Regarding the first issue, Nowell asserted: “[W]e don’t have any
evidence that an actual warning was given.” Tr. at 44:19-20 (Montclare). Nowell asserted that
the Defendants are liable for failing to warn her of the mesh’s potential to cause injury but
conceded that, “as far as any type of express warranties, we are not in a position to have that
information yet,” and therefore seeks discovery. Tr. at 44:23-45:7 (Montclare).
The Court asked Nowell whether the Defendants accurately described her failure-to-warn
claim. See Tr. at 45:8-10 (Court). Nowell responded that, although the Defendants did “a
reasonable job” describing it, they did not address the “material issue of fact as to whether or not
. . . a specific warning should have been given, given the dangerous propensity of this mesh.” Tr.
at 45:11-17 (Montclare). Nowell added that, if the Defendants did not give a required warning,
they violated their duty to warn. See Tr. at 45:18-20 (Montclare). The Defendants responded that
the question is whether the Defendants should have warned Nowell’s physician and then asserted
that Nowell does not know whether the Defendants did so, which is a basis for dismissal, according
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to the Defendants, given that “we’re far down the road and that we do have pleading standards.”
Tr. at 45:23-46:9 (Reyes).
The Defendants argued that the Court should dismiss Nowell’s negligence claim for the
same reason that it should dismiss her design-defect and failure-to-warn claims, i.e., because the
Amended Complaint does not include factual allegations “with respect to a duty or respect to a
breach of the duty.” Tr. at 46:15-23 (Reyes). Without an alleged design defect or an alleged
failure-to-warn, the Defendants continued, Nowell cannot allege a breach and the Court, therefore,
should dismiss her negligence claim. See Tr. at 46:23-47:2 (Reyes). Nowell responded that the
MTD Response discusses “every element of negligence and what would have to be proven should
this case go to trial,” and includes citations to the relevant paragraphs in the Amended Complaint,
which “provide a plausible claim for negligence.” Tr. at 48:6-20 (Montclare)(citing MTD
Response at 5). The Defendants replied that the citations to which Nowell directs the Court in the
MTD Response “are just conclusory allegations that are plainly not sufficient under Iqbal and
Twombly.” Tr. at 48:25-49:4 (Reyes). The Defendants added that they have also asked the Court
to dismiss Nowell’s punitive damages claim. See Tr. at 49:5-6 (Reyes). In response, Nowell
asserted that she is not “under the burden to discuss each element,” but has nevertheless done so,
and that, “as far as punitive damages are concerned,” the MTD Response “cite[s] numerous
paragraphs that support why punitive damages would be appropriate according to the elements of
New Mexico Law.” Tr. at 49:14-25 (Montclare). The Defendants reasserted their position that
the Amended Complaint does not “allege the type of egregious conduct that would warrant
punitive damages.” Tr. at 50:4-7 (Reyes).
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The Court stated that, although it needs to consider further the implied-warranty issue, the
Court nonetheless thinks that Nowell is “kind of pushing the envelope to try to get the discovery
rule to apply to the implied warranty claim” and that the Court, therefore, is “inclined to think that
it’s just overwhelming that th[e] discovery rule shouldn’t apply.” Tr. at 50:10-18 (Court). Turning
to the facts that the Amended Complaint alleges, the Court stated that plaintiffs sometimes want
bad news early, and that, “by putting all these facts and all these detailed allegations in the
complaint, that there’s a lot to work with here to decide whether the negligence and strict liability
claims have been tolled.” Tr. at 51:1-7 (Court). The Court added that it looks to the Court like
Nowell “was on notice that she had some problems outside the statute of limitations period,”
although the Court expressed its intention to review Robinson v. BNSF Railway Co. alongside
Nowell’s other cases and arguments. Tr. at 51:8-13 (Court). The Court stated that it needs to
consider further the Defendants’ remaining 12(b)(6) arguments and that it wants to review the
Court of Appeals of New Mexico’s decision in Bustos v. Hyundai Motor Co., but that it seems to
the Court that “to embark on a case like this without some alternatives to the product that’s being
challenged here may just not get us anywhere.” Tr. at 51:14-52:3 (Court). The Court nonetheless
expressed that it would review the three scientific articles attached to the Amended Complaint to
“see if there’s a design defect here that should go forward.” Tr. at 52:6-10 (Court). The Court
declined to express any inclination regarding Nowell’s failure-to-warn claim, because the Court
desired to consider whether its decision in Rimbert v. Eli Lilly & Co. applies to the facts as Nowell
alleges them. See Tr. at 52:11-15 (Court).
The Court stated its inclination to dismiss Nowell’s
punitive damages claim, because “it doesn’t look like . . . there’s anything that’s pled or even
known by the plaintiff at the present time that would support punitive damages,” but would permit
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Nowell to reassert it “[i]f something comes up down the road.” Tr. at 52:16-22 (Court). The Court
similarly dismissed Nowell’s manufacturing-defect claim, because it agreed with the Defendants
that “we shouldn’t have discovery going to the manufacturing defect” unless “something shows
up in the discovery of the other claims,” in which case Nowell “may be able to move to reinsert
the manufacturing defect claim.” Tr. at 52:22-4 (Court). The Court dissuaded the parties from
continuing to work on this case until the Court issues an opinion, “because I think some claims are
going to be dismissed, if not the case.” Tr. at 53:6-10 (Court).
LAW REGARDING RULE 12(b)(6)
Rule 12(b)(6) authorizes a court to dismiss a complaint for “failure to state a claim upon
which relief can be granted.” Fed. R. Civ. P. 12(b)(6). “The nature of a Rule 12(b)(6) motion
tests the sufficiency of the allegations within the four corners of the complaint after taking those
allegations as true.” Mobley v. McCormick, 40 F.3d 337, 340 (10th Cir. 1994). The sufficiency
of a complaint is a question of law, and when considering a rule 12(b)(6) motion, a court must
accept as true all well-pled factual allegations in the complaint, view those allegations in the light
most favorable to the non-moving party, and draw all reasonable inferences in the plaintiff’s favor.
See Tellabs, Inc. v. Makor Issues & Rights, Ltd., 551 U.S. 308, 322 (2007)(“[O]nly if a reasonable
person could not draw . . . an inference [of plausibility] from the alleged facts would the defendant
prevail on a motion to dismiss.”); Smith v. United States, 561 F.3d 1090, 1098 (10th Cir.
2009)(“[F]or purposes of resolving a Rule 12(b)(6) motion, we accept as true all well-pled factual
allegations in a complaint and view these allegations in the light most favorable to the plaintiff.”
(citing Moore v. Guthrie, 438 F.3d 1036, 1039 (10th Cir. 2006))).
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A complaint need not set forth detailed factual allegations, yet a “pleading that offers
labels and conclusions or a formulaic recitation of the elements of a cause of action” is insufficient.
Ashcroft v. Iqbal, 556 U.S. at 678 (citing Bell Atl. Corp. v. Twombly, 550 U.S. at 555).
“Threadbare recitals of the elements of a cause of action, supported by mere conclusory
statements, do not suffice.” Ashcroft v. Iqbal, 556 U.S. at 678. “Factual allegations must be
enough to raise a right to relief above the speculative level, on the assumption that all the
allegations in the complaint are true (even if doubtful in fact).” Bell Atl. Corp v. Twombly, 550
U.S. at 555 (citation omitted).
To survive a motion to dismiss, a plaintiff’s complaint must contain sufficient facts that, if
assumed to be true, state a claim to relief that is plausible on its face. See Bell Atl. Corp. v.
Twombly, 550 U.S. at 570; Mink v. Knox, 613 F.3d 995, 1000 (10th Cir. 2010). “A claim has
facial plausibility when the pleaded factual content allows the court to draw the reasonable
inference that the defendant is liable for the misconduct alleged.” Ashcroft v. Iqbal, 556 U.S. at
678 (citing Bell Atl. Corp. v. Twombly, 550 U.S. at 556). “Thus, the mere metaphysical possibility
that some plaintiff could prove some set of facts in support of the pleaded claims is insufficient;
the complainant must give the court reason to believe that this plaintiff has a reasonable
likelihood of mustering factual support for these claims.” Ridge at Red Hawk, LLC v. Schneider,
493 F.3d 1174, 1177 (10th Cir. 2007)(emphasis omitted). The Tenth Circuit stated:
“[P]lausibility” in this context must refer to the scope of the allegations in a
complaint: if they are so general that they encompass a wide swath of conduct,
much of it innocent, then the plaintiffs “have not nudged their claims across the
line from conceivable to plausible.” The allegations must be enough that, if
assumed to be true, the plaintiff plausibly (not just speculatively) has a claim for
relief.
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Robbins v. Oklahoma, 519 F.3d 1242, 1247 (10th Cir. 2008)(internal citations omitted)(quoting
Bell Atl. Corp. v. Twombly, 550 U.S. at 570).
Although affirmative defenses must generally be pled in the defendant’s answer, not
argued on a motion to dismiss, see Fed. R. Civ. P. 8(c), there are exceptions where: (i) the defendant
asserts an immunity defense -- the courts handle these cases differently than other motions to
dismiss, see Glover v. Gartman, 899 F. Supp. 2d 1115, 1137-39, 1141 (D.N.M. 2012)(Browning,
J.)(citing Pearson v. Callahan, 555 U.S. 223 (2009); Robbins v. Oklahoma, 519 F.3d 1242 (10th
Cir. 2008)); and (ii) where the facts establishing the affirmative defense are apparent on the face
of the complaint, see Miller v. Shell Oil Co., 345 F.2d 891, 893 (10th Cir. 1965)(“Under Rule
12(b), a defendant may raise an affirmative defense by a motion to dismiss for the failure to state
a claim. If the defense appears plainly on the face of the complaint itself, the motion may be
disposed of under this rule.”). The defense of limitations is the affirmative defense most likely to
be established by the uncontroverted facts in the complaint. See 5 Charles Alan Wright, Arthur
R. Miller, Mary Kay Kane, Richard L. Marcus & Adam N. Steinman, Federal Practice &
Procedure: Civil § 1277 (3d ed. 2014). If the complaint sets forth dates that appear, in the first
instance, to fall outside of the statutory limitations period, then the defendant may move for
dismissal under rule 12(b)(6). See Rohner v. Union Pac. R.R. Co., 225 F.2d 272, 273-75 (10th
Cir. 1955); Gossard v. Gossard, 149 F.2d 111, 113 (10th Cir. 1945); Andrew v. Schlumberger
Tech. Co., 808 F. Supp. 2d 1288, 1292 (D.N.M. 2011)(Browning, J.). The plaintiff may counter
this motion with an assertion that a different statute of limitations or an equitable tolling doctrine
applies to bring the suit within the statute; the Tenth Circuit has not clarified whether this assertion
must be pled with supporting facts in the complaint or may be merely argued in response to the
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motion. Cf. Kincheloe v. Farmer, 214 F.2d 604, 605 (7th Cir. 1954)(holding that, once a plaintiff
has pled facts in the complaint indicating that the statute of limitations is a complete or partial bar
to an action, it is incumbent upon the plaintiff to plead, either in the complaint or in amendments
to it, facts establishing an exception to the affirmative defense). It appears, from caselaw in several
Courts of Appeals, that the plaintiff may avoid this problem altogether -- at least at the motion-todismiss stage -- by simply refraining from pleading specific or identifiable dates, see Goodman v.
Praxair, Inc., 494 F.3d 458, 465-66 (4th Cir. 2007); Hollander v. Brown, 457 F.3d 688, 691 n.1
(7th Cir. 2006); Harris v. New York, 186 F.3d 243, 251 (2d Cir. 1999); Honeycutt v. Mitchell,
2008 WL 3833472 (W.D. Okla. Aug. 15, 2008)(West, J.), and, although the Tenth Circuit has not
squarely addressed this practice, the Court has permitted it, see Anderson Living Tr. v. WPX
Energy Prod., LLC, 27 F. Supp. 3d at 1235-36.
LAW REGARDING JUDICIAL NOTICE OF DOCUMENTS WHEN RULING ON A
MOTION TO DISMISS
Rule 201 of the Federal Rules of Evidence allows a court to, at any stage of the proceeding,
take notice of “adjudicative” facts that fall into one of two categories: (i) facts that are “generally
known within the territorial jurisdiction of the trial court;” or (ii) facts that are “capable of accurate
and ready determination by resort to sources whose accuracy cannot reasonably be questioned.”
Fed. R. Evid. 201(b), (f). “Adjudicative facts are simply the facts of the particular case.” United
States v. Wolny, 133 F.3d 758, 764 (10th Cir. 1998)(quoting Fed. R. Evid. 201 advisory
committee’s notes). A court has discretion to take judicial notice of such facts, regardless whether
requested. See Fed. R. Evid. 201(c). On the other hand, if a party requests that the court take
judicial notice of certain facts, and supplies the necessary information to the court, judicial notice
is mandatory. See Fed. R. Evid. 201(d). Also, if the parties timely request an opportunity to be
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heard, the Court must grant such an opportunity “as to the propriety of taking judicial notice and
the tenor of the matter noticed.” Fed. R. Evid. 201(e). That judicial notice may be taken during
any stage of the judicial proceeding includes the motion-to-dismiss stage. See 21B C. Wright &
K. Graham, Jr., Federal Practice & Procedure: Evidence § 5110, at 294 & n.17 (2d ed. 2005).
Moreover, while ordinarily, a motion to dismiss must be converted to a motion for summary
judgment when the court considers matters outside the complaint, see Fed. R. Civ. P. 12(d),
matters that are judicially noticeable do not have that effect, see Duprey v. Twelfth Judicial
Dist. Court, 760 F. Supp. 2d 1180, 1193 (D.N.M. 2009)(Browning, J.)(citing Grynberg v. Koch
Gateway Pipeline Co., 390 F.3d 1276, 1279 n.1 (10th Cir. 2004)). Also, when considering a
motion to dismiss, “the court is permitted to take judicial notice of its own files and records, as
well as facts which are a matter of public record.” Van Woudenberg v. Gibson, 211 F.3d 560, 568
(10th Cir. 2000), abrogated on other grounds by McGregor v. Gibson, 248 F.3d 946, 955 (10th
Cir. 2001). The documents judicially noticed, however, should not be considered for the truth of
the matters asserted therein. See Tal v. Hogan, 453 F.3d 1244, 1265 n.24 (10th Cir. 2006). The
Court has previously judicially noticed news publications and public filings with the Securities
and Exchange Commission. See SEC v. Goldstone, 952 F. Supp. 2d at 1219-20; In re Thornburg
Mortg., Inc. Securities Litig., 2009 WL 5851089, at *3-4. See also Gallegos v. Bernalillo Cty. Bd.
of Cty. Comm’rs, __ F. Supp. 3d __, 2017 WL 4402422, at *18-19 (D.N.M. 2017)(Browning,
J.)(ruling that the Court may take judicial notice of state court orders); A.M. ex rel. Youngers v.
N.M. Dep’t of Health, 117 F. Supp. 3d 1220, 1232 n.6 (D.N.M. 2015)(Browning, J.).
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LAW REGARDING THE USE OF DOCUMENTS OUTSIDE THE PLEADINGS
IN A RULE 12(b)(6) MOTION
Generally, the sufficiency of a complaint must rest on its contents alone. See Casanova v.
Ulibarri, 595 F.3d 1120, 1125 (10th Cir. 2010); Gossett v. Barnhart, 139 F. App’x 24, 24 (10th
Cir. 2005)(unpublished)8(“In ruling on a motion to dismiss, the district court is limited to the facts
pled in the complaint.”). Emphasizing this point, the Tenth Circuit, in Carter v. Daniels, 91 F.
App’x 83, 85 (10th Cir. 2004)(unpublished), stated: “When ruling on a Rule 12(b)(6) motion, the
district court must examine only the plaintiff’s complaint. The district court must determine if the
complaint alone is sufficient to state a claim; the district court cannot review matters outside of the
complaint.” 91 F. App’x at 85. There are three limited exceptions to this general principle: (i)
documents that the complaint incorporates by reference, see Tellabs, Inc. v. Makor Issues &
Rights, Ltd., 551 U.S. 308, 322 (2007); (ii) “documents referred to in the complaint if the
documents are central to the plaintiff’s claim and the parties do not dispute the documents’
authenticity,” Jacobsen v. Deseret Book Co., 287 F.3d 936, 941 (10th Cir. 2002); and (iii) “matters
8
Gossett v. Barnhart is an unpublished opinion, but the Court can rely on an unpublished
opinion to the extent its reasoned analysis is persuasive in the case before it. See 10th Cir. R.
32.1(A), 28 U.S.C. (“Unpublished decisions are not precedential, but may be cited for their
persuasive value.”). The Tenth Circuit has stated:
In this circuit, unpublished orders are not binding precedent, . . . and we have
generally determined that citation to unpublished opinions is not favored.
However, if an unpublished opinion or order and judgment has persuasive value
with respect to a material issue in a case and would assist the court in its
disposition, we allow a citation to that decision.
United States v. Austin, 426 F.3d 1266, 1274 (10th Cir. 2005). The Court concludes that Gossett
v. Barnhart, Carter v. Daniels, 91 F. App’x 83 (10th Cir. 2004), Nard v. City of Oklahoma City,
153 F. App’x 529 (10th Cir. 2005), and Douglas v. Norton, 167 F. App’x 698 (10th Cir. 2006),
all have persuasive value with respect to a material issue, and will assist the Court in its
disposition of this Memorandum Opinion and Order.
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of which a court may take judicial notice,” Tellabs, Inc. v. Makor Issues & Rights, Ltd., 551 U.S.
at 322.
If a district court intends to rely on other evidence, it must convert the rule 12(b)(6) motion
to a motion for summary judgment, giving proper notice to the parties. See Fed. R. Civ. P. 12(d)
(“If, on a motion under Rule 12(b)(6) or 12(c), matters outside the pleadings are presented to and
not excluded by the court, the motion must be treated as one for summary judgment under Rule
56.”); GFF Corp. v. Associated Wholesale Grocers, Inc., 130 F.3d 1381, 1384 (10th Cir. 1997).
See also Swoboda v. Dubach, 992 F.2d 286, 290 (10th Cir. 1993)(“In determining whether a
plaintiff has stated a claim, the district court may not look to the Martinez[v. Aaron, 570 F.2d 317
(10th Cir. 1978)(“Martinez”)] report,[9] or any other pleading outside the complaint itself, to refute
facts specifically pled by a plaintiff, or to resolve factual disputes.”); Janke v. Price, 43 F.3d 1390,
1392 (10th Cir. 1994)(holding that district court erred in using Martinez hearing to resolve disputed
factual issues); Northington v. Jackson, 973 F.2d 1518, 1521 (10th Cir. 1992)(“[The Martinez]
process is designed to aid the court in fleshing out possible legal bases of relief from unartfully
drawn pro se prisoner complaints, not to resolve material factual issues.”).
9
According to the Tenth Circuit, Martinez Reports
are intended to provide information for the district court which will enable it to
decide preliminary matters, including jurisdiction and definition of the issues,
especially in § 1983 actions. Martinez v. Aaron, 570 F.2d 317, 319 (10th Cir.
1978); El’Amin v. Pearce, 750 F.2d 829, 832 (10th Cir. 1984). Martinez reports
have been used in this circuit almost exclusively to provide the court preliminary
information, furnished by prison administration personnel, in pro se cases brought
by prisoners against prison officials.
Ketchum v. Cruz, 961 F.2d 916, 920 n.3 (10th Cir. 1992).
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In Gee v. Pacheco, 627 F.3d 1178 (10th Cir. 2010), the defendants “supported their motion
with numerous documents, and the district court cited portions of those motions in granting the
[motion to dismiss].” 627 F.3d at 1186. The Tenth Circuit held that “[s]uch reliance was improper”
and that, even if “the district court did not err initially in reviewing the materials, the court
improperly relied on them to refute Mr. Gee’s factual assertions and effectively convert the motion
to one for summary judgment.” Gee v. Pacheco, 627 F.3d at 1186-87. In other cases, the Tenth
Circuit has emphasized that, “[b]ecause the district court considered facts outside of the complaint,
however, it is clear that the district court dismissed the claim under Rule 56(c) and not Rule
12(b)(6).” Nard v. City of Okla. City, 153 F. App’x 529, 534 n.4 (10th Cir. 2005)(unpublished).
In Douglas v. Norton, 167 F. App’x 698 (10th Cir. 2006)(unpublished), the Tenth Circuit addressed
an untimely filed charge with the Equal Employment Opportunity Commission, and the Tenth
Circuit analogized the deadline to a statute of limitations. 167 F. App’x at 704. The Tenth Circuit
concluded that, because the requirement was not jurisdictional, the district court should have
analyzed the question under rule 12(b)(6), and “because the district court considered evidentiary
materials outside of Douglas’ complaint, it should have treated Norton’s motion as a motion for
summary judgment.” Douglas v. Norton, 167 F. App’x at 704-05. Nevertheless, “[t]he failure to
convert a 12(b)(6) motion to one for summary judgment where a court does not exclude outside
materials is [not] reversible error [if] the dismissal can be justified without considering the outside
materials.” GFF Corp. v. Associated Wholesale Grocers, Inc., 130 F.3d at 1384.
The Court has previously ruled that, when a plaintiff references and summarizes statements
from defendants in a complaint for the purpose of refuting the statements in the complaint, the
Court cannot rely on documents which the defendants attach to a motion to dismiss which contain
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their un-redacted statements. See Mocek v. City of Albuquerque, No. CIV 11-1009 JB/KBM,
2013 WL 312881, at *50-51 (D.N.M. Jan. 14, 2013)(Browning, J.). The Court in Mocek v. City
of Albuquerque reasoned that the statements did not incorporate by reference nor were the
statements central to the plaintiff’s allegations in the complaint because the plaintiff cited the
statements only to attack their reliability and truthfulness. See 2013 WL 312881, at *50-51.
Additionally, the Court has ruled that, when determining whether a statute of limitations has run
in an action alleging fraud and seeking subrogation from a defendant, it may not use interviews
and letters attached to a motion to dismiss which evidence that a plaintiff was aware of the
defendant’s alleged fraud before the statutory period expired. See Great Am. Ins. Co. v. Crabtree,
2012 WL 3656500, at *3, *22-23.
The Court in Great American Insurance Co. v. Crabtree
determined that the documents did not fall within any of the Tenth Circuit’s exceptions to the
general rule that a complaint must rest on the sufficiency of its contents alone, as the complaint
did not incorporate the documents by reference or refer to the documents. See 2012 WL 3656500,
at *22-23. Mocek v. City of Albuquerque, 2013 WL 312881, at *50 (refusing to consider
statements that were not “central to [the plaintiff’s] claims”).
On the other hand, in a securities class action, the Court has ruled that a defendant’s
operating certification, to which plaintiffs refer in their complaint, and which was central to
whether the plaintiffs adequately alleged a loss, falls within an exception to the general rule, so the
Court may consider the operating certification when ruling on the defendant’s motion to dismiss
without converting the motion into one for summary judgment. See Genesee Cty. Emps.’ Ret.
Sys. v. Thornburg Mortg. Secs. Tr. 2006-3, 825 F. Supp. 2d 1082, 1150-51 (D.N.M.
2011)(Browning, J.).
See also SEC v. Goldstone, 952 F. Supp. 2d 1060, 1217-18
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(D.N.M. 2013)(Browning, J.)(considering, on a motion to dismiss, electronic mail transmissions
referenced in the complaint as “documents referred to in the complaint,” which are “central to the
plaintiff’s claim” and whose authenticity the plaintiff did not challenge); Mata v. Anderson, 760
F. Supp. 2d 1068, 1101 (D.N.M. 2009)(Browning, J.)(relying on documents outside of the
complaint, because they were “documents that a court can appropriately view as either part of the
public record, or as documents upon which the Complaint relies, and the authenticity of which is
not in dispute”).
LAW REGARDING AMENDMENT OF PLEADINGS
A party may amend its pleadings once as a “matter of course” within twenty-one days of
serving the pleading or twenty-one days after a service of a motion under rules 12(b), (e), or (f) of
the Federal Rules of Civil Procedure. Fed. R. Civ. P. 15(a)(1). Rule 15(a)(2) provides: “In all
other cases, a party may amend its pleading only with the opposing party’s written consent or the
court’s leave. Under rule 15(a), the court should freely give leave when justice so requires.” Fed.
