Lee v. AK Steel Corp., et al
Filing
216
ORDER granting #144 Motion for Partial Summary Judgment as to Plaintiffs' Willful and Wanton Conduct Claim (Third Cause) - The parties shall have 60 days to file any motions raising issues pursuant to Federal Rules of Evidence 702, 703, or 705, Daubert v. Merrell Dow Pharm., Inc., 509 U.S. 579 (1993), Kumho Tire Co. v. Carmichael, 526 U.S. 137 (1999) or similar case law. Signed by District Judge Louise Wood Flanagan on 7/27/2015. (Tripp, S.)
IN THE UNITED STATES DISTRICT COURT
FOR THE EASTERN DISTRICT OF NORTH CAROLINA
WESTERN DIVISION
No. 5:13-CV-826-FL
LARRY WINSLOWE LEE and SUSAN
PROVOST LEE,
Plaintiffs,
v.
CERTAINTEED CORPORATION;
GENUINE PARTS COMPANY, d/b/a
National Automotive Parts Association
(a/k/a NAPA); J-M MANUFACTURING
COMPANY, INC., sued individually and
as parent and alter ego to J-M A/C Pipe
Corporation; METROPOLITAN LIFE
INSURANCE COMPANY; PNEUMO
ABEX LLC, sued individually and as
successor-in-interest to Abex Corporation
and as successor-in-interest to American
Brakeblok; and YAMAHA MOTOR
CORPORATION, U.S.A.;
Defendants.
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ORDER
This case comes before the court on motion for partial summary judgment filed by
defendant Genuine Parts Company (“Genuine Parts”) as to plaintiffs’