R. Civ. P. 15(a)(2). See In re Thornburg Mortg., Inc. Sec. Litig., 265 F.R.D. 571, 579-80 (D.N.M.
2010)(Browning, J.); Youell v. Russell, 2007 WL 709041, at *1-2 (D.N.M. 2007)(Browning, J.);
Burleson v. ENMR-Plateau Tele. Coop., 2005 WL 3664299, at *1-2 (D.N.M. 2005)(Browning,
J.). The Supreme Court has stated that, in the absence of an apparent reason such as “undue delay,
bad faith or dilatory motive . . . [,] repeated failure to cure deficiencies by amendments previously
allowed, undue prejudice to the opposing party by virtue of allowance of the amendment, futility
of amendment, etc.,” leave to amend should be freely given. Fomen v. Davis, 371 U.S. at 182.
Furthermore, the Tenth Circuit has held that district courts should grant a plaintiff leave to amend
when doing so would yield a meritorious claim. See Curley v. Perry, 246 F.3d 1278, 1284 (10th
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Cir. 2001). See also In re Thornburg Mortg., Inc. Sec. Litig., 265 F.R.D. at 579-80. “The . . .
Tenth Circuit has emphasized that ‘[t]he purpose of [rule 15(a)] is to provide litigants the
maximum opportunity for each claim to be decided on its merits rather than on procedural
niceties.’” B.T. ex rel. G.T. v. Santa Fe Pub. Schs., No. CIV-05-1165 JB/RLP, 2007 WL 1306814,
at *2 (D.N.M. 2007)(Browning, J.)(quoting Minter v. Prime Equip. Co., 451 F.3d 1196, 1204 (10th
Cir. 2006)).
A court should deny leave to amend under rule 15(a), however, if the proposed
“amendment would be futile.” Jefferson Cnty. Sch. Dist. v. Moody’s Investor’s Serv., 175 F.3d
848, 859 (10th Cir. 1999). See In re Thornburg Mortg., Inc. Sec. Litig., 265 F.R.D. at 579-80. An
amendment is “futile” if the pleading “as amended, would be subject to dismissal.” In re
Thornburg Mortg., Inc. Sec. Litig., 265 F.R.D. at 579-80 (citing TV Commc’ns Network, Inc. v.
Turner Network Television, Inc., 964 F.2d 1022, 1028 (10th Cir. 1992)). A court may also deny
leave to amend “upon a showing of undue delay, undue prejudice to the opposing party, bad faith
or dilatory motive, [or] failure to cure deficiencies by amendments previously allowed.” In re
Thornburg Mortg., Inc. Sec. Litig., 265 F.R.D. at 579 (quoting Frank v. U.S.W., Inc., 3 F.3d 1357,
1365-66 (10th Cir. 1993)). The Tenth Circuit has also stressed that “untimeliness alone is a
sufficient reason to deny leave to amend, especially when the party filing the motion has no
adequate explanation for the delay.” Eckert v. Dougherty, 658 F. App’x 401, 410 (10th Cir.
2016)(unpublished)(quoting Frank v. U.S.W., Inc., 3 F.3d at 1365-66). Moreover, “[w]here the
party seeking amendment knows or should have known of the facts upon which the proposed
amendment is based but fails to include them in the original complaint, the motion to amend is
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subject to denial.” Eckert v. Dougherty, 658 F. App’x at 410-11 (quoting State Distribs., Inc. v.
Glenmore Distilleries Co., 738 F.2d 405, 416 (10th Cir. 1984)).
Undue delay is demonstrated where the proposed amendment comes after the deadline to
amend pleadings and the amending party has no adequate explanation for the delay. See Minter
v. Prime Equip. Co., 451 F.3d at 1206 (“[The Tenth] Circuit . . . focuses primarily on the reasons
for the delay. We have held that denial of leave to amend is appropriate ‘when the party filing the
motion has no adequate explanation for the delay.’” (quoting Frank v. U.S.W. Inc., 3 F.3d at 136366)). It is not the delay itself that warrants denial for leave to amend, but when such delay becomes
undue: “The longer the delay, ‘the more likely the motion to amend will be denied, as protracted
delay, with its attendant burdens on the opponent and the court, is itself a sufficient reason for the
court to withhold permission to amend.’” Minter v. Prime Equip. Co., 451 F.3d at 1205 (quoting
Steir v. Girl Scouts of the USA, 383 F.3d 7, 12 (1st Cir. 2004)). See McKnight v. Kimberly Clark
Corp., 149 F.3d 1125, 1130 (10th Cir. 1998)(finding that a plaintiff had unduly delayed in filing a
pleading where it appeared that the “plaintiff was aware of all the information on which his
proposed amended complaint was based prior to filing the original complaint” and the motion to
amend was filed “five months after discovery cut off”). Courts have found undue delay when a
party moved to amend the pleading to include information the party should have known earlier or
had an earlier opportunity to include in the pleading:
A court may thus deny the motion for leave to amend because of untimeliness,
especially when the party seeking an amendment knows, should have known, or
has reason to know of the facts supporting the claim in the proposed amendment,
but fails to include it when the original complaint was filed.
Street v. Curry Bd. of Cnty. Comm’rs, No. CIV 06-0776 JB/KBM, 2008 WL 2397671, at *5
(D.N.M. 2008)(Browning, J.). See also Pallottino v. City of Rio Rancho, 31 F.3d 1023, 1027 (10th
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Cir. 1994)(noting that a motion to amend “was not based on new evidence unavailable at the time
of the original filing” and denying the motion on that basis).
When a scheduling order governs the case, the Tenth Circuit has interpreted rule 16 of the
Federal Rules of Civil Procedure to impose a “good cause” standard on untimely motions to
amend, which “requires the moving party to show that it has been diligent in attempting to meet
the deadlines, which means it must provide an adequate explanation for any delay.” Minter v.
Prime Equip. Co., 451 F.3d at 1205 n.4. Rule 16(b)(4) states: “A schedule may be modified only
for good cause and with the judge’s consent.” Fed. R. Civ. P. 16(b)(4). “Rule 16 only allows such
amendments for ‘good cause,’ an arguably more stringent standard than the standards for
amending a pleading under Rule 15.”
Bylin v. Billings, 568 F.3d 1224, 1230 (10th Cir.
2009)(quoting Fed. R. Civ. P. 16(b)(4)). The Tenth Circuit has noted that there is a “‘rough
similarity’ between the ‘undue delay’ standard of Rule 15 and the ‘good cause’ standard of Rule
16.” Bylin v. Billings, 568 F.3d at 1231.
[R]ule 16(b) of the Federal Rules of Civil Procedure provides that a court shall enter
a scheduling order limiting the time to amend pleadings. . . . Courts have held that,
when a party files a motion to amend after the scheduling order’s deadline has
passed, (i) ‘[the] movant must first demonstrate to the court that it has a “good
cause” for seeking modification of the scheduling deadline under Rule 16(b)”; and
(ii) “[i]f the movant satisfies Rule 16(b)’s ‘good cause’ standard, it must then pass
the requirements for amendment under Rule 15(a).”
Trujillo v. Bd. of Educ. of the Albuquerque Pub. Sch., Nos. CIV 02-1146 JB/LFG, CIV 03-1185
JB/LFG, 2007 WL 2296955, at *3 (D.N.M. 2007)(Browning, J.)(quoting Colo. Visionary Acad.
v. Medtronic, Inc., 194 F.R.D. 684, 687 (D. Colo. 2000)). The Tenth Circuit has recognized that
there is still an open issue about applying rule 16 to pleading amendments when the time for
seeking leave to amend a pleading has passed under a scheduling order. See Bylin v. Billings, 568
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F.3d at 1232 n.10 (“Because we decline to consider the Bylins’ Rule 16 argument, we leave for
another day the question of whether this circuit should apply Rule 16 when a party seeks to amend
a pleading after a court-imposed deadline.”). In Minter v. Prime Equipment Co., the Tenth Circuit
noted that “[n]either party raises the question, and given the rough similarity between the ‘good
cause’ standard of Rule 16(b) and our ‘undue delay’ analysis under Rule 15, it would not affect
the outcome of this case.” 451 F.3d at 1205 n.4 (quoting SIL-FLO, Inc. v. SFHC, Inc., 917 F.2d
1507, 1518-19 (10th Cir. 1990)). Rule 16 “focuses on the diligence of the party seeking leave to
modify the scheduling order to permit the proposed amendment. . . . Properly construed, ‘good
cause’ means that scheduling deadlines cannot be met despite a party’s diligent efforts.” Advanced
Optics Elecs., Inc. v. Robins, 769 F. Supp. 2d 1285, 1313 (D.N.M. 2010)(Browning, J.). See
Gerald v. Locksley, 849 F. Supp. 2d 1190, 1237-49 (D.N.M. 2011)(Browning, J.)(finding good
cause for granting leave to amend when a plaintiff filed for leave to amend after the deadline in
the scheduling order).
LAW REGARDING MOTIONS FOR SUMMARY JUDGMENT
Rule 56(a) of the Federal Rules of Civil Procedure states: “The court shall grant summary
judgment if the movant shows that there is no genuine dispute as to any material fact and the
movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). “The movant bears the
initial burden of ‘show[ing] that there is an absence of evidence to support the nonmoving party’s
case.’”
Herrera v. Santa Fe Pub. Sch., 956 F. Supp. 2d 1191, 1221 (D.N.M.
2013)(Browning, J.)(quoting Bacchus Indus., Inc. v. Arvin Indus., Inc., 939 F.2d 887, 891 (10th
Cir. 1991)). See Celotex Corp. v. Catrett, 477 U.S. 317, 323 (1986)(“Celotex”).
Before the court can rule on a party’s motion for summary judgment, the moving
party must satisfy its burden of production in one of two ways: by putting evidence
into the record that affirmatively disproves an element of the nonmoving party’s
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case, or by directing the court’s attention to the fact that the non-moving party lacks
evidence on an element of its claim, “since a complete failure of proof concerning
an essential element of the nonmoving party’s case necessarily renders all other
facts immaterial.” Celotex, 477 U.S. at 323-25. On those issues for which it bears
the burden of proof at trial, the nonmovant “must go beyond the pleadings and
designate specific facts to make a showing sufficient to establish the existence of
an element essential to his case in order to survive summary judgment.” Cardoso
v. Calbone, 490 F.3d 1194, 1197 (10th Cir. 2007).
Plustwik v. Voss of Nor. ASA, No. CIV 11-0757 DS, 2013 WL 1945082, at *1 (D. Utah May 9,
2013)(Sam, J.). “If the moving party will bear the burden of persuasion at trial, that party must
support its motion with credible evidence -- using any of the materials specified in Rule 56(c) -that would entitle it to a directed verdict if not controverted at trial.” Celotex, 477 U.S. at 331
(Brennan, J., dissenting)(emphasis in original).10 Once the movant meets this burden, rule 56
requires the nonmoving party to designate specific facts showing that there is a genuine issue for
trial.
See Celotex, 477 U.S. at 324; Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 256
(1986)(“Liberty Lobby”). In American Mechanical Solutions, LLC v. Northland Process Piping,
Inc., 184 F. Supp. 3d 1030 (D.N.M. 2016)(Browning, J.), the Court confronted a situation in which
the movant did not offer evidence disproving the nonmovant’s allegations, but, rather, argued,
under the second option in Celotex, that the nonmovant lacked evidence to establish an element of
its claim. See 184 F. Supp. 3d at 1075. The Court granted summary judgment for the movant,
because the nonmovant -- the plaintiff -- did not offer expert evidence supporting causation or
proximate
causation
for
its
breach-of-contract
10
or
breach-of-the-implied-warranty-of-
Although the Honorable William J. Brennan, Jr., former Associate Justice of the Supreme
Court of the United States, dissented in Celotex, this sentence is widely understood to be an
accurate statement of the law. See 10A Charles Allen Wright & Arthur R. Miller, Federal Practice
and Procedure § 2727, at 470 (3d ed. 1998)(“Although the Court issued a five-to-four decision,
the majority and dissent both agreed as to how the summary-judgment burden of proof operates;
they disagreed as to how the standard was applied to the facts of the case.”).
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merchantability claims as New Mexico law required for those elements. 184 F. Supp. 3d at 1075.
The Court concluded that Celotex applied to the situation, and that, without the requisite evidence,
the nonmovant failed to prove “an essential element of the . . . case.” 184 F. Supp. 3d at 1075
(quoting Plustwik v. Voss of Nor. ASA, 2013 WL 1945082, at *1).
The party opposing a motion for summary judgment must “set forth specific facts showing
that there is a genuine issue for trial as to those dispositive matters for which it carries the burden
of proof.” Applied Genetics Int’l, Inc. v. First Affiliated Sec., Inc., 912 F.2d 1238, 1241 (10th Cir.
1990). See Vitkus v. Beatrice Co., 11 F.3d 1535, 1539 (10th Cir. 1993)(“However, the nonmoving
party may not rest on its pleadings but must set forth specific facts showing that there is a genuine
issue for trial as to those dispositive matters for which it carries the burden of proof.” (internal
quotation marks omitted)(quoting Applied Genetics Int’l, Inc. v. First Affiliated Secs., Inc., 912
F.2d at 1241)). Rule 56(c)(1) provides: “A party asserting that a fact . . . is genuinely disputed
must support the assertion by . . . citing to particular parts of materials in the record, including
depositions, documents, electronically stored information, affidavits or declarations, stipulations
(including those made for purposes of the motion only), admissions, interrogatory answers, or
other materials.” Fed. R. Civ. P. 56(c)(1). It is not enough for the party opposing a properly
supported motion for summary judgment to “rest on mere allegations or denials of his pleadings.”
Liberty Lobby, 477 U.S. at 256. See Abercrombie v. City of Catoosa, 896 F.2d 1228, 1231 (10th
Cir. 1990); Otteson v. United States, 622 F.2d 516, 519 (10th Cir. 1980)(“[O]nce a properly
supported summary judgment motion is made, the opposing party may not rest on the allegations
contained in his complaint, but must respond with specific facts showing the existence of a genuine
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factual issue to be tried.” (internal quotation marks omitted)(quoting Coleman v. Darden, 595 F.2d,
533, 536 (10th Cir. 1979)).
Nor can a party “avoid summary judgment by repeating conclusory opinions, allegations
unsupported by specific facts, or speculation.” Colony Nat’l Ins. v. Omer, No. CIV 07-2123 JAR,
2008 WL 2309005, at *1 (D. Kan. June 2, 2008)(Robinson, J.)(citing Fed. R. Civ. P. 56(e); Argo
v. Blue Cross & Blue Shield of Kan., Inc., 452 F.3d 1193, 1199 (10th Cir. 2006)). “In responding
to a motion for summary judgment, ‘a party cannot rest on ignorance of facts, on speculation, or
on suspicion and may not escape summary judgment in the mere hope that something will turn up
at trial.’” Colony Nat’l Ins. v. Omer, 2008 WL 2309005, at *1 (quoting Conaway v. Smith, 853
F.2d 789, 794 (10th Cir. 1988)).
To deny a motion for summary judgment, genuine factual issues must exist that “can be
resolved only by a finder of fact because they may reasonably be resolved in favor of either party.”
Liberty Lobby, 477 U.S. at 250. A mere “scintilla” of evidence will not avoid summary judgment.
Vitkus v. Beatrice Co., 11 F.3d at 1539 (citing Liberty Lobby, 477 U.S. at 248). Rather, there
must be sufficient evidence on which the fact finder could reasonably find for the nonmoving
party. See Liberty Lobby, 477 U.S. at 251 (citing Vitkus v. Beatrice Co., 11 F.3d at 1539;
Schuylkill & Dauphin Improvement Co. v. Munson, 81 U.S. 442, 448 (1871)). “[T]here is no
evidence for trial unless there is sufficient evidence favoring the nonmoving party for a jury to
return a verdict for that party. If the evidence is merely colorable . . . or is not significantly
probative, . . . summary judgment may be granted.” Liberty Lobby, 477 U.S. at 249 (citations
omitted)(citing First Nat. Bank of Ariz. v. Cities Serv. Co., 391 U.S. 253, 290 (1968); Dombrowski
v. Eastland, 387 U.S. 82, 87 (1967)). Where a rational trier of fact, considering the record as a
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whole, cannot find for the nonmoving party, there is no genuine issue for trial. See Matsushita
Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986).
When reviewing a motion for summary judgment, the court should keep in mind certain
principles. First, the court’s role is not to weigh the evidence, but to assess the threshold issue
whether a genuine issue exists as to material facts requiring a trial. See Liberty Lobby, 477 U.S.
at 249. Second, the ultimate standard of proof is relevant for purposes of ruling on a summary
judgment, such that, when ruling on a summary judgment motion, the court must “bear in mind
the actual quantum and quality of proof necessary to support liability.” Liberty Lobby, 477 U.S.
at 254. Third, the court must resolve all reasonable inferences and doubts in the nonmoving party’s
favor, and construe all evidence in the light most favorable to the nonmoving party. See Liberty
Lobby, 477 U.S. at 255 (“The evidence of the non-movant is to be believed, and all justifiable
inferences are to be drawn in his favor.”); Hunt v. Cromartie, 526 U.S. 541, 550-55 (1999). Fourth,
the court cannot decide any issues of credibility. See Liberty Lobby, 477 U.S. at 255.
There are, however, limited circumstances in which the court may disregard a party’s
version of the facts. This doctrine developed most robustly in the qualified immunity arena. In
Scott v. Harris, 550 U.S. 372 (2007), the Supreme Court concluded that summary judgment is
appropriate where video evidence “quite clearly contradicted” the plaintiff’s version of the facts.
550 U.S. at 378-81. The Supreme Court explained:
At the summary judgment stage, facts must be viewed in the light most
favorable to the nonmoving party only if there is a “genuine” dispute as to those
facts. Fed. Rule Civ. Proc. 56(c). As we have emphasized, “[w]hen the moving
party has carried its burden under Rule 56(c), its opponent must do more than
simply show that there is some metaphysical doubt as to the material facts . . . .
Where the record taken as a whole could not lead a rational trier of fact to find for
the nonmoving party, there is no ‘genuine issue for trial.’” Matsushita Elec.
Indus[.] Co. v. Zenith Radio Corp., 475 U.S. [at] 586-587 . . . (footnote omitted).
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“[T]he mere existence of some alleged factual dispute between the parties will not
defeat an otherwise properly supported motion for summary judgment; the
requirement is that there be no genuine issue of material fact.” Anderson v. Liberty
Lobby, Inc., 477 U.S. [at] 247-248 . . . . When opposing parties tell two different
stories, one of which is blatantly contradicted by the record, so that no reasonable
jury could believe it, a court should not adopt that version of the facts for purposes
of ruling on a motion for summary judgment.
That was the case here with regard to the factual issue whether respondent
was driving in such fashion as to endanger human life. Respondent’s version of
events is so utterly discredited by the record that no reasonable jury could have
believed him. The Court of Appeals should not have relied on such visible fiction;
it should have viewed the facts in the light depicted by the videotape.
Scott v. Harris, 550 U.S. at 380-81 (emphasis in original).
The Tenth Circuit applied this doctrine in Thomson v. Salt Lake County, 584 F.3d 1304
(10th Cir. 2009), and explained:
[B]ecause at summary judgment we are beyond the pleading phase of the litigation,
a plaintiff’s version of the facts must find support in the record: more specifically,
“[a]s with any motion for summary judgment, when opposing parties tell two
different stories, one of which is blatantly contradicted by the record, so that no
reasonable jury could believe it, a court should not adopt that version of the facts.”
York v. City of Las Cruces, 523 F.3d 1205, 1210 (10th Cir. 2008)(quoting Scott[
v. Harris], 550 U.S. at 380); see also Estate of Larsen ex rel. Sturdivan v. Murr, 511
F.3d 1255, 1258 (10th Cir. 2008).
Thomson v. Salt Lake Cty., 584 F.3d at 1312 (brackets omitted). “The Tenth Circuit, in Rhoads
v. Miller, 352 F. App’x 289 [, 291] (10th Cir. 2009) . . . [(unpublished),] explained that the blatant
contradictions of the record must be supported by more than other witnesses’
testimony[.]” Lymon
v.
Aramark
Corp.,
728
F. Supp. 2d
1222,
1249
(D.N.M.
2010)(Browning, J.), aff’d, 499 F. App’x 771 (10th Cir. 2012).
LAW REGARDING CHOICE-OF-LAW AND STATUTES OF LIMITATIONS
The Supreme Court has held that a federal court sitting in diversity should apply the same
statute of limitations that a state court of the forum state would apply. See Guar. Tr. Co. v. York,
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326 U.S. 99 (1945). The district court must, therefore, look to the forum state’s choice-of-law
rules to determine which state’s law to apply -- both to control the substance of the dispute and the
limitations period in which the suit can be brought. See Klaxon Co. v. Stentor Elec. Mfg. Co., 313
U.S. 487, 496-97 (1941); Pepsi-Cola Bottling Co. v. PepsiCo, Inc., 431 F.3d 1241, 1255 (10th Cir.
2005).
New Mexico courts have held that “the law of the forum governs matters of procedure.”
Estate of Gilmore, 1997-NMCA-103, ¶ 10, 946 P.2d 1130, 113311 (internal quotation marks
omitted)(quoting Sierra Life Ins. Co. v. First Nat’l Life Ins. Co., 1973-NMSC-079, ¶ 14, 512 P.2d
1245, 1249). See Restatement of Conflict of Laws § 585 (1934)(“First Restatement”)(“All matters
of procedure are governed by the law of the forum.”). “The line between substance and procedure,
[however], is not always clear, and the judgment where to draw the line in a particular case may
depend on the reasons for drawing the line.” Estate of Gilmore, 1997-NMCA-103, ¶ 11, 946 P.2d
at 1133-34 (citing Ammerman v. Hubbard Broad., Inc., 1976-NMSC-031, ¶ 6, 551 P.2d 1354,
1357 (1976)). See Sun Oil Co. v. Wortman, 486 U.S. 717, 726 (1988)(stating that, “[e]xcept at
the extremes, the terms ‘substance’ and ‘procedure’ precisely describe very little except a
dichotomy, and what they mean in a particular context is largely determined by the purposes for
which the dichotomy is drawn.”). “A court usually applies its own local law rules prescribing how
11
The Court predicts that the Supreme Court of New Mexico would agree with Estate of
Gilmore’s law-of-the-forum analysis, based on the Court’s read of the Supreme Court of New
Mexico’s opinion in Sierra Life Insurance Co. v. First National Life Insurance Co., 1973-NMSC079, 512 P.2d 1245, stating that “the law of the forum governs matters of procedure.” Sierra Life
Ins. Co. v. First Nat. Life Ins. Co., 1973-NMSC-079, ¶ 14, 512 P.2d 1245, 1249. Moreover, the
Supreme Court of New Mexico has adopted the Restatement of Conflict of Laws approach to
choice-of-law analyses, see United Wholesale Liquor Co. v. Brown-Forman Distillers Corp.,
1989-NMSC-030, ¶9, 775 P.2d 233, 235 (“New Mexico adheres to a traditional conflicts of
law analysis contained in Restatement (First) of Conflicts of Law (1934).”).
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litigation shall be conducted even when it applies the local law rules of another state to resolve
other issues in the case.” Estate of Gilmore, 1997-NMCA-103, ¶ 12, 946 P.2d at 1134 (citing
Restatement (Second) of Conflict of Laws § 122 (1971)(“Second Restatement”)). Similarly,
“procedure [is] the judicial process for enforcing rights and duties recognized by substantive law
and for justly administering remedy and redress for disregard or infraction of them.” Sibbach v.
Wilson & Co., 312 U.S. 1, 14 (1941). The Court of Appeals of New Mexico has acknowledged
that, when determining whether something is “procedural or substantive,” it is important to “keep
in mind the rationale for applying the forum’s ‘procedural’ rules.” Estate of Gilmore, 1997NMCA-103, ¶ 13, 946 P.2d at 1134. The Court of Appeals of New Mexico has stated:
Each state has local law rules prescribing the procedure by which
controversies are brought into its courts and by which the trial of these controversies
is conducted. These rules for conducting lawsuits and administering the courts’
processes vary from state to state. The forum has compelling reasons for applying
its own rules to decide such issues even if the case has foreign contacts and even
if many issues in the case will be decided by reference to the local law of another
state. The forum is more concerned with how its judicial machinery functions and
how its court processes are administered than is any other state. Also, in matters of
judicial administration, it would often be disruptive or difficult for the forum to
apply the local law rules of another state. The difficulties involved in doing so
would not be repaid by a furtherance of the values that the application of another
state’s local law is designed to promote.
Estate of Gilmore, 1997-NMCA-103, ¶ 13, 946 P.2d at 1134 (citing Second Restatement § 122
cmt. a.). Furthermore, the Court of Appeals of New Mexico has stated that, because parties to a
lawsuit do not usually think about matters of judicial administration before entering into legal
transactions, they do not usually place reliance on the applicability of specific state rules. See
Estate of Gilmore, 1997-NMCA-103, ¶ 13, 946 P.2d at 1134 (citing Second Restatement § 122
cmt. a.). For these reasons, there is no danger in applying the forum state’s rules in such procedural
matters. See Estate of Gilmore, 1997-NMCA-103, ¶ 13, 946 P.2d at 1134 (citing Second
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Restatement § 122 cmt. a.). Furthermore, “[e]normous burdens are avoided when a court applies
its own rules, rather than the rules of another state, to issues relating to judicial administration,
such as the proper form of action, service of process, pleading, rules of discovery, mode of trial
and execution and costs.” 1997-NMCA-103, ¶ 13, 946 P.2d at 1134 (citing Second Restatement
§ 122 cmt. a.).
The Supreme Court of New Mexico has adopted the First Restatement approach to choiceof-law analyses, see United Wholesale Liquor Co. v. Brown-Forman Distillers Corp., 1989NMSC-030, ¶9, 775 P.2d 233, 235 (“New Mexico adheres to a traditional conflicts of law
analysis contained in Restatement (First) of Conflicts of Law (1934).”), but for the purposes of
determining the applicable statute of limitation, the First Restatement and Second Restatement
come out the same way. The First Restatement states that, in the absence of a “borrowing statute”
enacted by the forum state that adopts foreign states’ statutes of limitations when applying their
substantive law, the statute of limitations of the forum state governs all disputes even when
another state supplies the substantive law:
If action is barred by the statute of limitations of the forum, no action can be
maintained though action is not barred in the state where the cause of action
arose. . . . If action is not barred by the statute of limitations of the forum, an action
can be maintained, though action is barred in the state where the cause of action
arose,
First Restatement §§ 603-04, and the Second Restatement is nearly identical in substance:
(1) An action will not be maintained if it is barred by the statute of limitations of
the forum, including a provision borrowing the statute of limitations of another
state. (2) An action will be maintained if it is not barred by the statute of limitations
of the forum, even though it would be barred by the statute of limitations of another
state, except as stated in § 143,
Second Restatement § 142. The only exception is if the forum state’s statute of limitations “bars
the right and not merely the remedy,” in which case the action is barred regardless of the forum
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chosen. Second Restatement § 143 (“An action will not be entertained in another state if it is
barred in the state of the otherwise applicable law by a statute of limitations which bars the right
and not merely the remedy.”). Accord First Restatement § 605 (“If by the law of the state which
has created a right of action, it is made a condition of the right that it shall expire after a certain
period of limitation has elapsed, no action begun after the period has elapsed can be maintained
in any state.”).
LAW REGARDING NEW MEXICO STATUTES OF LIMITATIONS AND
THE DISCOVERY RULE
“Although a statute of limitations bar is an affirmative defense, it may be resolved on a
Rule 12(b)(6) motion to dismiss ‘when the dates given in the complaint make clear that the right
sued upon has been extinguished.’” Torrez v. Eley, No. CIV 09-1464, 2010 WL 1948679 (10th
Cir. May 17, 2010)(quoting Aldrich v. McCulloch Props., Inc., 627 F.2d 1036, 1041 n.4 (10th Cir.
1980)). Accord Lee v. Rocky Mountain UFCW Unions & Emp’s Trust Pension Plan, No. 921308, 1993 WL 482951 (10th Cir. Nov. 23, 1993)(“Because the critical dates appeared plainly on
the face of [plaintiff’s] complaint, we conclude that the statute of limitations defense was properly
raised and resolved in the Rule 12(b) context.”). When a party has asserted a statute of limitations
issue in a rule 12(b)(6) motion, a court accepts all well-pled factual allegations in the complaint as
true and views them in the light most favorable to the plaintiff to determine whether the statute of
limitations has run. See Sunrise Valley, LLC v. Kempthorne, 528 F.3d 1251, 1254 (10th Cir.
2008).
In New Mexico, tort claims are generally subject to a three-year statute of limitations, see
N.M. Stat. Ann. § 37-1-8, while claims for breach of warranty under the UCC are generally subject
to a four-year statute of limitations, see § 55-2-725(1). See also Badilla v. Wal-Mart Stores E.
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Inc., 2015-NMSC-029, ¶ 47, 357 P.3d 936, 948. As the Court has previously noted: “The Supreme
Court of New Mexico has concluded that the UCC’s four-year statute of limitations ‘governs
actions for breach of warranty seeking personal injury damages.’”12
Bellman v. NXP
12
In Badilla v. Wal-Mart Stores East Inc., 2015-NMSC-029, 357 P.3d 936, the Supreme
Court of New Mexico answered the question which statute of limitations should apply to breaches
of warranty suits based on products that cause personal injury. The plaintiff in Badilla v. WalMart Stores East, Inc. bought a pair of work boots at a Wal-Mart store. See Badilla v. Wal-Mart
Stores E. Inc., 2015-NMSC-029, ¶ 2, 357 P.3d at 937. More than three years after he was injured
while wearing the boots, the plaintiff filed a personal injury suit alleging that the soles of the boots
became unglued and caused him to trip on debris. See Badilla v. Wal-Mart Stores E. Inc., 2015NMSC-029, ¶ 2, 357 P.3d at 937. The plaintiff based his claim on breaches of an express warranty
and the implied warranties of merchantability and fitness for a particular purpose. See Badilla v.
Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 2, 357 P.3d at 937. The trial court and the Court of
Appeals of New Mexico concluded that the three-year statute of limitations for tort claims barred
the claims. See Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 2, 357 P.3d at 937. On
appeal, the Supreme Court of New Mexico noted that courts in other states have reached different
conclusions as to which statute of limitations should apply. See Badilla v. Wal-Mart Stores E.
Inc., 2015-NMSC-029, ¶ 18, 357 P.3d at 940 (citing Wieser v. Firestone Tire & Rubber Co., 596
F. Supp. 1473, 1475 (D. Colo. 1984)(Weinshienk, J.)). The Supreme Court of New Mexico
outlined the two approaches that other Court have taken:
To start with, “[t]he majority [approach holds] that the UCC limitations
period applies to all actions for breach of warranties, regardless of whether the
plaintiff seeks personal injury damages or economic and contractual damages.” Id.
This approach essentially looks to the nature of the right asserted; if the right is
based in contract, it is subject to the UCC. The minority approach “holds that the
type of damages sought in an action determines whether the statute of limitations
in [UCC] § 2-725 applies,” thus, “[a]ctions for personal injury damages or tortious
injury to personal property are governed by general, non-[UCC] limitations periods,
while actions for economic or breach of contract damages are governed by § 2725.” Davidson Lumber Sales, Inc. v. Bonneville Inv., Inc., 794 P.2d 11, 16 (Utah
1990). The minority approach focuses upon the remedy sought: if the remedy
sought is economic damages, the claim is subject to the UCC; if the remedy sought
is personal injury damages, the claim is not subject to the UCC.
Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 19, 357 P.3d at 940-41 (alterations in
original). The Supreme Court of New Mexico thus concluded that New Mexico’s four-year UCC
statute of limitations applied, because: (i) a seller’s breach of express or implied warranties creates
in the buyer a cause of action; (ii) consequential damages, including those for personal injuries,
are available pursuant to such cause of action; and (iii) the statute of limitations applicable to that
cause of action is four years. See 2015-NMSC-029, ¶ 25, 357 P.3d at 942. “The four-year deadline
- 81 -
Semiconductors USA, Inc., 248 F. Supp. 3d at 1156 (quoting Badilla v. Wal-Mart Stores E. Inc.,
2015-NMSC-029, ¶ 47, 357 P.3d at 948)). New Mexico’s personal-injury statute provides that
“[a]ctions must be brought . . . for an injury to the person or reputation of any person, within three
years.” N.M. Stat. Ann. § 37-1-8. Under § 41-4-5 of the New Mexico Tort Claims Act, N.M. Stat.
Ann. §§ 41-4-2 through 41-4-30 (“NMTCA”), “actions against a . . . public employee for torts
shall be forever barred unless such action is commenced within two years after the date of
occurrence resulting in loss, injury or death.” N.M. Stat. Ann. § 41-4-15A. “The New Mexico
Tort Claims Act expresses a clear public policy that tort claims against negligent New Mexico
governmental entities should be allowed, but only if brought within two years of the date of the
alleged tort.” Sam v. Estate of Benny Sam, 2006-NMSC-022, ¶ 23, 134 P.3d 761, 767. “[A] cause
of action brought under Section 41-4-15(A) will accrue regardless of whether or not the plaintiff
is aware of the full extent of his or her injury.” Maestas v. Zager, 2007-NMSC-003, ¶ 22, 152
P.3d 141, 148. “Once a plaintiff has discovered his or her injury and the cause of that injury, the
statute of limitations begins to run.” 2007-NMSC-003, ¶ 22, 152 P.3d at 148. “A plaintiff’s cause
of action accrues when he or she understands the nature of his or her injury; that is, when the
plaintiff knows or with reasonable diligence should have known of the injury and its cause.” 2007-
for filing suit under the UCC for breach of warranty of goods sold in New Mexico is clearly and
unambiguously set forth in the statute.” Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029,
¶ 25, 357 P.3d at 942.
Buttressing its opinion, the Supreme Court of New Mexico adopted the reasoning of the
United States Court of Appeals for the Sixth Circuit in Reid v. Volkswagen of America, Inc., 512
F.2d 1294 (6th Cir. 1975), noting that courts generally favor application of the longer of two
statutes of limitations. See Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 32, 357 P.3d
at 944. The Supreme Court of New Mexico also agreed with the Court of Appeals of Kansas’
reasoning in Golden v. Den-Mat Corp., 276 P.3d 773 (Kan. Ct. App. 2012), which rejected the
minority approach. See Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 36, 357 P.3d at
945.
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NMSC-003, ¶ 22, 152 P.3d at 148. “It is not required that all the damages resulting from the
negligent act be known before the statute of limitations begins to run. Once plaintiff suffers loss
or injury, the statute begins to run.” Bolden v. Village of Corrales, 1990-NMCA-096, ¶ 6, 809
P.2d 635, 636 (citing Aragon & McCoy v. Albuquerque Nat’l. Bank, 1983-NMSC-020, ¶ 17, 659
P.2d 306, 310).
New Mexico applies the “discovery rule,” which means that the statute of limitations
period “begins to run when the claimant has knowledge of sufficient facts to constitute a cause of
action.” Gerke v. Romero, 2010-NMCA-060, ¶ 10, 237 P.3d 111, 115 (citing Martinez-Sandoval
v. Kirsch, 1994-NMCA-115, ¶ 26, 884 P.2d 507, 513).13 “The discovery rule provides that ‘the
cause of action accrues when the plaintiff discovers or with reasonable diligence should have
discovered that a claim exists.’” Williams v. Stewart, 2005-NMCA-061, ¶ 12, 112 P.3d 281, 285
(quoting Roberts v. Sw. Cmty. Health Servs., 1992-NMSC-042, ¶ 24, 837 P.2d 442, 449). Accord
Eoff v. N.M. Corr. Dep’t, Nos. CIV 10-0598, 10-0599, 10-0600, 2010 WL 5477679, at *18
(D.N.M. Dec. 20, 2010)(Browning, J.)(“The Court believes that, in breach-of-contract actions
involving an employee’s termination, the statute of limitations should not begin to run until the
employee is aware of the allegedly wrongful decision, because an employee would not be aware
of the possible need to file suit until that time.”); Gose v. Bd. of Cnty. Comm’rs of Cnty. of
McKinley, 727 F. Supp. 2d 1256, 1264 (D.N.M. 2010)(Browning, J.)(“Specifically, [the] statute
13
The Court predicts that the Supreme Court of New Mexico would agree with Gerke v.
Romero’s statute-of-limitations-commencement analysis based on the Court’s read of the Supreme
Court of New Mexico’s opinion in Maestas v. Zager, 2007-NMSC-003, 152 P.3d 141, stating that
“our courts have consistently held that the limitations period runs not from the act of medical
malpractice, but from the time when the resulting injury manifests itself in a physically objective
manner and is ascertainable.” Maestas v. Zager, 2007-NMSC-003, ¶ 13, 152 P.3d at 145.
- 83 -
of limitations commences when an ‘injury manifests itself and is ascertainable, rather than when
the wrongful or negligent act occurs.’” (quoting Maestas v. Zager, 2007-NMSC-003, ¶ 13, 152
P.3d at 145); Gerke v. Romero, 2010-NMCA-060, ¶ 12, 237 P.3d at 115 (“Under the discovery
rule, the statute of limitations begins to run when the plaintiff knows or, with reasonable diligence
should know, of his injury and its cause.” (citing Roberts v. Sw. Cmty. Health Servs., 1992NMSC-042, ¶ 24, 837 P.2d 442, 449-50)).
LAW REGARDING BREACH OF WARRANTIES
Under the UCC, a seller can make an express warranty and at least two implied warranties:
(i) the implied warranty of fitness for a particular purpose; and (ii) the implied warranty of
merchantability. See Perfetti v. McGhan Med., 1983-NMCA-032, ¶¶ 45-47, 662 P.2d 646, 653.14
In Perfetti v. McGhan Medical, the Court of Appeals of New Mexico, in considering the claim of
an express warranty, stated: “Any express warranty made with respect to the surgeon would inure
to plaintiff’s benefit on the basis that the surgeon was acting as plaintiff’s agent in the use of the
prosthesis.” 1983-NMCA-032, ¶ 26, 662 P.2d at 652. The Court of Appeals of New Mexico
concluded that there was no evidence that defendants breached an express warranty. See 1983NMCA-032, ¶ 35, 662 P.2d at 653. In discussing the plaintiff’s implied warranty claim, the Court
of Appeals of New Mexico explained that the defendant was “incorrect in urging a congruence
between products liability and the implied warranty of fitness for a particular purpose. Products
14
The Court is confident that the Supreme Court of New Mexico agrees with the Court of
Appeals of New Mexico’s assertion in Perfetti v. McGhan Medical, based on Badilla v. Wal-Mart
Stores East Inc., 2015-NMSC-029, 357 P.3d 936, in which the Supreme Court of New Mexico
stated the same proposition. See Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 45, 357
P.3d at 947 (“New Mexico law explicitly provides that both products liability and breach of
warranty causes of action are available to plaintiffs.”).
- 84 -
liability requires a defect . . . . [T]he implied warranty of fitness for a particular purpose does not
require a defect.” 1983-NMCA-032, ¶ 44, 662 P.2d at 653.
1. Breach of Express Warranty.
UCC § 2-313, which New Mexico has adopted, see N.M. Stat. Ann. § 55-2-313, provides
that a seller can make an express warranty in three ways:
(a)
Any affirmation of fact or promise made by the seller to the buyer which
relates to the goods and becomes part of the basis of the bargain creates
an express warranty that the goods shall conform to the affirmation or
promise.
(b)
Any description of the goods which is made part of the basis of the
bargain creates an express warranty that the goods shall conform to the
description.
(c)
Any sample or model which is made part of the basis of the bargain
creates an express warranty that the whole of the goods shall conform
to the sample or model.
UCC § 2-313(1)(a)-(c). An express warranty does not need to include “formal words such as
warrant or guarantee,” and the seller does not need to have “a specific intention to make a
warranty.” UCC § 2-313(2).
Under New Mexico law, a seller expressly warrants goods in a commercial transaction
when it (i) makes an affirmation of fact or promise to the buyer “which relates to the goods and
becomes part of the basis of the bargain”; (ii) describes the goods in a way that “is made part of
the basis of the bargain”; or (iii) provides a “sample or model which is made part of the basis of
the bargain.” N.M. Stat. Ann. § 55-2-313. “If the goods provided are not as warranted, the goods
are in breach of warranty.” Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 21, 357 P.3d
at 941. “A breach of warranty presents an objective claim that the goods do not conform to a
promise, affirmation, or description.” Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029, ¶ 23,
- 85 -
357 P.3d at 941 (internal quotation marks omitted)(quoting Jaramillo v. Gonzales, 2002-NMCA072, ¶ 13, 50 P.3d 554.). “A cause of action accrues when the breach occurs, regardless of the
aggrieved party’s lack of knowledge of the breach.” Badilla v. Wal-Mart Stores E. Inc., 2015NMSC-029, ¶ 21, 357 P.3d at 941.
In Bellman v. NXP Semiconductors USA, Inc., for example, the Court considered whether,
under New Mexico’s express warranty standard, the defendants had made any express affirmations
or representations to the plaintiffs concerning chemical supplies purchased. See 248 F. Supp. 3d
at 1153. The Court noted that, “aside from perfunctorily alleging in the Complaint that Rinchem
Co. ‘expressly’ warranted the chemicals that it supplied,” the plaintiffs did not explain the warranty
or even identify “the warranty’s precise terms.” 248 F. Supp. 3d at 1153. The Court, accordingly,
dismissed the plaintiffs’ breach-of-express-warranty claim, because the Court could not conclude
from the plaintiffs’ conclusory allegations that the defendant had “made any express warranty.”
248 F. Supp. 3d at 1153. See Two Old Hippies, LLC v. Catch the Bus, LLC, 784 F. Supp. 2d 1200,
1210-11 (D.N.M. 2011)(Browning, J.)(ruling that the plaintiffs had plausibly alleged an express
warranty where the plaintiffs contended that the defendants had promised that two restored
Volkswagen buses purchased would be “ready to go whether for daily driver or for cross-country
trips,” and “guaranteed . . . 100% satisfaction with the buses”).
2. Breach of the Implied Warranty of Fitness for a Particular Purpose.
Under the UCC, it is the sale of goods that brings the implied-warranty provisions into
operation. See Ortiz v. Gas Co., 1981-NMCA-128, ¶ 13, 636 P.2d 900, 903.15 A “sale” is defined
15
The Court predicts that the Supreme Court of New Mexico would agree with Ortiz v. Gas
Co.’s implied-warranty-of-fitness analysis based on the Court’s read of the Supreme Court of New
Mexico’s opinion in International Paper Co. v. Farrar, discussing “the implied warranty of fitness
for a particular purpose, NMSA 1978, Section 55-2-315,” which is the same statute that Ortiz v.
- 86 -
as “the passing of title from the seller to the buyer for a price.” N.M. Stat. Ann. § 55-2-106(1).
To succeed on a breach of the implied warranty of fitness for a particular purpose, the plaintiff
must prove: (i) a sale; (ii) that the seller had knowledge of the particular use for which a good was
purchased; (iii) that the buyer relied on the seller’s skill or judgment regarding the selection of
goods; and (iv) that the buyer purchased a product with a particular purpose for that product in
mind. See Daniell v. Ford Motor Co., Inc., 581 F. Supp 728, 731 (D.N.M. 1984)(Baldock,
J.)(citing N.M. Stat. Ann. § 55-2-314(2)(c)); Spectron Dev. Lab. v. Am. Hollow Boring Co., 1997NMCA-025, ¶ 40, 936 P.2d 852, 861 (quoting N.M. Stat. Ann. § 55-2-314). N.M. Stat. Ann. §
55-2-315 provides:
Where the seller at the time of contracting has reason to know any particular
purpose for which the goods are required and that the buyer is relying on the seller’s
skill or judgment to select or furnish suitable goods, there is unless excluded or
modified under the next section an implied warranty that the goods shall be fit for
such purpose.
N.M. Stat. Ann. § 55-2-315. The Court of Appeals of New Mexico has stated that, under the
implied warranty of fitness for a particular purpose, a plaintiff must prove: (i) that, at the time of
contracting, the seller had reason to know the buyer’s particular purpose for which the item was
being ordered; (ii) that the buyer relied on the seller’s skill or judgment; and (iii) that the item was
not fit for that purpose. See Lieb v. Milne, 1980-NMCA-125, ¶ 13, 625 P.2d at 1237 (quoting
N.M. Stat. Ann. §§ 55-2-315 to -316).16
Gas Co. considers for the above proposition. See Int’l Paper Co. v. Farrar, 1985-NMSC-046, ¶
13, 102 N.M. 739, 742, 700 P.2d 642, 645.
16
The Court predicts that the Supreme Court of New Mexico would agree with Lieb v.
Milne’s implied-warranty-of-fitness analysis based on the Court’s read of the Supreme Court of
New Mexico’s opinion in Salazar v. D.W.B.H., Inc., 2008-NMSC-054, 192 P.3d 1205, stating
“[u]nder the UCC, for goods to be merchantable, they must at least be ‘fit for the ordinary purposes
for which such goods are used.’ Section 55-2-314(2)(c),” which is a quotation from the same
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3. Breach of the Implied Warranty of Merchantability.
New Mexico recognizes that the law implies the warranty of merchantability and that the
implied warranty is independent of express warranties. See Int’l Paper Co. v. Farrar, 1985-NMSC046, ¶ 13, 700 P.2d at 645.
To establish a claim for breach of the implied warranty of
merchantability, a plaintiff must prove that the seller sold goods or products that fail to meet the
statutory definition of “merchantable.” N.M. Stat. Ann. § 55-2-314; Civ. UJI 13-1430. N.M. Stat.
Ann. § 55-2-314 defines “merchantable”:
(1) Unless excluded or modified (Section 2-316), a warranty that the goods shall be
merchantable is implied in a contract for their sale if the seller is a merchant with
respect to goods of that kind. Under this section the serving for value of food or
drink to be consumed either on the premises or elsewhere is a sale.
(2) Goods to be merchantable must be at least such as:
(a) pass without objection in the trade under the contract description;
and
(b) in the case of fungible goods, are of fair average quality within
the description; and
(c) are fit for the ordinary purposes for which such goods are used;
and
(d) run, within the variations permitted by the agreement, of even
kind, quality and quantity within each unit and among all units
involved; and
(e) are adequately contained, packaged and labeled as the agreement
may require; and
(f) conform to the promises or affirmations of fact made on the
container or label if any.
statute that Lieb v. Milne considers for the above proposition. Salazar v. D.W.B.H., Inc., 2008NMSC-054, ¶ 19, 192 P.3d at 1211.
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(3) Unless excluded or modified (Section 2-316) other implied warranties may arise
from course of dealing or usage of trade.
N.M. Stat. Ann. § 55-2-314.
“[A] supplier breaches this warranty if the product is defective and is not fit for the ordinary
purposes for which such product is used.” Pac. Indem. Co. v. Therm-O-Disc, Inc., 476 F. Supp.
2d at 1225 (“A manufacturer must use ordinary care in the designing, making, inspecting, and
packaging of the product. Civ. UJI 13-1410. Ordinary care is that care which a reasonably prudent
supplier would use in the conduct of its business.” (citing Civ. UJI 13-1404)). A breach-of-theimplied-warranty-of-merchantability claim “thus requires proof of a defect.” Pacific Indem Co. v.
Therm-O-Disc, Inc., 476 F. Supp. 2d at 1225 (citing Perfetti v. McGhan Med., 1983-NMCA-032,
¶ 44, 662 P.2d at 654). Moreover, a breach-of-the-implied-warranty-of-merchantability claim also
requires proof of proximate cause. See N.M. Stat. Ann. § 55-2-314 cmt. 13. Comment 13 to §
55-2-314 states: “In an action based on breach of warranty, it is of course necessary to show not
only the existence of the warranty but the fact that the warranty was broken and that the breach of
the warranty was the proximate cause of the loss sustained.” N.M. Stat. Ann. § 55-2-314 cmt. 13.
New Mexico Uniform Civil Jury Instruction No. 130-1430 provides:
A supplier breaches the implied warranty of merchantability:
[1. If the goods sold would be rejected by someone knowledgeable in the trade for
failure to meet the contract description]; [or]
[2. If goods sold in bulk are not of fair average quality for the type of goods
described by the contract. The goods need not be the best quality but they must pass
without objection in the trade]; [or]
[3. If the [goods] [products] are defective and are not fit for the ordinary purposes
for which such [goods] [products] are used]; [or]
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[4. If the goods do not run within variations permitted by the contract for the reason
that there are wide differences in type, quality and quantity within delivered units
and among all units involved]; [or]
[5. If the [goods] [products] are not adequately contained, packaged and labeled as
required by the contract]; [or]
[6. If the [goods] [products] do not conform to the promises or statements made by
the seller on the container or label]; [or]
[7. If the food or drink is unwholesome or unfit for human consumption].
Civ. UJI 13-1430. The directions for use of this instruction state: “Select the bracketed material
which fits the actual issues and evidence involved in the case. With this instruction, UJI 13-1429
must also be used. This list of items is not exclusive. Reference should be made to the Uniform
Commercial Code 55-2-314 N.M. Stat. Ann. 1978 for further specifications.” Civ. UJI 13-1430.
NEW MEXICO LAW REGARDING NEGLIGENCE
Generally, a negligence claim requires the existence of a duty from a defendant to a
plaintiff, breach of that duty, which is typically based on a standard of reasonable care, and the
breach being a cause-in-fact and proximate cause17 of the plaintiff’s damages. See Coffey v.
United States, 870 F. Supp. 2d 1202, 1225 (D.N.M. 2012)(Browning, J.)(citing Herrera v. Quality
Pontiac, 2003-NMSC-018, ¶ 6, 73 P.3d 181, 185-86). “In New Mexico, negligence encompasses
the concepts of foreseeability of harm to the person injured and of a duty of care toward that
person.” Ramirez v. Armstrong, 1983-NMSC-104, ¶ 8, 673 P.2d 822, 825, overruled on other
grounds by Folz v. State, 1990-NMSC-075, ¶ 3, 797 P.2d 246, 249. Generally, negligence is a
question of fact for the jury. See Schear v. Bd. of Cty. Comm’rs, 1984-NMSC-079, ¶ 4, 687 P.2d
17
The 2004 amendments to Civ. UJI 13-305 eliminate the word “proximate” within the
instruction. Use Note, Civ. UJI 13-305. The drafters added, however, that the change was
“intended to make the instruction clearer to the jury and do[es] not signal any change in the law of
proximate cause.” Editor’s Notes, Civ. UJI 13-305 (alteration added).
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728, 729. “A finding of negligence, however, is dependent upon the existence of a duty on the
part of the defendant.” Schear v. Bd. of Cty. Comm’rs, 1984-NMSC-079, ¶ 4, 687 P.2d at 729.
“Whether a duty exists is a question of law for the courts to decide.” Schear v. Bd. of Cty.
Comm’rs, 1984-NMSC-079, ¶ 4, 687 P.2d at 729 (citation omitted). Once courts recognize that a
duty exists, that duty triggers “a legal obligation to conform to a certain standard of conduct to
reduce the risk of harm to an individual or class of persons.” Baxter v. Noce, 1988-NMSC-024,
¶ 11, 752 P.2d 240, 243.
New Mexico courts have stated that foreseeability of a plaintiff alone does not end the
inquiry into whether the defendant owes a duty to the plaintiff. See Herrera v. Quality Pontiac,
2003-NMSC-018, ¶ 7, 73 P.3d at 186. New Mexico courts have recognized that, “[u]ltimately, a
duty exists only if the obligation of the defendant [is] one to which the law will give recognition
and effect.” Herrera v. Quality Pontiac, 2003-NMSC-018, ¶ 9, 73 P.3d at 187. To determine
whether the defendant’s obligation is one to which the law will give recognition and effect, courts
consider legal precedent, statutes, and other principles of law. See Herrera v. Quality Pontiac,
2003-NMSC-018, ¶ 9, 73 P.3d at 186.
“As a general rule, an individual has no duty to protect another from harm.” Edward C. v.
City of Albuquerque, 2010-NMSC-043, ¶ 16, 241 P.3d 1086, 1090 (quoting Grover v. Stechel,
2002-NMCA-049, ¶ 11, 45 P.3d 80, 84 (citing Restatement (Second) of Torts, § 315 (1965))).18
18
The Court predicts that the Supreme Court of New Mexico would agree with Grover v.
Stechel’s negligence analysis based on the Court’s read of the Supreme Court of New Mexico’s
opinion in Solon v. WEK Drilling Co., 1992-NMSC-023, 829 P.2d 645, stating “[i]n New Mexico,
negligence encompasses the concepts of foreseeability of harm to the person injured and of a duty
of care toward that person,” which implies that one does not have a general duty to protect another
from harm. Solon v. WEK Drilling Co., 1992-NMSC-023, ¶ 9, 829 P.2d 645, 648. Moreover,
Grover v. Stechel draws from the Restatement (Second) of Torts for the above proposition, and
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“[C]ertain relationships, however, that give rise to such a duty [include]: (1) those involving
common carriers, innkeepers, possessors of land; and (2) those who voluntarily or by legal
mandate take the custody of another so as to deprive the other of his normal opportunities for
protection.” Grover v. Stechel, 2002-NMCA-049, ¶ 11, 45 P.3d at 84 (citing Restatement (Second)
of Torts, § 314(A) (1965)). “[W]hen a person has a duty to protect and the third party’s act is
foreseeable, ‘such an act whether innocent, negligent, intentionally tortious, or criminal does not
prevent the [person who has a duty to protect] from being liable for harm caused thereby.’”
Reichert v. Atler, 1994-NMSC-056, ¶ 11, 875 P.2d 379, 382 (quoting Restatement (Second) of
Torts, § 449 (1964)).
“[T]he responsibility for determining whether the defendant has breached a duty owed to
the plaintiff entails a determination of what a reasonably prudent person would foresee, what an
unreasonable risk of injury would be, and what would constitute an exercise of ordinary care in
light of all the surrounding circumstances.” Herrera v. Quality Pontiac, 2003-NMSC-018, ¶ 33,
73 P.3d at 194. “The finder of fact must determine whether Defendant breached the duty of
ordinary care by considering what a reasonably prudent individual would foresee, what an
unreasonable risk of injury would be, and what would constitute an exercise of ordinary care in
light of all surrounding circumstances.” Herrera v. Quality Pontiac, 2003-NMSC-018, ¶ 33, 73
P.3d at 195.
“A proximate cause of an injury is that which in a natural and continuous sequence
[unbroken by an independent intervening cause] produces the injury, and without which the injury
would not have occurred.” Herrera v. Quality Pontiac, 2003-NMSC-018, ¶ 34, 73 P.3d at 195. “It
the Supreme Court of New Mexico cites to the Restatement (Second) of Torts to support its
negligence analysis in Solon v. WEK Drilling Co., 1992-NMSC-023, ¶ 11, 829 P.2d 645, 649.
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need not be the only cause, nor the last nor nearest cause.” Herrera v. Quality Pontiac, 2003NMSC-018, ¶ 34, 73 P.3d at 195. “It is sufficient if it occurs with some other cause acting at the
same time, which in combination with it, causes the injury.” Herrera v. Quality Pontiac, 2003NMSC-018, ¶ 34, 73 P.3d at 195.
NEW MEXICO LAW REGARDING STRICT LIABILITY
New Mexico has adopted the basis for products liability found in Restatement (Second) of
Torts § 402A (1965). See Stang v. Hertz Corp., 1972-NMSC-031, 497 P.2d 732.
The policy underpinnings supporting imposition of strict liability on product
manufacturers and suppliers include (1) ensuring that the risk of loss for injury
resulting from defective products is borne by the suppliers, principally because they
are in a position to absorb the loss by distributing it as a cost of doing business;
(2) encouraging suppliers to select reputable and responsible manufacturers who
generally design and construct safe products and who generally accept financial
responsibility for injuries caused by their defective products; and (3) promoting
fairness by ensuring that plaintiffs injured by an unreasonably dangerous product
are compensated for their injuries.
Smith ex rel. Smith v. Bryco Arms, 2001-NMCA-090, ¶¶ 12, 33 P.3d 638, 644 (citing Brooks v.
Beech Aircraft Corp., 1995-NMSC-043, ¶¶ 11-17, 902 P.2d 54, 57-58).19 The Supreme Court of
New Mexico explained in Brooks v. Beech Aircraft Corp., 1995-NMSC-043, 902 P.2d 54:
The policy of risk- or cost-distribution continues to serve as a primary basis
for imposing strict products liability. . . . In addition to the cost-distribution
rationale . . . other courts have approved specifically the rationale that imposing
strict liability relieves plaintiffs of the burden of proving ordinary negligence under
circumstances in which such negligence is likely to be present but difficult to
prove. . . . The third policy cited for the imposition of strict liability is that
suppliers who otherwise might not be liable because of a passive role in the chain
of supply should be encouraged to select reputable and responsible manufacturers
19
The Court is confident that the Supreme Court of New Mexico agrees with the Court of
Appeals of New Mexico’s summary of New Mexico’s strict-liability policy justifications in Smith
ex rel. Smith v. Bryco Arms, based on Brooks v. Beech Aircraft Corp., in which the Supreme
Court of New Mexico describes in greater detail the same policy justifications. See Brooks v.
Beech Aircraft Corp., 1995-NMSC-043, ¶¶ 11-17, 902 P.2d 54, 57-58.
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who generally design and construct safe products and who generally accept
financial responsibility for injuries caused by their defective products. . . . Fourth
and finally, imposing strict products liability serves the interests of
fairness. . . . The fairness rationale embodies a normative judgment that plaintiffs
injured by an unreasonably dangerous product should be compensated for their
injuries. At the heart of this judgment lies the conclusion that although the
manufacturer has provided a valuable service by supplying the public with a
product that it wants or needs, it is more fair that the cost of an unreasonable risk
of harm lie with the product and its possibly innocent manufacturer than it is to visit
the entire loss upon the often unsuspecting consumer who has relied upon the
expertise of the manufacturer when selecting the injury-producing product.
1995-NMSC-043, ¶ 15-18, 902 P.2d at 57-58 (internal citations omitted).
To succeed on a cause of action brought under a theory of strict products liability, a plaintiff
must prove five elements: (i) the product was defective; (ii) the product was defective when it left
the hands of the defendant and was substantially unchanged when it reached the use or consumer;
(iii) the product, because of the defect, was unreasonably dangerous to the use or consumer; (iv) the
consumer was injured or was damaged; and (v) the product’s defective condition was the
proximate cause of the injury or damage. See Armeanu v. Bridgestone/Firestone North Am. Tires,
L.L.C., No. CIV-05-619 JB/DJS, 2006 WL 4060666, at *3 (D.N.M. Sept. 26, 2006)(Browning,
J.). Proximate cause is a required element in a strict liability cause of action. See 2006 WL
4060666, at *7.
Proof of a defect is required to succeed on a strict products liability claim under New
Mexico law. See Perfetti v. McGhan Med., 1983-NMCA-032, ¶45, 662 P.2d at 654. The Court
of Appeals of New Mexico explained in Perfetti v. McGhan Medical that, pursuant to comment h
to § 402A of the Restatement (Second) of Torts, where the seller “has reason to anticipate the
danger that may result from a particular use . . . he may be required to give adequate warning of
the danger . . . and a product sold without such warning is in a defective condition.” 1983-NMCA032, ¶7, 662 P.2d at 649 (internal quotation marks omitted)(quoting Restatement (Second) of Torts
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§ 402A). The defendant contended that the prosthesis fell within the category of “unavoidably
unsafe products” discussed in comment k to § 402A of the Restatement (Second). 1983-NMCA032, ¶7, 662 P.2d at 649 (internal quotation marks omitted)(quoting Restatement (Second) of Torts
§ 402A). The Court of Appeals of New Mexico explained that these category of products are those
“which, in the present state of human knowledge, are quite incapable of being made safe for their
intended and ordinary use.” 1983-NMCA-032, ¶9, 662 P.2d at 649 (internal quotation marks
omitted)(quoting Restatement (Second) of Torts § 402A).
New Mexico courts have recognized that the theory of products liability is applicable to
three defects: design, manufacturing, and marketing (warnings). See Morales v. E.D. Etnyre &
Co., 382 F. Supp. 2d at 1264 (citing Smith v. Bryco Arms, 2001-NMCA-090, ¶ 8, 33 P.3d at 643;
Fernandez v. Ford Motor Co., 1994-NMCA-063, ¶ 27, 879 P.2d 101, 110). To recover under the
strict-liability theory, a plaintiff must prove that a defect in the product as manufactured, designed,
or marketed created an unreasonably dangerous risk of injury. See Perfetti v. McGhan Med., 1983NMCA-032, ¶ 9, 662 P.2d at 649-50 (internal quotation marks omitted)(quoting Restatement
(Second) of Torts § 402A). In the context of pharmaceutical cases, New Mexico courts have
adopted comment k to § 402A of the Restatement (Second) of Torts. See Hines v. St. Joseph’s
Hosp., 1974-NMCA-110, ¶ 2, 764, 527 P.2d 1075, 1076. “An unreasonable risk of injury is a risk
which a reasonably prudent person having full knowledge of the risk would find unacceptable.”
Smith ex rel. Smith v. Bryco Arms, 2001-NMCA-090, ¶ 13, 33 P.3d at 644. “Determining whether
a product design poses an unreasonable risk of injury also involves considering whether the risk
can be eliminated without seriously impairing the usefulness of the product or making it unduly
expensive.” 2001-NMCA-090, ¶ 13, 33 P.3d at 644. “Whether a product is unreasonably
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dangerous, and therefore defective, is ordinarily a question for the jury.” Smith ex rel. Smith v.
Bryco Arms, 2001-NMCA-090, ¶ 14, 33 P.3d at 644.
The jury instructions covering strict products liability are designed to encourage a
risk-benefit calculation by defining “unreasonable risk of injury” in a way which
requires the jury to balance meritorious choices for safety made by the
manufacturer while minimizing the risk that the public will be deprived needlessly
of beneficial products.
Smith ex rel. Smith v. Bryco Arms, 2001-NMCA-090, ¶ 13, 33 P.3d at 644 (citing Civ. UJI 131407; Brooks v. Beech Aircraft Corp., 1995-NMSC-043, ¶ 27, 902 P.2d 54, 60-61).
Pursuant to the learned-intermediary doctrine, the prescribing physician acts as a learned
intermediary between a prescription drug manufacturer and the ultimate user, and the manufacturer
satisfies its duty to warn by providing adequate warnings to the prescribing physician. See, e.g.,
Hill v. Searle Labs, 884 F.2d 1064, 1070 (8th Cir. 1989)(noting that the learned-intermediary
doctrine is justified, because it is virtually impossible for a manufacturer to directly warn each
patient and that imposing a duty on manufacturers to warn patients directly would interfere with
the relationship between the doctor and patient); Reyes v. Wyeth Labs., 498 F.2d 1264, 1276 (5th
Cir. 1974)(“Prescription drugs are likely to be complex medicines, esoteric in formula and varied
in effect. As a medical expert, the prescribing physician can take into account the propensities of
the drug, as well as the susceptibilities of his patient.”). In Wright v. Abbott Laboratories, Inc.,
259 F.3d 1226 (10th Cir. 2001), the Tenth Circuit affirmed dismissal of failure-to-warn claim
pursuant to learned-intermediary doctrine under Kansas law. See 259 F.3d at 1233-34. The Tenth
Circuit noted:
The learned intermediary doctrine states that once a manufacturer warns a doctor
about a drug’s inherent dangers, it has fulfilled its legal duty to provide a warning.
See Hall v. Merck, Sharp & Dohme, 774 F. Supp. 604, 605-06 (D. Kan.1991)
(granting summary judgment to a drug manufacturer because it discharged its legal
duty to plaintiff by warning prescribing physician of drug's inherent risks); Phelps
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v. Sherwood Med. Indus., 836 F.2d 296, 301-03 (7th Cir. 1987). Under Kansas
law, a plaintiff cannot prevail against a prescription drug manufacturer in a failure
to warn case where the manufacturer warned the “learned intermediary” of the
drug’s inherent risks.
Wright v. Abbott Labs., Inc., 259 F.3d at 1233.
“The overwhelming majority of jurisdictions to address this issue apply the learned
intermediary doctrine to define a pharmaceutical company’s duty to warn of risks associated with
the use of a prescription drug.” In re Norplant Contraceptive Prod. Liab. Litig., 215 F. Supp. 2d
795, 806 (E.D. Tex. 2002)(Schell, J.)(citing Serna v. Roche Labs., 1984-NMCA-078, ¶ 9, 684 P.2d
1187, 1189; Hines v. St. Joseph’s Hosp., 1974-NMCA-110, ¶ 6, 527 P.2d 1075, 1077.)20
In Hines v. St. Joseph’s Hospital, the plaintiff received a blood transfusion and later began
treatment for what her doctor diagnosed as most likely a serum hepatitis. See 1974-NMCA-110,
¶ 1, 527 P.2d at 1076. The Court of Appeals noted that New Mexico has adopted the rule of strict
liability stated in Restatement (Second) of Torts. See Hines v. St. Joseph’s Hosp., 1974-NMCA110, ¶ 2, 527 P.2d at 1076. The Court of Appeals of New Mexico explained that, in comment k,
there is an exception to the rule for unavoidably unsafe products. See Hines v. St. Joseph’s
Hospital, 1974-NMCA-110, ¶ 2, 527 P.2d at 1076. The Court of Appeals of New Mexico quoted
the Restatement (Second) of Torts:
There are some products which, in the present state of human knowledge, are quite
incapable of being made safe for their intended and ordinary use. These are
especially common in the field of drugs. An outstanding example is the vaccine
for the Pasteur treatment of rabies, which not uncommonly leads to very serious
and damaging consequences when it is injected. Since the disease itself invariably
leads to a dreadful death, both the marketing and the use of the vaccine are fully
For the Court’s prediction whether and to what extent the Supreme Court of New Mexico
would recognize the learned-intermediary doctrine as the Court of Appeals of New Mexico applies
it in Serna v. Roche Laboratories; Jones v. Minnesota Mining & Manufacturing Co., 1983-NMCA106, 669 P.2d 744; Perfetti v. McGahn Medical; Richards v. Upjohn Co, 1980-NMCA-062, 625
P.2d 1192; and Hines v. St. Joseph’s Hospital, see infra. n.25.
20
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justified, notwithstanding the unavoidable high degree to risk which they involve.
Such a product, properly prepared, and accompanied by proper directions and
warning, is not defective, nor is it unreasonably dangerous. The same is true of
many other drugs, vaccines, and the like, many of which for this very reason cannot
legally be sold except to physicians, or under the prescription of a physician. It is
also true in particular of many new or experimental drugs as to which, because of
lack of time and opportunity for sufficient medical experience, there can be no
assurance of safety, or perhaps even of purity of ingredients, but such experience
as there is justifies the marketing and use of the drug notwithstanding a medically
recognizable risk. The seller of such products, again with the qualification that they
are properly prepared and marketed, and proper warning is given, where the
situation calls for it, is not to be held to strict liability for unfortunate consequences
attending their use, merely because he has undertaken to supply the public with an
apparently useful and desirable product, attended with a known but apparently
reasonable risk.
Hines v. St. Joseph’s Hosp., 1974-NMCA-110, ¶ 2, 527 P.2d at 1076 (quoting Restatement
(Second) of Torts cmt. k). The Court of Appeals of New Mexico explained that, at the time of the
plaintiff’s transfusion, no test could adequately detect the hepatitis virus in blood. See Hines v.
St. Joseph’s Hosp., 1974-NMCA-110, ¶ 3, 527 P.2d at 1076. The Court of Appeals of New Mexico
further explained that no process could destroy the virus without damaging the blood, and thus,
the blood was a product incapable of being made safe for its intended and ordinary use. See 1974NMCA-110, ¶ 3, 527 P.2d at 1076. The Court of Appeals of New Mexico nonetheless stated that
the risk of the blood being infected is outweighed by the public benefit of saving life and, thus, is
a reasonable risk. See 1974-NMCA-110, ¶ 4, 527 P.2d at 1076. The Court of Appeals of New
Mexico noted that “[o]rdinarily the manufacturer’s duty to warn of the dangers of prescription
drugs is to the attending physician, not the patient.” 1974-NMCA-110, ¶ 6, 527 P.2d at 1076. The
Court of Appeals of New Mexico concluded that summary judgment was appropriate for the
blood-provider defendant, because “Blood Services placed a warning on the blood container and
also ‘constantly distributed’ an ‘Official Circular of Instructions for Use’ to the hospital staff. [The
doctor] . . . who gave the transfusion, stated he knew of the danger of hepatitis transmission in
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blood transfusions. Blood Services’ warning was adequate.” 1974-NMCA-110, ¶ 6, 527 P.2d at
1076.
In Jones v. Minnesota Mining & Manufacturing Co., 1983-NMCA-106, 669 P.2d 744, the
Court of Appeals of New Mexico observed:
Prescription drugs are likely to be complex medicines, esoteric in formula and
varied in effect. As a medical expert, the prescribing physician can take into
account the propensities of the drug, as well as the susceptibilities of his patient.
His is the task of weighing the benefits of any medication against its potential
dangers. The choice he makes is an informed one, an individualized medical
judgment bottomed on a knowledge of both patient and palliative. Pharmaceutical
companies then, who must warn ultimate purchasers of dangers inherent in patent
drugs sold over the counter, in selling prescription drugs are required to warn only
the prescribing physician, who acts as a learned intermediary between manufacturer
and consumer.
1983-NMCA-106, ¶ 95, 669 P.2d at 760-61 (quoting Reyes v. Wyeth Labs., 498 F.2d 1264, 1276
(5th Cir. 1974)). The Court of Appeals of New Mexico explained: “A warning, to be adequate,
must disclose the nature and extent of the danger. . . . The knowledge that equates to this warning
must be knowledge of the nature and extent of the danger.” 1983-NMCA-106, ¶ 32, 669 P.2d at
750 (internal citation omitted). The Court of Appeals of New Mexico observed:
Comment k thus provides what could serve either as a door leading to escape from
strict liability or a trap door leading to the downfall of the unwary manufacturer.
The key to the door which [the defendant] should have taken and which would have
prevented the damage suffered by these plaintiffs is in the form of warnings. The
assertion of liability in this case hinges on the warning which the manufacturer who
wishes to avoid liability for an unavoidably unsafe product must provide and which
[the defendant] chose to avoid.
1983-NMCA-106, ¶ 90, 669 P.2d at 760. See Graham by Graham v. Wyeth Labs, 906 F.2d 1399,
1405 (10th Cir. 1990)(stating that comment k to § 402A of the Restatement (Second) of Torts
immunity is viewed as a defense).
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In Perfetti v. McGhan Medical, 1983-NMCA-032, 662 P.2d 646, a surgeon inserted a
mammary prosthesis into the plaintiff.
See 1983-NMCA-032, ¶ 1, 662 P.2d at 647.
Approximately twenty-five months after the prosthesis was implanted, it deflated. See 1983NMCA-032, ¶ 1, 662 P.2d at 647. When the surgeon removed the prosthesis, which the defendant
had manufactured, he discovered a split about a half an inch on the front and half an inch on the
back. See 1983-NMCA-032, ¶ 1, 662 P.2d at 647. The Court of Appeals of New Mexico stated
that “[a] manufacturer of a product . . . which is obtainable only through the services of a physician,
fulfills its duty if it warns the physician of the dangers attendant upon its use, and need not warn
the patient as well.” 1983-NMCA-032, ¶ 15, 662 P.2d at 649 (internal quotation marks omitted).
The Court of Appeals of New Mexico stated:
In this case the trial court could have ruled that there was no factual issue as to the
adequacy or properness of defendant's warning as to the nature and extent of the
danger, and that the warning was deficient as a matter of law. Although the surgeon
knew generally of the danger of deflation, he had only minimum knowledge of
delayed deflation at the time the prosthesis was implanted. The surgeon expected
the prosthesis to last from 10-to-15 years and would not have used the prosthesis if
he had been aware of the danger resulting from wear due to a fold in the prosthesis.
A witness for defendant testified there is a 20-to-30 percent incidence of capsular
contracture where there has been a subcutaneous mastectomy, that the manufacturer
was aware that folding and rubbing of the prosthesis was foreseeable as a result of
capsular contracture and that no warning was given as to this problem. Defendant
got more than the evidence supported when the issue of the sufficiency of the
warning was submitted to the jury.
1983-NMCA-032, ¶ 19, 662 P.2d at 649-50.
In Serna v. Roche Labs., the plaintiff contended that he contracted Stevens-Johnson
syndrome as a reaction to a medication that his physician prescribed. See 1984-NMCA-078, ¶ 6,
684 P.2d at 1188. The plaintiff alleged that he received no warnings about the medication’s
possible dangers. See 1984-NMCA-078, ¶ 9, 684 P.2d at 1189. The Court of Appeals of New
Mexico stated: “This allegation states a theory of liability because, where dangers from use can be
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anticipated, the manufacturer must provide adequate warnings or the product is defective.” 1984NMCA-078, ¶ 9, 684 P.2d at 1189 (citing Restatement (Second) of Torts § 402A cmt. h). The
Court of Appeals of New Mexico explained that, “[w]here the product is a prescription drug, the
manufacturer’s duty to warn is fulfilled if it warns the physician, not the patient.” Serna v. Roche
Labs., 1984-NMCA-078, ¶ 9, 684 P.2d at 1189. The Court of Appeals of New Mexico stated that
the following criteria determines the adequacy of a warning to a physician:
1. the warning must adequately indicate the scope of the danger; 2. the warning
must reasonably communicate the extent or seriousness of the harm that could
result from misuse of the drug; 3. the physical aspects of the warning must be
adequate to alert a reasonably prudent person to the danger; 4. a simple directive
warning may be inadequate when it fails to indicate the consequences that might
result from failure to follow it and, most importantly, in the context of the present
case; 5. the means to convey the warning must be adequate.
1984-NMCA-078, ¶ 9, 684 P.2d at 1189. The Court of Appeals of New Mexico concluded that
the package insert for the medication and the Physician’s Desk Reference listing of “StevensJohnson Syndrome” in the section on allergic reactions was a prima-facie showing of adequacy.
1984-NMCA-078, ¶ 16, 684 P.2d at 1190. The plaintiff in Serna v. Roche Laboratories did not
introduce “evidence which would support a factual question as to the adequacy of the warnings.”
1984-NMCA-078, ¶ 16, 684 P.2d at 1190. The Court of Appeals of New Mexico stated that, if
the nonmovant presents evidence of the warning’s inadequacy, however, “it is improper for the
court to grant summary judgment for the drug manufacturer. Here, plaintiff presented no evidence
of the inadequacy of the warnings and summary judgment [wa]s proper.” 1984-NMCA-078, ¶ 17,
684 P.2d at 1190. See Ackermann v. Wyeth Pharm., No. 06-41774, 2008 WL 1821379 at *3 n.5
(5th Cir. April 24, 2008)(“[T]he learned-intermediary doctrine is not an affirmative defense.
Under Texas law, it delineates to whom a defendant -- usually a prescription drug manufacturer -owes the duty to warn, but it is not used to show that the plaintiff has no valid case.”).
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In Richards v. Upjohn Co., 1980-NMCA-062, 625 P.2d 1192, the Court of Appeals of New
Mexico reversed summary judgment granted for the defendant drug company in a suit arising out
of the plaintiff’s personal injuries, which allegedly resulted from medical treatment by a
medication that the defendant manufactured. See 1980-NMCA-062, ¶ 1, 625 P.2d at 1193. The
Court of Appeals of New Mexico noted that “[p]roximate cause is a factual issue, unless all facts
regarding causation are undisputed or, as a matter of law, there is an independent intervening
cause.” 1980-NMCA-062, ¶ 11, 625 P.2d at 1195. It further noted: “Consequently, unless, as a
matter of law, 1) [the defendant]’s warnings are adequate, or 2) [the prescribing doctor]’s failure
to consult the appropriate literature before prescribing the [medication] constitutes an independent
intervening cause, a genuine issue of material fact exists and that precludes summary judgment.”
1980-NMCA-062, ¶ 11, 625 P.2d at 1195. The Court of Appeals of New Mexico held that the
plaintiff produced circumstantial evidence regarding the cause of the injury he suffered where the
defendant had publicly acknowledged that the medication could cause deafness that was published
in the PDR and the plaintiff demonstrated that he had a dramatic loss of hearing during the period
of time he was taking the medication. See 1980-NMCA-062, ¶ 8, 625 P.2d at 1195. The Court of
Appeals of New Mexico stated that “[i]t is improper for a court on summary judgment proceedings
to decide that the warnings of a manufacturer of a drug that is dangerous if misused are adequate
as a matter of law if evidence of inadequacy is presented.” 1980-NMCA-062, ¶ 14, 625 P.2d at
1196. The Court of Appeals of New Mexico also held that “[a] doctor’s negligence is not, as a
matter of law, an intervening cause exonerating the drug company, if the doctor’s act is reasonably
foreseeable.” 1980-NMCA-062, ¶ 16, 625 P.2d at 1196. The Court of Appeals of New Mexico
further stated: “Although some courts have held that the inadequacy of a drug company’s warnings
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cannot be the proximate cause of the patient’s injury when the physician failed to consult the
literature or observe the warnings concerning the drug he used, . . . the better reasoned cases do
not reach this result.” 1980-NMCA-062, ¶ 17, 625 P.2d at 1197. In summary, the Court of Appeals
of New Mexico concluded:
The issue, is still the foreseeability of the doctors’ actions. If it was
foreseeable that doctors might not consult the PDR or package inserts before using
[the medication], a doctor’s failure to do so does not constitute an independent
intervening cause relieving a drug company, whose warnings were inadequate,
from liability.
1980-NMCA-062, ¶ 17, 625 P.2d at 1198.
In Thom v. Bristol-Myers Squibb Co., 353 F.3d 848 (10th Cir. 2003), the Tenth Circuit
discussed the learned-intermediary doctrine in Wyoming. See 353 F.3d at 851. The Tenth Circuit
noted that “[f]orty-four other jurisdictions have adopted the learned intermediary doctrine in
prescription medicine cases.” 353 F.3d at 852 (citing Vitanza v. Upjohn Co., 275 Conn. 365, 778
A.2d 829, 838 n.11 (2001)). The Tenth Circuit noted that it “ha[d] implied in an analogous case
that Wyoming would adopt the doctrine.” Thom v. Bristol-Myers Squibb Co., 353 F.3d at 852.
The Tenth Circuit rejected the plaintiffs’ argument that the court should not apply the learnedintermediary doctrine, because the Supreme Court of Wyoming and the Wyoming Legislature had
not specifically adopted it, “despite a Wyoming district court’s prediction fourteen years ago that
[they] would.” Thom v. Bristol-Myers Squibb Co., 353 F.3d at 852. The Tenth Circuit explained:
“[S]ilence on the part of the state means only that it has not had occasion to review the matter, not
that it disagrees with the federal court’s interpretation of state law,” Thom v. Bristol-Myers Squibb
Co., 353 F.3d at 852, and stated:
Although the Wyoming Supreme Court has not to date acknowledged the learned
intermediary doctrine, neither has it denied the doctrine; it simply has not ruled on
the issue. We can and must safely assume that the delay, in the grandest traditions
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of all common-law courts, is due to the absence of a well presented and soundly
argued case, rather than indicative of some invented implication that the doctrine
does not exist.
353 F.3d at 852 (internal bracket and quotation marks omitted).
Under New Mexico law, “[i]f, in light of all the circumstances of this case, [an adequate
warning] [adequate directions for use] would have been noticed and acted upon to guard against
the danger, a failure to give [an adequate warning] [adequate directions for use] is a cause of
injury.” Civ. UJI 13-1425 (brackets in original). Civ. UJI No. 13-1424 instructs that, “[w]ith the
exception of proximate cause in warning cases, treated separately under UJI 13-1425, the general
tort law definition of proximate cause is applicable in products liability cases. The first paragraph
of this instruction is UJI 13-308 and the comment to that instruction is applicable.” Civ. UJI 131424, cmt. See Weitz v. Lovelace, Health Sys., Inc., 214 F.3d 1175, 1182 (10th Cir. 2000)(“In the
products liability context, New Mexico has evidenced its agreement with the common-sense
proposition that a duty to warn does not arise where the danger is known.” (citing Perfetti v.
McGhan Med., 1983-NMCA-032, ¶ 20, 662 P.2d at 651 (“In this case there would be no duty to
warn the [victim] if he actually knew of the danger.”))).
Under New Mexico law, the adequacy of warnings are usually a question of fact. See, e.g.,
Wilchinsky v. Medina, 1989-NMSC-047, ¶ 18, 775 P.2d 713, 718 (“The timing and adequacy of
any warnings, if given, are fact questions for the jury to decide in order to determine the
proportionate fault, if any, of the physician.”); Michael v. Warner/Chilcott, 1978-NMCA-043, ¶
31, 579 P.2d 183, 187 (“In reversing the case, we held that adequacy of the warning given by a
manufacturer in a negligence action presents an issue of fact for the jury. In making this
determination, we said: ‘The warning must adequately indicate the scope of the danger.’” (quoting
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First Nat’l Bank in Albuquerque v. Nor-Am Agr. Products, Inc., 1975-NMCA-052, ¶ 51, 537 P.2d
682, 691)). The Court of Appeals of New Mexico stated in Perfetti v. McGhan Medical:
Defendant’s claim is based on the surgeon’s general knowledge of the danger of
deflation and that deflation could occur at any time. This mistakes the danger
involved and, thus, the warning that was required. Defendant’s duty was to warn of
the nature and extent of the danger of a leak developing because of wear of the
prosthesis at a fold resulting from capsular contracture. There was a factual
question for the jury as to the surgeon's knowledge of this danger; the trial court
could not have properly ruled on the surgeon's knowledge as a matter of law.
1983-NMCA-032, ¶ 22, 662 P.2d at 650.
The Tenth Circuit has granted summary judgment under similar circumstances in which
the plaintiff could not prove that an alleged failure-to-warn proximately caused the injury. See,
e.g., Eck v. Parke, Davis & Co., 256 F.3d 1013, 1025 (10th Cir. 2001)(“The [plaintiffs] are, in
turn, unable to establish that the alleged failure-to-warn of the possible adverse reactions between
the drugs was the proximate cause of [plaintiff’s] injuries. Accordingly, we affirm the district
court’s grant of summary judgment to defendants.”). Courts in other jurisdictions have held that,
in the context of prescription-drug-failure-to-warn cases, a manufacturer’s alleged failure-to-warn
cannot be said to be the proximate cause of injury if the prescribing physician had independent
knowledge of the risk at issue. See, e.g., Odom v. G.D. Searle & Co., 979 F.2d 1001, 1003 (4th
Cir. 1992)(“Even viewing the facts most favorably to [the plaintiff], we cannot escape the district
court’s conclusion that [the physician] would have prescribed the [medication] no matter how
carefully [the defendant] refined the phrasing of its warning.”); Plummer v. Lederle Lab., 819 F.2d
349, 351, 358-59 (2d Cir. 1987)(holding that, as a matter of law, there could be no proximate cause
when the physician testified that, at the time he vaccinated plaintiff’s granddaughter, he knew of
the information about the risks of contact polio that plaintiff claimed should have been included in
the vaccine’s package insert); Kirsch v. Picker Intern., Inc., 753 F.2d 670, 674 (8th Cir.
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1985)(noting that, even if the manufacturer failed to warn the physician of risks associated with
use of x-ray equipment, that failure could not be the cause of the patient’s injuries where the
physician already was aware of the risks); Stanback v. Parke Davis & Co., 657 F.2d 642, 645 (4th
Cir. 1981)(upholding summary judgment on plaintiff’s failure-to-warn claim where the treating
physician testified that he knew of the risk of Guillain-Barre Syndrome associated with the flu
vaccine, Fluogen, at the time he vaccinated the plaintiff, but that he had not found it necessary,
and did not make it his practice, to advise patients about the risks associated with flu vaccinations);
Hall v. Merck, Sharp & Dohme, 774 F. Supp. 604, 607 (D. Kan. 1991)(Van Bebber, J.)(explaining
that, “[w]here it is uncontroverted that the prescribing physician is aware of the risks associated
with a drug, courts have consistently held that a drug manufacturer is entitled to summary
judgment.”); Wash. St. Physicians’ Ins. v. Fisons Corp., 858 P.2d 1054, 1062 (Wash. 1993)(noting
that the manufacturer’s failure-to-warn cannot be the proximate cause of the patient’s injury if the
physician was already aware of the risk involved in the use of the drug); Mowery v. Crittenton
Hosp., 400 N.W.2d 633, 638 (Mich. App. 1986)(stating that the manufacturer was entitled to
summary judgment because, although the prescribing physician testified that she was aware of the
risk of retinal detachment from having read the medical literature, she “stated that it was worth
taking the ‘risks’ to avoid repeated intraocular lens dislocation, endangering plaintiff's cornea.
Thus, it appears that even if [the doctor] had been given additional warnings by defendants of the
risk of retinal detachment, she would have chosen to prescribe [the medication] for plaintiff. There
is no evidence that she would have done otherwise.”).
Courts have also held that a prescription-drug manufacturer’s alleged failure-to-warn a
prescribing physician cannot be the proximate cause of injury unless the plaintiff can establish that
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a different warning would have changed the physician’s decision to prescribe the drug, i.e., that,
but for the alleged inadequate warning, the physician would not have prescribed the product. See,
e.g., Wheat v. Pfizer, Inc., 31 F.3d 340, 343 (5th Cir. 1994)(holding that the “[p]laintiffs must
demonstrate that ‘a proper warning would have changed the decision of the treating physician, i.e.,
that but for the inadequate warning, the treating physician would not have used or prescribed the
product’” (quoting Willett v. Baxter Int’l, Inc., 929 F.2d 1094, 1099 (5th Cir. 1991))); Odom v.
G.D. Searle & Co., 979 F.2d at 1003-04 (upholding summary judgment where the prescribing
physician testified that a different warning would not have changed his decision to prescribe an
intrauterine device); Plummer v. Lederele Labs., 819 F.2d at 358 (holding that there was no
proximate cause in absence of evidence that different warning would have caused physician to act
differently); Fisher v. Bristol-Myers Squibb Co., 181 F.R.D. 365, 370 (N.D. Ill. 1998)(Aspen,
C.J.)(“In a prescription drug failure-to-warn case, the plaintiff must establish that an adequate
warning would have convinced the treating physician not to prescribe the product for the
plaintiff.”)(internal quotation marks omitted); In re Norplant Contraceptive Prods. Liab. Litig., 955
F. Supp. at 710 (stating that the plaintiffs have the burden of proving that a different warning would
have changed the decision of the prescribing physician); Krasnopolsky v. Warner-Lambert Co.
799 F. Supp. 1342, 1347 (E.D.N.Y. 1992)(noting that any alleged inadequacy of the
manufacturer’s warning was not, as a matter of law, the proximate cause of the plaintiff’s injuries
where the physician testified he would have prescribed the drug even if the warnings had been
different); Windham v. Wyeth Lab., Inc., 786 F. Supp. 607, 612 (S.D. Miss. 1992)(Pickering,
J.)(granting summary judgment on failure-to-warn claim where the prescribing physician testified
that he still would have prescribed a medication even if he had received additional information);
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Thomas v. Hoffman-La Roche, Inc., 731 F. Supp. 224, 229 (N.D. Miss. 1989)(Davidson, J.)(“A
plaintiff in a prescription drug products liability case has the burden of proving that an adequate
warning to the prescribing physician would have altered the physician’s conduct.”); Mascarenas
v. Union Carbide Corp., 492 N.W.2d 512, 517 (Mich. App. 1992)(“To establish a prima facie case
that a manufacturer’s breach of its duty to warn was a proximate cause of an injury sustained, a
plaintiff must present evidence that the product would have been used differently had the warnings
been given.”); Vaughn v. G.D. Searle and Co., 536 P.2d 1247, 1250-51 (Or. 1975)(holding that,
where a different warning would not have changed doctor’s behavior, the plaintiff could not
establish proximate cause).
There are exceptions to the learned-intermediary doctrine, even in jurisdictions that
recognize it. Restatement (Third) of Torts § 6(d) provides:
(d) A prescription drug or medical device is not reasonably safe due to inadequate
instructions or warnings if reasonable instructions or warnings regarding
foreseeable risks of harm are not provided to:
(1) prescribing and other health-care providers who are in a position
to reduce the risks of harm in accordance with the instructions or
warnings; or
(2) the patient when the manufacturer knows or has reason to know
that health-care providers will not be in a position to reduce the risks
of harm in accordance with the instructions or warnings.
Restatement (Third) of Torts § 6(d)(1)-(2). The Supreme Court of New Mexico has cited favorably
to the Restatement (Third) of Torts. See, e.g., Baldonado v. El Paso Nat’l Gas Co.,
2008-NMSC-005, ¶ 14, 176 P.3d 277, 281; Payne v. Hall, 2006-NMSC-029, ¶ 14, 137 P.3d 599,
604; Berlangieri v. Running Elk Corp., 2003-NMSC-024, ¶ 18, 76 P.3d 1098, 1104. Comment e
to § 6 of the Restatement (Third) of Torts provides:
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Warnings and instructions with regard to drugs or medical devices that can be sold
legally only pursuant to a prescription are, under the “learned intermediary” rule,
directed to health-care providers. Subsection (d)(2) recognizes that direct warnings
and instructions to patients are warranted for drugs that are dispensed or
administered to patients without the personal intervention or evaluation of a
health-care provider. An example is the administration of a vaccine in clinics where
mass inoculations are performed. In many such programs, health-care providers
are not in a position to evaluate the risks attendant upon use of the drug or device
or to relate them to patients. When a manufacturer supplies prescription drugs for
distribution to patients in this type of unsupervised environment, if a direct warning
to patients is feasible and can be effective, the law requires measures to that effect.
Although the learned intermediary rule is generally accepted and a drug
manufacturer fulfills its legal obligation to warn by providing adequate warnings to
the health-care provider, arguments have been advanced that in two other areas
courts should consider imposing tort liability on drug manufacturers that fail to
provide direct warnings to consumers. In the first, governmental regulatory
agencies have mandated that patients be informed of risks attendant to the use of a
drug. A noted example is the FDA requirement that birth control pills be sold to
patients accompanied by a patient package insert. In the second, manufacturers
have advertised a prescription drug and its indicated use in the mass media.
Governmental regulations require that, when drugs are so advertised, they must be
accompanied by appropriate information concerning risk so as to provide balanced
advertising. The question in both instances is whether adequate warnings to the
appropriate health-care provider should insulate the manufacturer from tort
liability.
Those who assert the need for adequate warnings directly to consumers contend
that manufacturers that communicate directly with consumers should not escape
liability simply because the decision to prescribe the drug was made by the
health-care provider. Proponents of the learned intermediary rule argue that,
notwithstanding direct communications to the consumer, drugs cannot be dispensed
unless a health-care provider makes an individualized decision that a drug is
appropriate for a particular patient, and that it is for the health-care provider to
decide which risks are relevant to the particular patient. The Institute leaves to
developing case law whether exceptions to the learned intermediary rule in these or
other situations should be recognized.
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When the content of the warnings is mandated or approved by a governmental
agency regulation and a court finds that compliance with such regulation federally
preempts tort liability, then no liability under this Section can attach.
Restatement (Third) of Torts § 6 cmt. e.
NEW MEXICO LAW REGARDING PUNITIVE DAMAGES
“Punitive damages ‘are not compensation for injury.’” Gonzales v. Surgidev Corp., 1995NMSC-047, ¶ 12, 899 P.2d 594, 597 (quoting State v. Powell, 1992-NMCA-086, ¶ 13, 839 P.2d
139, 144). “Punitive damages do not measure a loss to the plaintiff, but rather punish the tortfeasor
for wrongdoing and serve as a deterrent.” Sanchez v. Clayton, 1994-NMSC-064, ¶ 11, 877 P.2d
567, 572. “Punitive damages may not be awarded unless there is an underlying award of
compensation for damages.” Gonzales v. Surgidev Corp., 1995-NMSC-047, ¶ 12, 899 P.2d at 597
(citing NMRA, Rule 13-1827). “Punitive damages serve two important policy objectives under
our state common law: to punish reprehensible conduct and to deter similar conduct in the future.”
Akins v. United Steel Workers of Am. Local 187, 2010-NMSC-031, ¶ 20, 237 P.3d 744, 749
(citing Bogle v. Summit Inv. Co., 2005-NMCA-024, ¶ 34, 107 P.3d 520, 531). “[T]he award of
punitive damages requires a culpable mental state because such damages aim to punish and deter
‘culpable conduct beyond that necessary to establish the underlying cause of action.’” Yedidag v.
Roswell Clinic Corp., 2015-NMSC-012, ¶ 58, 346 P.3d 1136, 1152 (quoting Walta v. Gallegos
Law Firm, P.C., 2002-NMCA-015, ¶ 56, 40 P.3d 449, 461). “New Mexico recognizes that,
although punitive damages are not normally available for a breach of contract, a plaintiff may
recover punitive damages when a defendant’s breach was ‘malicious, fraudulent, oppressive, or
committed recklessly with a wanton disregard for the plaintiff’s rights.’” Anderson Living Tr. v.
ConocoPhillips Co., 952 F. Supp. 2d at 1046 (citing Romero v. Mervyn’s, 1989-NMSC-081, ¶ 23,
784 P.2d 992, 998).
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In determining punitive-damage awards, New Mexico courts apply a preponderance-ofthe-evidence standard. See Jessen v. Nat’l Excess Ins., 1989-NMSC-040, ¶ 15, 776 P.2d 1244,
1247-48 (citing United Nuclear Corp. v. Allendale Mut. Ins., 1985-NMSC-090, ¶¶ 14, 89, 709
P.2d 649, 653, 666). “To be liable for punitive damages, a wrongdoer must have some culpable
mental state and the wrongdoer’s conduct must rise to a willful, wanton, malicious, reckless,
oppressive, or fraudulent level.” Clay v. Ferrellgas, Inc., 1994-NMSC-080, ¶ 12, 881 P.2d at 14
(citations omitted)(citing McGinnis v. Honeywell, Inc., 1990-NMSC-043, ¶ 31, 791 P.2d 452, 460;
Loucks v. Albuquerque Nat’l Bank, 1996-NMSC-176, ¶ 48, 418 P.2d 191, 199). Factors to be
weighed in assessing punitive damages are the enormity and nature of the wrong, and any
aggravating circumstances. See Green Tree Acceptance, Inc. v. Layton, 1989-NMSC-006, ¶ 9,
769 P.2d 84, 87 (citing Sweitzer v. Sanchez, 1969-NMCA-055, ¶ 26, 456 P.2d 882, 886). Punitive
damages may be imposed “when a party intentionally or knowingly commits wrongs,” or “when
a defendant is utterly indifferent to the plaintiff’s rights, even if the defendant lacked actual
knowledge that his or her conduct would violate those rights.” Yedidag v. Roswell Clinic Corp.,
2015-NMSC-012, ¶ 58, 346 P.3d at 1152 (citing NMRA, Rule 13-1827; Kennedy v. Dexter
Consol. Schs., 2000-NMSC-025, ¶ 32, 10 P.3d 115, 125-26). “Recklessness requires indifference
to the rights of the victim, rather than knowledge that the conduct will violate those rights.”
Kennedy v. Dexter Consol. Schs., 2000-NMSC-025, ¶ 32, 10 P.3d at 125 (citing Torres v. El Paso
Elec. Co., 1999-NMSC-029, ¶ 28, 987 P.2d 386, 397). “Recklessness in the context of punitive
damages refers to ‘the intentional doing of an act with utter indifference to the consequences.’”
Torres v. El Paso Elec. Co., 1999-NMSC-029, ¶ 28, 987 P.2d at 397 (quoting NMRA, Rule 131827). “The degree of the risk of danger involved in the activity in question is a relevant factor in
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determining whether particular conduct rises to the level of recklessness.” Torres v. El Paso Elec.
Co., 1999-NMSC-029, ¶ 28, 987 P.2d at 397. “A defendant does not act with reckless disregard
to a plaintiff’s rights merely by failing ‘to exercise even slight care,’ absent the requisite ‘culpable
or evil state of mind.’” Anderson Living Tr. v. ConocoPhillips Co., 952 F. Supp. 2d at 1031
(quoting Paiz v. State Farm Fire & Cas. Co., 1994-NMSC-079, ¶ 26, 880 P.2d at 308). The Court
has previously addressed punitive damages under New Mexico law in various situations. See, e.g.,
Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1242 (holding a genuine issue of material fact on
punitive damages existed where a party had “demonstrated that persons at Eli Lilly may have been
aware of a problem, perceived or actual, linking Prozac with increased suicidality and violence”);
Applied
Capital,
Inc.
v.
Gibson,
558
F. Supp.
2d
1189,
1196
(D.N.M.
2007)(Browning, J.)(granting punitive damages where the defendant “intentionally deceived
Applied Capital, misrepresenting Legato Staffing’s financial resources and creditworthiness, the
existence of the rig, and the bona fides of the transaction generally”); Faniola v. Mazda Motor
Corp., No. CIV 02-1011 JB/RLP, 2004 WL 1354469, at *1, *6 (D.N.M. April 30,
2004)(Browning, J.)(noting that “a reasonable factfinder could [not] find that Mazda had a
culpable mental state in designing [a] fuel tank” when “Mazda’s design was and is accepted in the
industry,” and the design met “federal safety standards,” although the facts showed that “[t]he
brake shoe rotated under Faniola’s vehicle, striking several places, and punctured her gas tank,”
causing the car to catch fire).
While the Supreme Court of New Mexico has not addressed punitive damages arising from
automobile accidents, the Court of Appeals of New Mexico has upheld punitive damages awards
when drivers used alcohol or drugs, drove while intoxicated and suffering from an extreme lack of
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sleep, and drove erratically or far beyond the speed limit. See DeMatteo v. Simon, 1991-NMCA027, 812 P.2d 361; Svejcara v. Whitman, 1971-NMCA-093, 487 P.2d 167; Sanchez v. Wiley,
1997-NMCA-105, 946 P.2d 650. In Svejcara v. Whitman, the Court of Appeals of New Mexico
upheld a jury’s punitive damages award:
Defendant was driving in a reckless manner while intoxicated. He turned into slow
moving on-coming traffic. He stated he was traveling three miles per hour and yet
the force of his car’s impact spun plaintiffs’ car almost 90 degrees, blew out the left
rear tire, bent the left rear wheel, ruptured the gas tank, and bent the left rear door
and fender for a total damage exceeding $1,000.00. The collision caused both
plaintiffs to receive personal injuries some of which are permanent and disabling.
1971-NMCA-093, ¶ 21, 487 P.2d at 170. The Court of Appeals of New Mexico likewise upheld
a jury’s award in DeMatteo v. Simon, wherein the party “drove three to four hours the day before
the accident, slept about five hours in his car, remained awake for the next twenty hours
immediately prior to the accident, and then consumed marijuana shortly before the accident
allowed the jury to conclude that punitive damages were warranted.” 1991-NMCA-027, ¶ 7, 812
P.2d at 364. In Sanchez v. Wiley, the Court of Appeals of New Mexico reversed a directed verdict
for the defendant, because, as the defendant “appeared to be under the influence of alcohol
immediately following the accident,” a jury could reasonably award punitive damages. 1997NMCA-105, ¶ 16, 946 P.2d at 655.
The Court predicts that the Supreme Court of New Mexico would agree with these Court
of Appeals of New Mexico cases. See Guidance Endodontics, LLC v. Dentsply Int’l, Inc., 708
F. Supp. 2d at 1224-25. The Supreme Court of New Mexico has made clear that utter indifference
is sufficient for awarding punitive damages, and the risks, even if not the certainty that a harm will
occur, associated with excessive speed, erratic driving, and alcohol and drugs while driving are
both known and high. See, e.g., Yedidag v. Roswell Clinic Corp., 2015-NMSC-012, ¶ 58, 346
- 113 -
P.3d at 1152; Torres v. El Paso Elec. Co., 1999-NMSC-029, ¶ 28, 987 P.2d at 397; Green Tree
Acceptance, Inc. v. Layton, 1989-NMSC-006, ¶ 9, 769 P.2d at 87. Further, the Supreme Court of
New Mexico considers a party’s knowledge of and failure to follow state law when upholding
punitive damages awards. See Clay v. Ferrellgas, Inc., 1994-NMSC-080, ¶ 21, 881 P.2d at 16
(“Ferrellgas employees testified that they knew of the state laws that required them to install a
vapor barrier and to properly vent the trunk of the car when they installed the tank. . . . There is
no question that they did not comply with these requirements.”). In DeMatteo v. Simon, Svejcara
v. Whitman, and Sanchez v. Wiley, the drivers using substances, speeding, and driving erratically
egregiously violated well-established and understood driving rules and norms, which, like failing
to follow the regulations for installing propane tanks, accompany “high risk[s] of harm.” Clay v.
Ferrellgas, Inc., 1994-NMSC-080, ¶ 24, 881 P.2d at 17.
ANALYSIS
The Court will grant the MTD and dismiss the case with prejudice. The Court concludes
that Nowell’s warranty claims are untimely, because Nowell alleges that her physician used the
Defendants’ defective product to repair her hernia on October 27, 2010, but Nowell did not file
her original Complaint until October 5, 2017, almost three years after the expiration of the fouryear statute of limitations that governs express- and implied-warranty claims. See N.M. Stat. Ann.
§ 55-2-725(1). The Court also concludes that Nowell’s negligence and strict liability claims are
untimely, because the Amended Complaint indicates that Nowell was aware of cognizable tort
injuries between April, 2011, and March, 2014, but did not file her original Complaint until
October 5, 2017, after the three-year statute of limitations governing negligence and strict liability
claims had expired. See N.M. Stat. Ann. § 37-1-8. Furthermore, the Court concludes that the
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Amended Complaint’s factual allegations lack specificity sufficient to satisfy the pleading standard
articulated in Bell Atlantic Corp. v. Twombly: (i) Nowell’s negligence claim does not plead facts
which suggest that the Defendants’ mesh caused her injury; (ii) Nowell’s strict liability claims do
not allege any specific defect -- in either design, manufacture, or warning -- that made the
Defendants’ product unreasonably dangerous and caused her injuries; (iii) Nowell has not alleged
that a feasible alternative design exists which lacks the alleged design defect and that therefore
would have prevented her injuries; (iv) Nowell does not allege a single affirmation or
representation that could support her express-warranty claim; (v) Nowell does not allege with
specificity a defect that rendered the Defendants’ product sufficiently unfit for its particular
purpose or sufficiently unmerchantable to support her claim for breach of implied warranty; (vi)
Nowell has not alleged facts sufficient to support a finding that the Defendants’ conduct
maliciously, intentionally, fraudulently, oppressively, recklessly, or wantonly offended Nowell’s
rights such that Nowell is entitled to punitive damages. Accordingly, the Court grants the MTD.
I.
THE APPLICABLE STATUTES OF LIMITATIONS BAR NOWELL’S
WARRANTY, NEGLIGENCE, AND STIRCT-LIABILITY CLAIMS.
Nowell’s warranty, negligence, and strict-liability claims are untimely, because she filed
her original Complaint almost three years after the expiration of the four-year statute of limitations
period that governs express and implied warranty claims, and almost four years after the threeyear limitations period that governs negligence and strict-liability claims. Furthermore, the
discovery rule does not toll the applicable statutes of limitations, because the rule does not apply
to warranty claims, and because Nowell had a cognizable tort injury over three years before she
filed her negligence and strict-liability claims. The Court therefore dismisses Nowell’s claims
pursuant to rule 12(b)(6).
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A.
NOWELL’S WARRANTY CLAIMS ARE UNTIMELY, BECAUSE SHE
FILED THESE CLAIMS OUTSIDE THE FOUR-YEAR STATUTE OF
LIMITATIONS PERIOD.
The Defendants argue that the UCC’s four-year limitations period bars Nowell’s breachof-implied and express-warranty claims, because Nowell’s physician implanted the Defendants’
mesh in Nowell’s abdomen on October 27, 2010, but Nowell did not assert these claims until
October 5, 2017. See MTD at 7 (citing Amended Complaint ¶ 38, at 8). At the August 10, 2018,
hearing, Nowell conceded that the UCC’s statute of limitations bars her express warranty claim,
see Tr. at 6:14-17 (Montclare); however, she maintains that the discovery rule tolls the limitations
period for her implied warranty claim, because she did not discover that the Defendants’ mesh was
causing her injury until October 8, 2014, when Dr. Pollard advised her “for the first time that there
was a problem with the mesh and that it had to be removed,” MTD Response at 12-13. The
Defendants assert that the discovery rule is inapplicable and thus cannot save Nowell’s claims.
See MTD Reply at 2.
The Court agrees with the Defendants that the statute of limitations bars Nowell’s claims
for breach of express and implied warranty. Pursuant to New Mexico’s UCC, warranty claims are
subject to a four-year statute of limitations. See N.M. Stat. Ann. § 55-2-725; Bellman v. NXP
Semiconductors USA, Inc., 248 F. Supp. 3d at 1156 (“The Supreme Court of New Mexico has
concluded that the UCC’s four-year statute of limitations ‘governs actions for breach of warranty
seeking personal injury damages.’” (quoting Badilla v. Wal-Mart Stores E. Inc., 2015-NMSC-029,
¶ 47, 357 P.3d at 948)). Moreover, such claims accrue when a given product is delivered. See
N.M. Stat. Ann. § 55-2-725; AIG Aviation Ins. v. Avco Corp., 709 F. Supp. 2d at 1131-32
(“[A]ctions for breach of warranty must be brought within four years of delivery.”). Here, Nowell
alleges that Dr. Pollard used the Defendants’ mesh to repair her hernia on October 27, 2010, which
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effected the product’s delivery to Nowell. See Amended Complaint ¶ 38, at 8. Nowell did not
assert, however, her warranty claims until October 5, 2017, when she filed her original Complaint,
which is almost seven years from the effective delivery date. See Amended Complaint ¶ 38, at 8.
Hence, absent tolling, Nowell’s warranty claims are time-barred.
The Court further agrees with the Defendants that the discovery rule cannot save Nowell’s
breach of implied warranty claim. Section 55-2-725 describes the discovery rule’s role in the
breach of warranty context:
A breach of warranty occurs when tender of delivery is made, except that where a
warranty explicitly extends to future performance of the goods and discovery of the
breach must await the time of such performance, the cause of action accrues when
the breach is or should have been discovered.
N.M. Stat. Ann. § 55-2-725 (emphasis added). The Court agrees with the Honorable Bruce Black,
former United States District Judge for the District of New Mexico, in his assertion that “[i]mplied
warranties, like those at issue here, do not explicitly guarantee future performance.” AIG Aviation
Ins. v. Avco Corp., 709 F. Supp. 2d at 1131-32. Hence, because Nowell’s Amended Complaint
does not assert that the Defendants explicitly extended their warranty to future performance,
Nowell cannot rely on the discovery rule to toll the limitations period.
B.
NOWELL’S NEGLIGENCE AND STRICT-LIABILITY CLAIMS ARE
UNTIMELY, BECAUSE SHE FILED THESE CLAIMS OUTSIDE THE
THREE-YEAR STATUTE OF LIMITATIONS PERIOD.
The Defendants contend that Nowell’s negligence and strict-liability claims are likewise
untimely, because such claims are subject to a three-year statute of limitations and because the
Amended Complaint alleges cognizable tort injures that occurred more than three years before
October 5, 2017, when Nowell filed her original Complaint. See MTD at 9. Nowell asserts that
the discovery rule tolls the limitations period, because she did not discover that the Defendants’
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mesh was causing her injury until October 8, 2014, when Dr. Pollard for the first time advised her
otherwise. See MTD Response at 12-13. The Defendants insist that tolling is unavailable to
Nowell, because her Amended Complaint does not allege “reasonable diligence” sufficient “to
‘establish[] a factual basis for tolling’ pursuant to the discovery rule.” MTD at 9 (alteration in
MTD)(quoting Andrew v. Schlumberger Tech. Corp., 808 F. Supp. 2d at 1292).
The Court agrees with the Defendants that the statute of limitations bars Nowell’s
negligence and strict liability claims. Section 37-1-8 subjects claims sounding in tort to a threeyear statute of limitations. See N.M. Stat. Ann. § 37-1-8 (“Actions must be brought . . . for an
injury to the person or reputation of any person, within three years.”). Pursuant to the discovery
rule, a tort claim accrues at “the time of the injury not the time of the negligent act.” N.M. Elec.
Serv. Co. v. Montanez, 1976-NMSC-028, ¶ 13, 551 P.2d 634, 637). Moreover, “[a] plaintiff’s
cause of action accrues when he or she understands the nature of his or her injury; that is, when
the plaintiff knows or with reasonable diligence should have known of the injury and its cause.”
Maestas v. Zager, 2007-NMSC-003, ¶ 22, 152 P.3d at 148. The Court previously has noted that,
“[s]pecifically, [the] statute of limitations commences when an ‘injury manifests itself and is
ascertainable.’” Gose v. Bd. of Cnty. Comm’rs of Cnty. of McKinley, 727 F. Supp. 2d at 1264
(quoting Maestas v. Zager, 2007-NMSC-003, ¶ 13, 152 P.3d at 145). Here, Nowell’s Amended
Complaint alleges that, subsequent to Nowell’s October 27, 2010, hernia repair surgery, the
Defendants’ mesh began to “pull away from the actual edges,” and on April 27, 2011, Nowell had
a second surgery wherein Dr. Pollard used additional sutures to reinforce the existing Parietex
mesh. Amended Complaint ¶ 38, at 31. This assertion thus indicates that Nowell was aware of a
potential problem with the Defendants’ mesh seven years before she filed her original Complaint.
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Nowell further asserts that, at some point during the three years that followed the April, 2011,
surgery, she began to experience “symptoms including but not limited to exhaustion and pain in
the area of the mesh.” Amended Complaint ¶ 38, at 8. These symptoms compelled Nowell to
undergo a CT scan on March 1, 2014, which revealed “cysts in the area associated with the mesh.”
Amended Complaint ¶ 38, at 31. That Nowell’s symptoms were proximate to the Defendants’
mesh and suitably painful to warrant medical attention indicates that she was aware of injury
sufficient to start the three years limitations period.
Although Nowell concedes that she was skeptical about the mesh’s safety before October
8, 2014, she nevertheless asserts that the discovery rule tolls the limitations period, because she
relied on Dr. Pollard’s opinion that the mesh was not her symptoms’ source and therefore did not
discover that the Defendants’ mesh was causing her injury until October 8, 2014, when Dr. Pollard
advised her “for the first time that there was a problem with the mesh and that it had to be
removed.” MTD Response at 12-13. Hence, Nowell argues that it would have been unreasonable
for her to assume that the mesh was the cause of her symptoms until October 8, 2014.21 See MTD
21
Attached to the MTD Response are three exhibits which Nowell argues support her
position that she acquired “sufficient knowledge to pursue a cause of action” only on October 8,
2014. MTD Response at 14. Nowell adds that, although she has “presented matters outside the
pleadings,” the exhibits rebut the Defendants’ assertion that “uncontroverted facts” show that
Nowell filed her claim outside the statute of limitations. MTD Response at 14 (quoting MTD at
6). Nowell requests that, should the Court consider her exhibits, the Court treat the MTD as a
motion for summary judgment pursuant to rule 12(d) of the Federal Rules of Civil Procedure. See
MTD Response at 15 (citing Fed. R. Civ. P. 12(d) (“If, on a motion under Rule 12(b)(6) or 12(c),
matters outside the pleadings are presented to and not excluded by the court, the motion must be
treated as one for summary judgment under Rule 56.”)). The Defendants contend that the Court
cannot consider Nowell’s exhibits, see MTD Reply at 3 (citing Great Am. Ins. Co. v. Crabtree,
2012 WL 3656500, at *21 (citing Casanova v. Ulibarri, 595 F. 3d at 1125), but even if it could,
“they do not address the fact that she was on discovery notice prior to the expiration of the statute
of limitations in October 2013,” MTD Reply at 4.
Generally, a complaint’s sufficiency must rest on its contents alone. See Casanova v.
Ulibarri, 595 F.3d at 1125; Gossett v. Barnhart, 139 F. App’x at 24 (“In ruling on a motion to
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Response at 13-14. Further support for this position, Nowell asserts, is seen in Martinez v. Showa
Denko, K.K., wherein the Court of Appeals of New Mexico stated that, under the discovery rule,
the statute of limitations is triggered when the plaintiff “‘acquires knowledge of facts, conditions,
or circumstances which would cause a reasonable person to make an inquiry leading to the
discovery of the concealed cause of action.’” MTD Response at 13 (quoting Martinez v. Showa
dismiss, the district court is limited to the facts pled in the complaint.”). Emphasizing this point,
the Tenth Circuit, in Carter v. Daniels, stated: “When ruling on a Rule 12(b)(6) motion, the district
court must examine only the plaintiff’s complaint. The district court must determine if the
complaint alone is sufficient to state a claim; the district court cannot review matters outside of the
complaint.” Carter v. Daniels, 91 F. App’x at 85. Moreover, the Court will not convert the MTD
to a motion for summary judgment, as rule 12(d) would require if the Court intends to rely on
Nowell’s exhibits. See Fed. R. Civ. P. 12(d) (“If, on a motion under Rule 12(b)(6) or 12(c), matters
outside the pleadings are presented to and not excluded by the court, the motion must be treated
as one for summary judgment under Rule 56.”); GFF Corp. v. Associated Wholesale Grocers, Inc.,
130 F.3d 1381, 1384 (10th Cir. 1997). See also Swoboda v. Dubach, 992 F.2d 286, 290 (10th Cir.
1993). In Great American Insurance Co. v. Crabtree, the Court ruled that, when determining
whether a statute of limitations has run in an action alleging fraud and seeking subrogation from a
defendant, it may not use interviews and letters attached to a motion to dismiss which evidence
that the plaintiff was aware of the defendant’s alleged fraud before the statutory period expired.
See Great Am. Ins. Co. v. Crabtree, 2012 WL 3656500, at *3, *22-23. Thus, the Court cannot
consider the exhibits if it continues to treat the Defendants’ MTD as motion to dismiss. And unless
the Court converts the MTD into a motion for summary judgment, the Court cannot properly
consider these documents.
Nevertheless, the Court’s review of these three documents would not change the Court’s
result. Indeed, they show that the Court is on firm ground in not granting leave to amend and to
deny the warranty claims with prejudice. Therefore, even if the Court looks at the first two
exhibits, a CT scan and Dr. Pollard’s physician’s notes, and the third exhibit, the Nowell Affidavit,
in which Nowell alleges that Dr. Pollard told her that the pain in the area around her mesh did not
relate to the mesh itself, these documents do not save Nowell’s time-barred claims, because the
first two exhibits relate to Nowell’s 2014 surgery, which occurred after the statute of limitations
had run, and because Dr. Pollard’s diagnosis either was true, which would negative Nowell’s
claims, or was a misdiagnosis, which would not relieve Nowell of her responsibility to pursue her
symptom’s cause. See Robinson v. BNSF R. Co., 2012 WL 4747155, at *4 (“[A] misdiagnosis
does not relieve a patient of all responsibility in pursuing the cause of her symptoms, and continued
reliance on a misdiagnosis in the face of contrary evidence may be unreasonable.”). Nowell cannot
rely on Dr. Pollard’s misdiagnosis to toll her claims, because she “affirmatively alleges” that she
had surgery to repair the mesh within a year of its implantation and that she continued to suffer
pain in the area around the mesh for three additional years.
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Denko, K.K., 1998-NMCA-111, ¶ 24, 964 P.2d at 182). Nowell adds that the October 6, 2014,
CT scan informed Dr. Pollard’s decision to remove the mesh. See MTD Response at 13. These
averments do not persuade the Court. Once Nowell began to experience pain and discomfort
following her April, 2011, surgery, either she knew enough to allege that Defendant’s mesh caused
those injuries, or she had a “duty to inquire into” the cause. Butler v. Deutsche Morgan Grenfell,
Inc., 2006-NMCA-084, ¶ 34, 140 P.3d 532, 540 (“[T]he awareness of an injury creates a duty to
inquire into its causes.”).22 Moreover, Nowell’s reliance on Martinez v. Showa Denko, K.K., is
misplaced. The plaintiff in Martinez v. Showa Denko, K.K. brought a products liability action
against a dietary supplement manufacturer after experiencing flu-like symptoms, memory loss,
and fatigue, which she attributed to the defendant’s product. See Martinez v. Showa Denko, K.K.,
1998-NMCA-111, ¶ 2, 964 P.2d at 177.23 The plaintiff did not file her claim until six years after
first experiencing these symptoms, which she subsequently attributed to lupus after consulting
with her physician. See Martinez v. Showa Denko, K.K., 1998-NMCA-111, ¶ 6, 964 P.2d at 177.
In reversing the district court’s denial of the defendant’s summary judgment motion on statute of
22
The Court predicts that the Supreme Court of New Mexico would agree with Butler v.
Deutsche Morgan Grenfell, Inc.’s proposition that awareness of an injury creates a duty to inquire
into the injury’s cause, based on the Supreme Court of New Mexico statement in McNeill v.
Burlington Resources Oil & Gas Co., 2008-NMSC-022, 182 P.3d 121: “In New Mexico, a cause
of action arises when ‘the plaintiff discovers or with reasonable diligence should have discovered
that a claim exists.’” McNeill v. Burlington Res. Oil & Gas Co., 2008-NMSC-022, ¶ 37, 182 P.3d
at 130 (quoting Williams v. Stewart, 2005-NMCA-061, ¶ 12, 112 P.3d 281, 285).
23
The Court predicts that the Supreme Court of New Mexico would agree with Martinez v.
Showa Denko, K.K.’s proposition that divergent medical opinions concerning an injury’s cause
will not toll the statute of limitations, because the Supreme Court of New Mexico stated the same
proposition in Maestas v. Zager (“[I]f ‘the plaintiff knows or should have reasonably known of the
general nature and extent of an injury, the running of a statute of limitations is not delayed if there
are differing medical opinions regarding whether the plaintiff has incurred a particular medical
condition.’” (quoting Martinez v. Showa Denko, K.K., 1998-NMCA-111, ¶ 24, 964 P.2d at 182)).
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limitations grounds, the Court of Appeals of New Mexico noted that the plaintiff could not rely on
her physician’s misdiagnosis to toll the limitations period:
As a general rule, the mere fact that there is a divergence of medical opinions among
physicians concerning the cause of an individual’s ailment does not preclude or toll
the running of the statute of limitations. As observed in American Law of Products
Liability 3d, supra § 47:42, at 75, if “the plaintiff knows or should have reasonably
known of the general nature and extent of an injury, the running of a statute of
limitations is not delayed if there are differing medical opinions regarding whether
the plaintiff has incurred a particular medical condition.” Although we are
sympathetic to Plaintiff's situation, nothing in the discovery rule serves to suspend
the running of the statute of limitations merely because there are divergent medical
opinions concerning the nature or cause of her illness or injuries.
Martinez v. Showa Denko, K.K., 1998-NMCA-111, ¶ 24, 964 P.2d at 182. The Court of Appeals
of New Mexico then quoted from the Court of Appeals of Texas’ opinion in Bell v. Showa Denko
K.K., 899 S.W.2d 749 (Tex. Ct. App. 1995), which observed that the discovery rule’s reasonable
diligence requirement “is so because the knowledge of such matters is, in the law, equivalent to
knowledge of the cause of action itself for limitation purposes.” Martinez v. Showa Denko, K.K.,
1998-NMCA-111, ¶ 24, 964 P.2d at 182 (quoting Bell v. Showa Denko K.K., 899 S.W.2d at 754).
Nowell’s Amended Complaint is devoid of allegations that, had Nowell “diligently investigated
the problem[,] she would have been unable to discover the cause of her injury.” Martinez v. Showa
Denko, K.K., 1998-NMCA-111, ¶ 22, 964 P.2d at 180. Instead, Nowell asserts that the discovery
rule permitted her to wait until Dr. Pollard informed her that “there was a problem with the mesh
and that it had to be removed.” Amended Complaint ¶ 38, at 8. Nowell’s reliance on her
physician’s conclusion cannot support a reasonable diligence finding, particularly in light of
Nowell’s factual assertions regarding her April, 2011, surgery and subsequent “pain in the area of
the mesh.” Amended Complaint ¶ 38, at 8. The Court therefore concludes that Nowell’s failure
to allege “reasonable diligence” precludes the discovery rule’s application. Without the benefit of
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tolling, Nowell’s negligence and strict liability claims are untimely and warrant dismissal pursuant
to rule 12(b)(6).
II.
NOWELL’S AMENDED COMPLAINT DOES NOT STATE PLAUSIBLE
NEGLIGENCE, STRICT-LIABILITY, AND WARRANTY CLAIMS AGAINST
DEFENDENTS.
Nowell’s negligence, strict liability, and warranty claims assert only generalized
allegations and not facts sufficient to survive analysis pursuant to rule 12(b)(6). When reviewing
a motion to dismiss, the Court “must accept as true all of the factual allegations contained in the
complaint.” Bell Atl. Corp. v. Twombly, 550 U.S. at 572. The Court will not dismiss any claims
pursuant to rule 12(b)(6) unless Nowell has failed to plead facts sufficient to state a facially
plausible claim to relief. See Bell Atl. Corp. v. Twombly, 550 U.S. at 570. To state a plausible
claim, Nowell must provide “factual content that allows the court to draw the reasonable inference
that the defendant is liable for the misconduct alleged,” which is a standard that requires “more
than a sheer possibility that a defendant has acted unlawfully.” Ashcroft v. Iqbal, 556 U.S. at 678.
A complaint that offers only “labels and conclusions” or “a formulaic recitation of the elements of
a cause of action will not do.” Bell Atl. Corp. v. Twombly, 550 U.S. at 555. Applying those
standards here, Nowell’s claims fail as a matter of law: (i) Nowell’s negligence claim does not
plead facts which suggest that Defendants’ mesh caused her injury; (ii) Nowell’s strict liability
claims do not allege any specific defect -- in either design, manufacture, or warning -- that made
Defendants’ product unreasonably dangerous, and caused her injury; moreover, Nowell has not
alleged that a feasible alternative design existed which lacked the alleged design defect and that
therefore would have prevented her injuries; (iii) Nowell does not allege with specificity a defect
that rendered Defendants’ product sufficiently unmerchantable to support her claim for breach of
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implied warranty; and (iv) Nowell has not alleged facts sufficient to support a finding that
Defendants’ conduct maliciously, intentionally, fraudulently, oppressively, recklessly or wantonly
offended Nowell’s rights such that Nowell is entitled to punitive damages. Accordingly, the Court
grants the MTD pursuant to rule 12(b)(6).
A.
NOWELL’S NEGLIGENCE CLAIM DOES NOT STATE A CAUSAL
CONNECTION BETWEEN HER INJURIES AND THE DEFENDANTS’
MESH.
The Defendants contend that, assuming they owed Nowell a duty, the Amended Complaint
does not plead facts that allege a breach of that duty or proximate causation, as New Mexico law
requires to support a negligence claim. See MTD at 10. Nowell insists that the Amended
Complaint asserts each of the elements of a “claim[] sounding in common law negligence.” MTD
Response at 5. The Defendants maintain that the Amended Complaint does not identify any wellpled facts which suggest that the Defendants breached a duty that caused Nowell’s injuries. See
MTD Reply at 6.
The Court agrees that Nowell has not pled facts sufficient to support a negligence claim.
“Generally, a negligence claim requires the existence of a duty from a defendant to a plaintiff,
breach of that duty, which is typically based upon a standard of reasonable care, and the breach
being a proximate cause and cause in fact of the plaintiff's damages.” Herrera v. Quality Pontiac,
2003-NMSC-018, ¶ 6, 73 P.3d at 185-86. “A proximate cause of an injury is that which in a natural
and continuous sequence [unbroken by an independent intervening cause] produces the injury, and
without which the injury would not have occurred.” Herrera v. Quality Pontiac, 2003-NMSC-018,
¶ 34, 73 P.3d at 195. “It need not be the only cause, nor the last nor nearest cause.” Herrera v.
Quality Pontiac, 2003-NMSC-018, ¶ 34, 73 P.3d at 195. “It is sufficient if it occurs with some
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other cause acting at the same time, which in combination with it, causes the injury.” Herrera v.
Quality Pontiac, 2003-NMSC-018, ¶ 34, 73 P.3d at 195. Nowell’s negligence claim requires her
to prove that the Defendants’ mesh caused her injuries. Nowell asserts that the Amended
Complaint establishes “a causal connection between the Defendants’ conduct and her injuries” in
paragraphs 22, 23, 36, 38 through 40, 46, and 49 through 51. MTD Response at 5-6. The Court
does not agree with Nowell. Ignoring conclusory assertions and recitations of legal standards, the
Amended Complaint does not allege any facts that plausibly establish a connection between
Nowell’s injuries and the Defendants’ mesh. Paragraphs 22 and 23 describe “common injuries
caused by hernia surgeries,” and do not reference either Nowell or the Defendants’ mesh.
Amended Complaint ¶¶ 22-23, at 5. Paragraph 36 asserts that MAUDE24 reports document
“serious malfunctions” with the Defendants’ mesh, but neither describes the malfunctions nor
connects the malfunctions to Nowell. Amended Complaint ¶ 36, at 5. Paragraph 38 describes
Nowell’s hernia repair surgeries and subsequent remedial procedures, and asserts:
On October 8, 2014, in clinic Dr. Powell advised Ms. Nowell that there was no
choice but to remove the Parietex mesh and replace it with a biological
mesh. . . . It at was at this discussion that Ms. Nowell was told by the doctor that
there was a problem with the mesh itself.
Amended Complaint ¶38, at 8. This paragraph does not include facts which infer that the
Defendants’ mesh caused Nowell’s infection. Presumably, Dr. Pollard’s purported “problem” was
that the mesh was “infected and disintegrated (unincorporated)”; however, nowhere in this
24
“MAUDE” refers to the “Manufacturer and User Facility Device Experience,” which is
a database that, according to the FDA, “houses medical device reports submitted to the FDA by
mandatory reporters (manufacturers, importers and device user facilities) and voluntary reporters
such as health care professionals, patients
and
consumers.” MAUDE, FDA,
https://www.accessdata.fda.gov/scripts/cdrh/cfdocs/cfmaude/search.cfm#fn1 (last visited March
1, 2018).
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paragraph does Nowell allege facts to suggest that the opposite conclusion, i.e., that infection
caused the mesh to disintegrate, is any less likely than her theory. Amended Complaint ¶ 38, at 8.
Paragraph 39 describes Nowell’s injuries but does not suggest a means through which they
occurred. See Amended Complaint ¶ 39, at 9. Paragraph 39 also discusses Nowell’s three
scientific articles, none of which, the Court concludes, support Nowell’s assertion “that the type
of material that was used in Parietex mesh caused infection and disintegration which resulted in
pain, exhaustion, and other injuries” or “that the type of surgical mesh as Parietex causes similar
injuries as those sustained by Ms. Nowell.” Amended Complaint ¶ 39, at 9-10. Instead, the articles
merely highlight underlying risks common to all hernia repair surgeries. See supra n.1. For
example, the first article, “Central Failures of Lightweight Monofilament Polyester Mesh Causing
Hernia Recurrence: A Cautionary Note,” examines “Parietex TCM,” and its potential for tearing
in thirty-six patients but asserts no causal connection to Nowell’s main injury, that is, infection.
See Petro et al., supra, at 155. Moreover, although the authors conclude that Parietex TCM
“appears to have a high incidence of mechanical failure in the context of open incisional hernia
repair,” they add that “this limitation may ultimately be revealed as a weakness of all lightweight
mesh.” See Petro et al., supra, at 155. Additionally, although the second article, “Postoperative
Mesh Infection -- Still a Concern in Laparoscopic Era,” states that “the use of synthetic mesh can
be complicated by infection,” it lists a number of factors influencing mesh infection, including
smoking, prior infection at the surgical site, and failure to maintain the surgical site’s sterility.
Narkhede et. al., supra, at 324-26. The third article, “Novel in Vitro Model for Assessing
Susceptibility of Synthetic Hernia Repair Meshes to Staphylococcus aureus Infection Using Green
Fluorescent Protein-labeled Bacteria and Modern Imaging Techniques,” studies “Parietex
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Composite” and concludes that “[a] multifilament woven mesh (PE) had the highest degree of
biofilm formation”; it does not suggest a causal link between a potential defect in the Defendants’
mesh and Nowell’s injuries. Ihab F. Halaweish et. al., supra, at 449. None of the articles
demonstrate or even suggest that the Defendants’ Parietex Composite Mesh caused Nowell’s
injury, or provide any factual support for Nowell’s assertion that these articles prove that
defendants’ mesh “causes harmful bacterial infections.” Amended Complaint ¶ 39, at 10.
Paragraph 40 includes two unsupported conclusions: that the mesh’s “physical structure”
“caused trauma to Plaintiff’s abdomen as it repeatedly came in contact with it,” and that “the
composition of the mesh itself caused and exacerbated infection since the materials used to
construct the mesh were not chemically compatible to the Defendant’s tissue.”
Amended
Complaint ¶ 40, at 11. Notably, Nowell describes neither the chemical composition that led to the
incompatibility nor the mechanism through which the mesh’s “physical structure” caused trauma.
Amended Complaint ¶ 40, at 11.
Paragraph 46 concludes that the Defendants’ mesh is
“biologically incompatible with human tissue” which seems to suggest that all patients thus treated
necessarily suffer infection, “including the plaintiff.” Amended Complaint ¶ 46, at 12. Paragraph
47 first defines the words “degradation” and “fragmentation,” and then concludes that “[t]he
Product was unreasonably susceptible to degradation and fragmentation inside the body.”
Amended Complaint ¶ 47, at 12. Paragraph 49 concludes that “the Product . . . did cause, serious
medical problems, and in . . . the Plaintiff . . . catastrophic injuries.” Amended Complaint ¶ 49, at
12. Paragraph 50 merely asserts that “the Product . . . caused severe and irreversible injuries,
conditions, and damage to . . . the female Plaintiff named in the Complaint.” Amended Complaint
¶ 50, at 12-13. Paragraph 51 states: “Such defects caused the Plaintiff to undergo additional
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surgeries which otherwise would not have been necessary.” Amended Complaint ¶ 51, at 13. The
Court notes that the word “cause,” when included in an allegation, does not provide per se a means
of connecting conduct with a resulting effect, such as an injury. It is a conclusion rather than a
factual allegation. Hence, these paragraphs do not suggest that the Defendants’ mesh caused
Nowell’s injuries.
The Court construes only three allegations in the Amended Complaint as representing facts
germane to Nowell’s negligence claim: (i) that Nowell had a hernia repair surgery using the
Defendants’ mesh on October 27, 2010; (ii) that six months later, in April, 2011, she had a second
surgery to reinforce the mesh; (iii) that, on March 1, 2014, she underwent a CT scan that revealed
“cysts in the area associated with the mesh”; and (iv) that, on October 20, 2014, she had a third
surgery because of an abdominal wall infection, during which her physician removed the mesh
from her first surgery. See Amended Complaint ¶ 38, at 8. Taken together, these facts -- even
read liberally -- fall short of adequately alleging that the Defendant’s mesh was a proximate cause
of Nowell’s later injuries. See Herrera v. Quality Pontiac, 2003-NMSC-018, ¶ 6, 73 P.3d at 186.
Indeed, the Defendants observe an alternate, equally plausible explanation for Nowell’s medical
problems in 2014: Nowell developed a staph infection “which began at the skin, at the drainage
site, [and] migrated down to her body[,] to include the mesh.” Tr. at 35:14-36:1 (Reyes). This
theory is as consistent with the Amended Complaint’s factual allegations as Nowell’s theory, and
nothing in the Amended Complaint endeavors to explain why the Defendants’ mesh is a likely, let
alone proximate, cause of Nowell’s injury. Nowell offers only the “[t]hreadbare recital[] of the
elements of a cause of action, supported by mere conclusory statements,” that the Supreme Court
said is insufficient to survive a motion to dismiss. Ashcroft v. Iqbal, 556 U.S. at 678.
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B.
NOWELL’S STRICT-LIABILITY CLAIMS DO NOT PLEAD A DEFECT
WHICH SUGGESTS THAT THE DEFENDANTS’ MESH CAUSED HER
INJURY.
In addition to arguments about deficient causation, the Defendants assert that Nowell has
not alleged a specific defect sufficient to support her strict liability claims for design defect,
manufacturing defect, and warning defect. See MTD at 12. Moreover, the Defendants add, Nowell
has not alleged that a feasible design existed which lacked the design defect and would have
prevented Nowell’s injuries. See MTD at 12. Nowell insists that the Amended Complaint
describes defects that created “an unreasonable risk of injury” and resulted in actual injury. MTD
Response at 6 (quoting Smith ex rel. Smith v. Bryco Arms, 2001-NMCA-090, ¶ 13, 33 P.3d at
644). The Defendants maintain that Nowell has neither pled a specific defect in the Defendants’
mesh design nor a feasible design alternative that lacked the defect, and that would have prevented
her injuries. See MTD Reply at 8.
The Court agrees that Nowell’s strict-liability claims do not identify a defect in the
Defendants’ mesh. To survive a motion to dismiss on a cause of action brought under a strictproducts-liability theory, Nowell must allege facts that could satisfy five elements: (i) the product
was defective; (ii) the product was defective when it left the Defendants’ hands and was
substantially unchanged when it reached her; (iii) the product, because of the defect, was
unreasonably dangerous to her; (iv) she suffered injury; and (v) the product’s defective condition
was her injuries proximate cause. See Armeanu v. Bridgestone/Firestone North Am. Tires, L.L.C.,
2006 WL 4060666, at *3. Proximate cause is a required element in a strict liability cause of action.
See Armeanu v. Bridgestone/Firestone North Am. Tires, L.L.C., 2006 WL 4060666, at *7.
Nowell’s strict-liability claims fail for the same reason that her negligence claims fails, namely,
because the Amended Complaint does not suggest facts that could prove causation. See supra at
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119-24. The Court further concludes that Nowell has not alleged a plausible defect in the
Defendants’ mesh.
Nowell asserts that she “placed the Defendants on notice of her general strict liability
claims,” because her Amended Complaint alleges:
(1) the product was defective (See, Amended Complaint ¶¶38, 41, 42, 47, 50, 52),
(2) the product was defective when it left Defendants’ hands (See, ¶60), and it was
substantially unchanged when it reached the consumer (See, ¶60); (3) that because
of the defect the product was unreasonably dangerous to the consumer (See, ¶86);
(4) that the consumer was injured or damaged (See, ¶¶38, 40); and (5) the defective
product was the proximate cause of the injury or damage (See, ¶¶22, 23, 39, 47, 49,
50, 51).
MTD Response at 7. These averments are unpersuasive. Paragraph 38, which the Court analyzed
above, states only that Dr. Pollard “removed an infected and disintegrated (unincorporated)
Parietex mesh from Ms. Nowell’s abdomen.” Amended Complaint ¶ 38, at 8. Nowell provides
no further description of the Defendants’ mesh, and the mesh’s ultimate state of disintegration says
nothing about potential defects that existed at the time of Nowell’s October, 2010, surgery.
Paragraphs 41 and 42 conclude that “[t]he disintegration and misshapening [sic] and infection of
the Parietex Mesh™ occurred because the product was unsafe and defective,” and that the mesh’s
materials “were not strong and resilient enough to prevent this disintegration and misshapening
[sic],” but, again, neither paragraph suggests a defect that could have caused the mesh’s
disintegration. Amended Complaint ¶¶ 41-42, at 11. Paragraph 47, which the Court analyzed
above, concludes that Nowell suffered injuries because “[t]he Product was unreasonably
susceptible to degradation and fragmentation inside the body” based solely on how the FDA
defines these terms; it does not describe a defect that could lead to unforeseen degradation and
fragmentation. Amended Complaint ¶ 47, at 12. Paragraph 50 includes a litany of conclusory
allegations regarding the mesh’s failure rates and tendency to cause injury, but, again, does not
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present a defect that could lead to the mesh’s failure and resultant injury. See Amended Complaint
¶ 50, at 12-13. Paragraph 52 purports to detail “[t]he specific nature of the product’s defects,” but
then vaguely asserts only that the mesh’s design facilitates bacteria growth on the mesh itself,
thereby causing “immune reactions and subsequent tissue breakdown”; it does not describe design
aspects that could encourage bacterial growth. Amended Complaint ¶ 52, at 13. Paragraph 52
asserts also that “[b]iomechanical issues . . . including, but not limited to, the propensity of the
product to disintegrate inside the body,” and to cause inflammation, pain, and injury “when the
mesh is implaning [sic] according to the manufacturer’s instructions,” but provides no further
insight into these alleged issues. Amended Complaint ¶ 52, at 13. Finally, Nowell’s conclusory
allegation that the Defendants’ mesh “deviated materially from the Defendants’ design and
manufacturing specifications,” Amended Complaint ¶ 125, at 29, is merely a “formulaic recitation
of the elements of [the] cause of action” and lacks the corresponding factual support to suggest
how the mesh departed from its intended design, Ashcroft v. Iqbal, 556 U.S. at 678.
Moreover, Nowell has not alleged that, when she underwent her surgery, an alternative
mesh existed which lacked the design defect and therefore would have prevented her injuries.
Although the Amended Complaint states that “[s]afer and more effective alternatives to hernia
mesh exist,” it merely alleges surgical techniques alternative to the use of hernia mesh altogether,
specifically the “Shouldice Repair, McVay Repair, Bassini Repair, and Desarda Repair,” but not
alternative designs to the Defendants’ mesh. Amended Complaint ¶ 26, at 6. The Court agrees
with the Second Circuit’s conclusion that “[a] design-defect claim will not stand if the only
alternative is an outright ban.” S.F. v. Archer Daniels Midland Co., 594 F. App’x at 12. The
plaintiff in S.F. v. Archer Daniels Midland Co. alleged strict liability and negligence claims against
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a manufacturer stemming from its sale, and the plaintiff’s consumption of, high fructose corn
syrup, but the plaintiff did not allege a safer alternative design for that product, instead suggesting
that “[it] should not be used at all,” which compelled the Second Circuit to affirm the district
court’s dismissal of the plaintiff’s claims pursuant to rule 12(b)(6). S.F. v. Archer Daniels Midland
Co., 594 F. App’x at 12. Like the plaintiff’s insufficient allegations in S.F. v. Archer Daniels
Midland Co., Nowell’s failure to allege a feasible design alternative is a further basis on which the
Court will dismiss her strict liability claims.
Nowell’s failure-to-warn claim requires her to prove that the Defendants provided her with
a defective warning, or no warning at all, and that this warning, or lack of warning, caused her
injury. See Richards v. Upjohn Co., 1980-NMCA-062, ¶ 10, 625 P.2d 1192, 1195. First, the
Amended Complaint does not allege facts that, if true, demonstrate that the Defendants did not
adequately warn of the mesh’s dangers. An adequate warning must disclose the nature and extent
of the danger, yet for the Court to evaluate a warning’s sufficiency, Nowell must direct the Court
to specific statements. Instead, Nowell alleges, for example, that the
Defendants did not provide sufficient or adequate warnings regarding . . . [t]he
Product’s propensities to disintegrate . . . degrad[e], fragment[], . . . and/or
creep . . . the Product’s inelasticity . . . the rate and manner of mesh erosion . . . the
risk of chronic inflammation . . . chronic infections . . . scarring . . . recurrent,
intractable pain . . . [t]he need for corrective or revision surgery . . . [t]he hazards
associated with the Product [and] . . . [the Products defects described herein.
Amended Complaint ¶ 129, at 30-31. These concerns are too generalized to assist the Court in
evaluating the sufficiency of the Defendants’ warnings, nor do they plausibly assert that the
Defendants were aware of the specific defect and thus could have warned Nowell in such a way
that could have prevented her injuries. Indeed, many of the risks that Nowell mentions are
precisely the risks that the FDA considers attendant to all hernia repairs surgeries. See supra n.1.
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Moreover, Nowell does not allege that any of the above warnings would have prevented Dr.
Pollard from using the Defendants’ mesh to repair Nowell’s hernia. Although Nowell asserts that
the “Defendants did not adequately warn the Plaintiff,” Amended Complaint ¶ 129, at 30, and that
her injuries “would not have occurred if adequate warning and instruction had been provided,”
Amended Complaint ¶ 138, at 33, the Amended Complaint does not allege that Dr. Pollard was
not aware of the risk associated with the Defendants mesh -- risks seemingly attendant to all hernia
repair series -- or that Dr. Pollard would have not used the Defendants’ mesh had the Defendants
provided him with Nowell’s proposed warnings.
Furthermore, pursuant to the learned-
intermediary doctrine, the Defendants’ duty to warn extended only to Nowell’s treating
physicians.25 See Wright v. Abbott Labs., Inc., 259 F.3d at 1233 (“The learned intermediary
The Court’s conclusion is not inconsistent with its opinion in Rimbert v. Eli Lilly & Co.,
wherein the Court declined to apply the learned-intermediary doctrine to a failure-to-warn claim
involving prescription medication. See Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1226.
Although the Court remains unconvinced that the Supreme Court of New Mexico would adopt the
doctrine whole cloth, the Court predicts that the Supreme Court of New Mexico would adopt the
doctrine as applied to surgically implanted medical devices. To begin, when the Court issued its
decision in Rimbert v. Eli Lilly & Co., the Court of Appeals of New Mexico had not examined the
status of the learned-intermediary doctrine since its opinion in Serna v. Roche Laboratories. See
Serna v. Roche Labs., 1984-NMCA-078, ¶ 9, 684 P.2d at 1188. Thus, in Rimbert v. Eli Lilly &
Co., the defendant’s assertion that the learned-intermediary doctrine is an affirmative defense to
Rimbert’s claim compelled the Court to examine a New Mexico state law issue that no New
Mexico court had addressed in almost twenty-five years. See Rimbert v. Eli Lilly & Co., 577 F.
Supp. 2d at 1175. The Court concluded that Erie Railroad Co. v. Tompkins required it to ascertain
and apply New Mexico law:
25
[T]he court must follow the most recent decision of the state’s highest court. . . .
Where no controlling state decision exists, the federal court must attempt to predict
what the state’s highest court would do [if confronted with the issue]. . . . In doing
so, [the court] may seek guidance from decisions rendered by lower courts in the
relevant state, . . . appellate decisions in other states, . . . and the general weight
and trend of authority in the relevant area of law. . . . Ultimately, however,
the Court’s task is to predict what the state supreme court would do.
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Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1188-89 (emphasis in original)(citations omitted in
original)(citing Erie R.R. Co. v. Tompkins, 304 U.S. 64, 78 (1938); Stoner v. N. Y. Life Ins. Co.,
311 U.S. 464, 467 (1940)). The Court, therefore, determined that its primary task was to “predict
what the state supreme court would do” if presented with the issue in 2008. Rimbert v. Eli Lilly
& Co., 577 F. Supp. 2d at 1190 (citing Wade v. Emcasco Ins. Co., 483 F.3d 657, 665-66 (10th Cir.
2007)). In an effort to predict what the Supreme Court of New Mexico would do if confronted
with the question whether New Mexico would adopt the learned-intermediary doctrine, the Court
examined the doctrine’s history within the state. Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at
1214. The Court recognized that the Court of Appeals of New Mexico evoked the learnedintermediary doctrine in the 1970s and 1980s, but concluded “convincing evidence” suggested that
if presented with the issue in 2008, the Supreme Court of New Mexico would decline to follow
the New Mexico Court of Appeals’ older precedent. Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d
at 1214.
The Court based its prediction, in part, on its conclusion that the learned-intermediary
doctrine was “fundamentally inconsistent with [the] strict-liability jurisprudence” that the Supreme
Court of New Mexico more recently expressed in Brooks v. Beech Aircraft Corp., 1995-NMSC043, 902 P.2d 54. Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1215 (citing Brooks v. Beech
Aircraft Corp., 1995-NMSC-043, ¶ 18, 902 P.2d at 58). In Brooks v. Beech Aircraft Corp., the
Supreme Court of New Mexico explains the rationale behind its decision to adopt a strict-productsliability approach:
“[A]lthough [a] manufacturer has provided a valuable service by supplying the
public with a product that it wants or needs, it is more fair that the cost of an
unreasonable risk of harm lie with the product . . . manufacturer than it is to visit
the entire loss upon the often unsuspecting consumer who has relied upon the
expertise of the manufacturer when selecting the injury-producing product.”
Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1216 (quoting Brooks v. Beech Aircraft Corp.,
1995-NMSC-043, ¶ 18, 902 P.2d at 58). The Court interpreted Brooks v. Beech Aircraft Corp. as
indicating the Supreme Court of New Mexico’s desire to ensure that suppliers bear the risk of loss
for injuries that result from defective products, as well as a desire to ensure that “plaintiffs injured
by . . . unreasonably dangerous product[s] are compensated for their injuries.” Rimbert v. Eli Lilly
& Co., 577 F. Supp. 2d at 1215. Hence, the Court predicted that the Supreme Court of New Mexico
would likely apply the Brooks v. Beech Aircraft Corp.-products-liability rationale to the
prescription drug context, because allowing “drug manufacturers to shift the burden of [a]
defective product to physicians would undermine the Supreme Court of New Mexico’s conclusion
that the burden should be on the manufacturer,” upon whose expertise the consumer and physician
rely. Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1215. As the Defendants note, however, the
Court of Appeals of New Mexico has since applied the learned-intermediary doctrine to a failureto-warn claim involving prescription drugs, see Silva v. Smithkline Beecham Corp., 2013 WL
4516160, at *3-4, and, because the Supreme Court of New Mexico has not decided the issue, the
Court concludes that this intermediate court’s decision is helpful in predicting how the Supreme
Court of New Mexico would rule regarding New Mexico’s strict-products-liability jurisprudence,
see Am. Fire & Cas. Co. v. BCORP Canterbury at Riverwalk, LLC, 282 F. App’x at 648.
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In Rimbert v. Eli Lilly & Co., the Court drew further support for its prediction from the
Supreme Court of Appeals of West Virginia’s decision in State ex rel. Johnson & Johnson Corp.
v. Karl, 647 S.E.2d 899 (W. Va. 2007), superseded by statute, W. Va. Code. §55-7-30 (2016), in
which the Supreme Court of Appeals of West Virginia determined that concerns about effectively
warning end-users, about interference with the physician-patient relationship, and about a
physician’s professional judgment are “‘largely outdated and unpersuasive.’” Rimbert v. Eli Lilly
& Co., 577 F. Supp. 2d at 1217 (quoting State ex rel. Johnson & Johnson Corp. v. Karl, 647 S.E.2d
at 906). The Court first concluded that the potential difficulty in providing warnings to the ultimate
consumer was not a concern sufficient to compel the Supreme Court of New Mexico to adopt the
learned-intermediary doctrine. See Rimbert v. Eli Lilly & Co., 577 F. Supp. 2d at 1218-19. As
the basis for this rejection, the Court pointed to direct-to-consumer advertising, which allows the
manufacturer to communicate with the ultimate user. See 577 F. Supp. 2d at 1215-18. The Court
concluded that direct-to-consumer advertising allows for manufacturers to communicate with
consumers for the purpose of increasing “their market share by making their product well known
to both patients and physicians,” and that such communication “generates a corresponding duty”
that requires manufacturers to directly warn the ultimate users of potential defects or dangers
associated with their products. 577 F. Supp. 2d at 1219 (citations omitted).
Moreover, the Court found that a patient’s reliance on a physician’s judgment in selecting
an appropriate prescription medication had no bearing on whether the manufacturer should provide
the patient with an adequate warning from the drug manufacturer. See 577 F. Supp. 2d at 1219.
The Court reasoned that, because a drug does not react exactly the same way in all individuals,
physicians must rely on their patients to inform them as to how they are reacting to the prescribed
medication. See 577 F. Supp. 2d at 1219. Hence, the Court concluded that having manufacturers
provide warnings directly to the consumer would result in an “informed consumer . . . likely to ask
the physician more questions, and informed responses [which] may increase reliance rather than
decrease reliance” on physicians. 577 F. Supp. 2d at 1219.
The Court then addressed the assumption that, because physicians exercise their
professional judgment in the selection of the patients’ medications, they automatically assume the
role of a “learned intermediary,” thus meriting the doctrine’s application. 577 F. Supp. 2d at 1219.
The Court concluded that a “better informed [patient would] likely . . . help, not hinder, the doctors’
exercise of their professional judgment,” because a better-informed patient would force a physician
to better articulate and justify their prescribing choices. 577 F. Supp. 2d at 1219. The Court further
noted that, because managed care has reduced the amount of time that physicians are able to spend
with each patient, physicians have less time to inform patients of a given prescription drug’s risks
and benefits. See 577 F. Supp. 2d at 1220.
These justifications for rejecting the learned-intermediary doctrine are not as persuasive in
the medical device context. The Defendants in this case did not advertise their hernia mesh directly
to consumers. Without direct-to-consumer advertising, the learned-intermediary doctrine’s
premises rematerialize. For example, lacking an advertising forum, the Defendants here, unlike
the defendants in Rimbert v. Eli Lilly & Co. and State ex rel. Johnson & Johnson Corp. v. Karl,
cannot easily communicate with end-consumers. See State ex rel. Johnson & Johnson Corp. v.
Karl, 647 S.E.2d at 910 (explaining that drug manufacturers’ advertising campaigns provide
“effective means to communicate directly with patients”). Additionally, if patients can no longer
rely on advertisements to make medical decisions, they must again depend on their treating
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physicians as a “learned intermediary” to help them determine the appropriate treatment. Such
patients cannot, as might be the case for advertised products, “demand a particular [device] that
they saw on television or in a magazine.” State ex rel. Johnson & Johnson Corp. v. Karl, 647
S.E.2d at 910. Finally, while direct-to-consumer advertising might put the onus on patients to
select a treatment product, physicians necessarily become involved in this decision when they
alone have access to advertising materials.
Because, therefore, Rimbert v. Eli Lilly & Co. implicates only drug manufacturers, medical
device manufacturers may use the learned-intermediary doctrine in failure-to-warn cases.
Numerous courts have allowed medical device manufacturers to use the learned-intermediary
doctrine to defend against failure-to-warn claims. See, e.g., Hurley v. Heart Physicians, P.C., 898
A.2d 777, 784 n.10 (Conn. 2006)(listing jurisdictions that apply the learned-intermediary doctrine
to prescription medical devices); James M. Beck, Anthony Vale, Drug and Medical Device
Product Liability Deskbook § 2.03 n.51 (noting that courts within every federal circuit apply the
learned-intermediary rule to medical devices). Indeed, one federal court has stated that “it makes
even more sense to apply the doctrine in the context of medical devices.” Beale v. Biomet, Inc.,
492 F. Supp. 2d 1360, 1368 (S.D. Fla. 2007)(Gold, J.). In Beale v. Biomet, Inc., the Honorable
Alan Gold, United States District Judge for the Southern District of Florida, reasons that a patient
cannot access a medical device without the assistance of a learned intermediary: “While some
individuals could conceivably gain access to prescription drugs without their doctor’s assistance,
it is not reasonably conceivable that an individual could obtain and implant a device that requires
a trained surgeon without the intervention of a physician.” Beale v. Biomet, Inc., 492 F. Supp. 2d
at 1368. Furthermore, Judge Gold opines that the physician plays a larger role in discussing the
risks and benefits of implant surgery than he or she might have in discussing a routinely prescribed
drug. See Beale v. Biomet, Inc., 492 F. Supp. 2d at 1368. Thus, the physician’s opportunity to
warn the patient is much greater than that of the device manufacturer. The Court has not found
any case that does not apply the learned-intermediary doctrine to medical devices, and the Court
does not think that the Supreme Court of New Mexico would be the sole entity to refuse to apply
the learned-intermediary doctrine to such products.
The Defendants’ mesh is analogous to the medical device that Judge Gold considered in
Beale v. Biomet, Inc., see 492 F. Supp. 2d at 1368, because patients cannot obtain Defendants’
mesh except through an invasive medical procedure that a surgeon performs, see MTD at 16-17.
Additionally, because the patient is under anesthesia during hernia repair surgery, the patient and
her physician must thoroughly discuss the potential risks and benefits before the implantation.
These factors are not present when a physician prescribes a routine drug. Hence, not only is the
rationale for adopting the learned-intermediary doctrine more persuasive absent end-consumer
advertising, but it becomes compelling when the product is a medical device rather than a drug.
This case lies at the intersection of that reasoning. The Defendants market their medical device
directly to physicians rather than to patients and are therefore not subject to the Court’s analysis
in Rimbert v. Eli Lilly & Co. As a result, the learned-intermediary doctrine applies to Nowell’s
failure-to-warn claims. Accordingly, the Defendants had a duty to warn only Nowell’s treating
physicians of the hernia mesh’s risks. Argument that the Defendants owed or breached a duty to
warn Nowell directly is therefore irrelevant.
In reaching its conclusion that the learned-intermediary doctrine would apply to surgicallyimplanted medical devices in New Mexico, wide-spread national recognition of the doctrine’s
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value encourages the Court. See Headcount: Who’s Adopted the Learned Intermediary Rule?,
Drug and Device Law, https://www.druganddevicelawblog.com/2007/07/headcount-whosadopted-learned.html (last visited March 17, 2019)(collecting cases and statutes, and noting that
“all 50 states and two other jurisdictions . . . have precedent supportive of the learned intermediary
rule”). Notably, the West Virginia Legislature overruled State ex rel. Johnson & Johnson Corp. v.
Karl in 2016. See W. Va. Code. §55-7-30 (2016). Even before the West Virginia Legislature
acted, however, federal courts in West Virginia limited State ex rel. Johnson & Johnson Corp. v.
Karl to prescription drugs subject to direct-to-consumer advertising, with the learned-intermediary
rule still applying in medical device cases where no such advertising took place. See O’Bryan v.
Synthes, Inc., 2015 WL 1220973, at *6-7 (S.D.W. Va. March 17, 2015)(Berger, J.); Wise v. C.R.
Bard, Inc., 2015 WL 502010, at *4 (S.D.W. Va. Feb. 5, 2015)(Goodwin, J.); Tyree v. Boston
Scientific Corp., 56 F. Supp. 3d 826, 832-33 (S.D.W. Va. 2014)(Goodwin, J.). Moreover, the
Court acknowledges that Rimbert v. Eli Lilly & Co.’s tepid reception among scholars and jurists
is further cause to consider whether the learned-intermediary doctrine should apply to implanted
medical devices. See Schilf v. Eli Lilly & Co., No. CIV 07-4015, 2010 WL 4024922, at *2 (D.S.D.
Oct. 13, 2010)(Piersol, J.), rev’d and remanded on other grounds, 687 F.3d 947 (8th Cir.
2012)(declining to follow Rimbert v. Eli Lilly & Co. and concluding that the learned-intermediary
doctrine is not “fundamentally inconsistent” with strict liability jurisprudence); Loren Foy, The
Learned Intermediary Doctrine in New Mexico: An Uncertain Future, 40 N.M. L. Rev. 299, 301
(2010)(analyzing Rimbert v. Eli Lilly & Co. and advocating for a case-by-case approach in
determining whether a manufacturer should benefit from the learned-intermediary doctrine);
Timothy S. Hall, Regulating Direct-to-Consumer Advertising with Tort Law: Is the Law Finally
Catching Up with the Market?, 31 W. New Eng. L. Rev. 333, 352 (2009)(“It is a weakness of the
district court’s reasoning that none of the cases on which it relies for its view of New Mexico’s
strict liability jurisprudence are pharmaceutical liability cases.”). In recent multidistrict litigation
involving Trasylol, a prescription drug used to control operative bleeding, for example, the
Honorable Donald Middlebrooks, United States District Judge for the Southern District of Florida,
declined to follow Rimbert v. Eli Lilly & Co. and instead concluded that the Court of Appeals of
New Mexico decisions controlled, because “the Supreme Court of New Mexico has not decided
whether New Mexico law recognizes the doctrine.” In re Trasylol Prod. Liab. Litig. - MDL-1928,
No. 08-MD-01928, 2011 WL 2586218, at *4 (S.D. Fla. June 23, 2011)(Middlebrooks, J.). Judge
Middlebrooks noted, however, that there was no indication that the defendant “engaged in direct
marketing of Trasylol to patients, or that such patients would have any involvement in a decision
on whether a drug like Trasylol would be used in a complex [coronary artery bypass graft] surgical
procedure,” 2011 WL 2586218, at *4, and, indeed, the Court’s criticism of the learnedintermediary rule’s applicability when manufacturers engage in direct-to-consumer marketing is
where Rimbert v. Eli Lilly & Co. remains most relevant. Professor David Owen, Carolina
Distinguished Professor of Law at the University of South Carolina, for example, cited to Rimbert
v. Eli Lilly & Co.’s direct-to-consumer-marketing analysis as grounds to question “the logic of
applying a rigid, paternalistic doctrine that developed under very different circumstances than exist
today.” David G. Owen, Dangers in Prescription Drugs: Filling A Private Law Gap in the
Healthcare Debate, 42 Conn. L. Rev. 733, 767 (2010). Professor Timothy Hall, Professor of Law
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doctrine states that once a manufacturer warns a doctor about a drug’s inherent dangers, it has
fulfilled its legal duty to provide a warning.”). Again, Nowell has not alleged that the Defendants
sold their mesh absent any warning, and the Court will not presume this fact on Nowell’s behalf.
Because her allegations do not specify a plausible, causal danger about which the Defendants did
not warn, one which would have compelled her physician to make a different treatment decision,
Nowell’s failure-to-warn claim cannot survive a motion to dismiss.26
and Associate Dean for Academic Affairs at the University of Louisville Louis D. Brandeis School
of Law, cited Rimbert v. Eli Lilly & Co. as support for his position that state courts should
carefully consider whether the extent of direct-to-consumer advertising justifies
amendment, if not abrogation, of the [learned-intermediary] rule in the context of
claims in which plaintiffs claim reliance on overreaching advertisement and
overpromotion. Federal courts applying state law should be reticent to assume that
state courts would not take notice of the dramatically changed marketplace for
information about prescription drugs in considering the contours of the learned
intermediary rule.
Hall, supra, at 352. See also Mallory C. Bullard, Put Your Money Where Your Medicine Is?-an
Overview and Update on Manufacturers’ Duty to Warn and Direct-to-Consumer Advertising of
Prescription Drugs, 41 Am. J. Trial Advoc. 563, 584 (2018)(citing Rimbert v. Eli Lilly & Co. as
support for the assertion that, “when direct-to-consumer advertising is within the mix, the
justifications for the [learned-intermediary] doctrine are negated by the pharmaceutical
manufacturers’ voluntary communication with consumer-patients. As such, a further duty should
be imposed upon manufacturers who choose to do so”); Ashley Porter, Old Habits Die Hard:
Reforming the Learned Intermediary Doctrine in the Era of Direct-to-Consumer Advertising, 43
McGeorge L. Rev. 433, 436 (2012)(citing Rimbert v. Eli Lilly & Co. as support for the assertion
that “the learned intermediary doctrine should not apply when pharmaceutical manufacturers
advertise directly to consumers”). Such criticism and commentary buttress the Court’s willingness
to accept the learned-intermediary doctrine where, as here, direct-to-consumer marketing is not
factor.
26
When the Court was in private practice, and doing plaintiff cases, it would, in more
complex cases like this one, hire an expert witness before filing a complaint. For example, before
filing a medical malpractice case against a hospital, the Court would hire its expert medical doctor,
to help it put its complaint and case together. Also, even when the Court was on the defense, one
of the first things it would do when retained was hire an expert, such as an accountant, to help
testify to substance and on damages. Sometimes the Court was trying to beat the plaintiff to a
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Nowell’s lean assertions do not sufficiently allege defective design, manufacture, or
warning, and she does not support them with facts sufficient to “nudge[] [the] claims across the
line from conceivable to plausible.” Bell Atlantic Corp. v. Twombly, 550 U.S. at 570. Hence, the
Court may not draw a “reasonable inference that the defendant is liable for the misconduct
alleged,” and will neither presume a defect based on the fact that Nowell suffered injury nor
conclude that every hernia mesh on the market is defective. Accordingly, the Court will dismiss
Nowell’s strict liability claims.
C.
NOWELL’S IMPLIED-WARRANTY CLAIM DOES NOT PLEAD FACTS
TO SUGGEST THAT THE DEFENDANTS’ MESH WAS EITHER UNFIT
FOR ITS PURPOSE OR FOR MARKET.
The Defendants contend that the Amended Complaint neither alleges a claim for breach of
implied warranty of fitness for a particular purpose nor facts pertaining to each element of
Nowell’s implied-warranty-of-merchantability claim, which are the only claims for breaches of
implied warranties that New Mexico’s UCC permits. See MTD at 20 (citing N.M. Stat. Ann.
§§ 55-2-314 through -315). Nowell concedes that she has not obtained information regarding the
“specific warranty language,” but insists that this information is within the Defendants’ “exclusive
control” and therefore requests the Court’s permission to amend further the Amended Complaint
particularly good witness, especially a local one, but it was more often or also to educate the Court
how to try the case.
There is nothing in the Federal Rules of Civil Procedure that requires a plaintiff, or his or
her attorney, to hire an attorney to help the plaintiff and court to prepare the case and draft the
complaint. A federal court also should not create a judge-made requirement that a plaintiff has to
have an expert before filing a federal case. On the other hand, the reality is that, in a productsliability case and in other cases, the plaintiff may have to hire an attorney to help counsel to
research and allege the defect, to research and allege safe alternatives, to research and allege
causation, and to exclude other possible causes. Ashcroft v. Iqbal and Bell Atlantic Corp. v.
Twombly are screening devices, and plaintiffs’ counsel are going to have to up their game to avoid
these new hurdles to bringing federal cases.
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“once this information becomes available through the discovery process.” MTD Response at 910. The Defendants insist that this statement evidences that Nowell concedes her warranty claims,
and assert that Nowell cannot rely on “vague allegations and the hope that discovery eventually
will reveal some basis” to amend them later. MTD Reply at 10-11. At the hearing, Nowell
clarified that her remaining warranty claim is for “merchantability, . . . due to the fact that . . . the
particular type of mesh that was used was causing injuries, . . . and that an implied warranty would
extend from the discovery of that injury.” Tr. at 17:18-25 (Montclare).
The Court agrees that Nowell has not pled an implied-warranty claim for either fitness or
merchantability. Under the UCC, a seller can make two implied warranties: (i) the implied
warranty of fitness for a particular purpose; and (ii) the implied warranty of merchantability. The
sale of goods brings the implied-warranty provisions into operation. See Ortiz v. Gas Co., 1981NMCA-128, ¶ 13, 636 P.2d at 903. Section 55-2-106(1) defines a “sale” as “the passing of title
from the seller to the buyer for a price.” N.M. Stat. Ann. § 55-2-106(1). The Court of Appeals of
New Mexico has stated that, under the implied warranty of fitness for a particular purpose, a
plaintiff must prove: (i) that, at the time of contracting, the seller had reason to know the buyer’s
particular purpose for which the item was being ordered; (ii) that the buyer relied on the seller’s
skill or judgment; and (iii) that the item was not fit for that purpose. See Lieb v. Milne, 1980NMCA-125, ¶ 11, 625 P.2d at 1237.
At the outset, although the Amended Complaint does not specify under which of New
Mexico’s two implied warranty theories Nowell brings her claims, the Amended Complaint alleges
that the Defendants’ mesh was not “fit for the ordinary purposes for which” it was sold, Amended
Complaint ¶ 152, at 35, which is a phrase included in the statutory definition of “merchantable,”
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N.M. Stat. Ann. § 55-2-314(2)(c) (“Goods to be merchantable must be at least such as . . . are fit
for the ordinary purposes for which such goods are used.”). The Court therefore analyzes Nowell’s
remaining warranty claim through the implied warranty of merchantability standard. To establish
a claim for breach of the implied warranty of merchantability, a plaintiff must prove that the seller
sold goods or products that fail to meet the statutory definition of “merchantable.” N.M. Stat. Ann.
§ 55-2-314; Civ. UJI 13-1430. Section 55-2-314 defines “merchantable”:
(2) Goods to be merchantable must be at least such as:
(a) pass without objection in the trade under the contract description;
and
(b) in the case of fungible goods, are of fair average quality within
the description; and
(c) are fit for the ordinary purposes for which such goods are used;
and
(d) run, within the variations permitted by the agreement, of even
kind, quality and quantity within each unit and among all units
involved; and
(e) are adequately contained, packaged and labeled as the agreement
may require; and
(f) conform to the promises or affirmations of fact made on the
container or label if any.
N.M. Stat. Ann. § 55-2-314. “[A] supplier breaches this warranty if the product is defective and
is not fit for the ordinary purposes for which such product is used.” See Pac. Indem. Co. v. ThermO-Disc, Inc., 476 F. Supp. 2d at 1225 (“A manufacturer must use ordinary care in the designing,
making, inspecting, and packaging of the product. N.M.R.A. 2006, UJI 13-1410. Ordinary care
is that care which a reasonably prudent supplier would use in the conduct of its business.” (citing
Civ. UJI 13-1404)). A breach of the implied warranty of merchantability claim “thus requires
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proof of a defect.” Pacific Indem Co. v. Therm-O-Disc, Inc., 476 F. Supp. 2d at 1225 (citing
Perfetti v. McGhan Med., 1983-NMCA-032, ¶ 44, 662 P.2d at 654). Moreover, a breach-of-theimplied-warranty-of-merchantability claim also requires proof of proximate cause. See N.M. Stat.
Ann. § 55-2-314 cmt. 13. Comment 13 to § 55-2-314 states: “In an action based on breach of
warranty, it is of course necessary to show not only the existence of the warranty but the fact that
the warranty was broken and that the breach of the warranty was the proximate cause of the loss
sustained.” N.M. Stat. Ann. § 55-2-314 cmt. 13.
The Court will dismiss Nowell’s claim for breach of the implied warranty of
merchantability for the same reasons as the Court will dismiss her strict-liability and negligence
claims -- it does not sufficiently allege a defect that rendered the Defendants’ mesh “unreasonably
dangerous” and caused her injuries. Perfetti v. McGhan Med., 1983-NMCA-032, ¶ 45, 662 P.2d
at 654 (“In this case the identical defect is relied on for both products liability and breach of the
implied warranty of merchantability.”). The closest Nowell comes to alleging a defect to support
her implied warranty claim is in paragraph 155 of the Amended Complaint, wherein Nowell asserts
that Defendants’ mesh “was not suited for its intended purpose because it disintegrated and
misshappened [sic] inside the Plaintiff’s body, causing injuries.” Amended Complaint ¶ 155, at
36. Again, that the mesh was in a disintegrated state when Dr. Pollard removed it from Nowell’s
abdomen does not suggest that the mesh was defective when Dr. Pollard implanted it some four
years before.27 Hence, these conclusory allegations amount to “naked assertions devoid” of the
27
In the end, the Amended Complaint does no more than say that Nowell had a mesh
implant, and, years later, had an infection. It is clear that Nowell believes that theDefendants’
mesh caused the infection, but she fails to include enough facts to move her belief across the line
to plausibility. There are many sources of infection, so the Amended Complaint needs a more
robust allegation of the facts. Here, Nowell has not moved the needle across the line. More is
required about the defect, alternative, and causation than Nowell provides.
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“factual enhancement” necessary to bridge the gap between possible and plausible. Ashcroft v.
Iqbal, 556 U.S. at 678 (quoting Bell Atlantic Corp. v. Twombly, 550 U.S. at 557).28
Additionally, the Court will deny Nowell’s request to amend further the Amended
Complaint once more information “becomes available through the discovery process.” MTD
Response at 10. Nowell has filed already two amendments to her original Complaint, and the
Court doubts highly whether Nowell can remedy her deficient factual allegations with a fourth bite
at the apple. See Frank v. U.S.W., Inc., 3 F.3d at 1365 (concluding that a court may deny leave to
amend “upon a showing of . . . failure to cure deficiencies by amendments previously allowed”).
Furthermore, given the Court’s conclusion that the relevant statutes of limitations bar each of
Nowell’s claims, see supra at 115-123, any further opportunity to amend the Amended Complaint
“would be futile,” Jefferson Cnty. Sch. Dist. v. Moody’s Investor’s Serv., 175 F.3d 848, 859 (10th
Cir. 1999)(concluding that court should deny leave to amend under rule 15(a) when “amendment
would be futile”).
III.
THE COURT WILL DISMISS NOWELL’S PUNITIVE DAMAGES CLAIMS.
Punitive damages require conduct that is “maliciously intentional, fraudulent, oppressive,
or committed recklessly or with a wanton disregard to the plaintiffs’ rights.”
28
Loucks v.
It is possible that this pleading would survive under New Mexico procedural law. New
Mexico substantive law certainly controls the federal court’s requirement of each claim’s essential
elements. See Pepsi-Cola Bottling Co. v. PepsiCo, Inc., 431 F.3d 1241, 1255 (10th Cir. 2005).
Federal law, however, governs whether Nowell has pled those elements sufficiently. See Racher
v. Westlake Nursing Home Ltd. P’ship, 871 F.3d 1152, 1162 (10th Cir. 2017). Thus, the Ashcroft
v. Iqbal and Bell Atlantic Corp. v. Twombly standards govern, which the State of New Mexico
has not adopted. See Graham v. Troncoso, No. CIV 14-0745 JB/WPL, 2015 WL 1568433, at *26
n.11 (D.N.M. Mar. 30, 2015)(Browning, J.); Archuleta v. Taos Living Ctr., LLC, 791 F. Supp. 2d
1066, 1076 (D.N.M.2011)(Browning, J). Thus, while these pleadings might survive a rule 12(b)(6)
motion in New Mexico state court, the pleading is not robust enough to fit within federal pleading
law.
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Albuquerque Nat’l Bank, 1966-NMSC-176, ¶ 48, 418 P.2d at 199. As with Nowell’s substantive
causes of action, the Amended Complaint merely recites the standard for punitive damages. See
Amended Complaint ¶ 102, at 22 (“Defendant’s conduct as described herein shows willful
misconduct, malice, fraud, wantonness, oppression, or that entire want of care which raises the
presumption of conscious indifference to consequences, thereby justifying an award of punitive
damages.”). Nowell does not plead any facts that the Defendants acted with scienter; although the
Court has concluded otherwise, at most, there are allegations only of negligence and breach of
warranties, not willful misconduct. Without corresponding factual allegations to support a finding
of scienter, the Court will dismiss Nowell’s “unadorned, the-defendant-unlawfully-harmed-me
accusation[s],” because such accusations do not comply with the Bell Atlantic Corp. v. Twombly
and Ashcroft v. Iqbal pleading standard. Ashcroft v. Iqbal, 556 U.S. at 678.
IT IS ORDERED that the requests in the Defendants’ Motion to Dismiss, filed March 23,
2018 (Doc. 27), are granted.
________________________________
UNITED STATES DISTRICT JUDGE
Counsel:
Jason S. Montclare
Law Office of Jason S Montclare, Esq
Alamogordo, New Mexico
Attorney for the Plaintiff
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Alex Cameron Walker
Modrall, Sperling, Roehl, Harris & Sisk, P.A.
Albuquerque, New Mexico
--and-Joseph G. Petrosinelli
Ana C. Reyes
Williams & Connolly LLP
Washington, D.C.
Attorneys for the Defendants
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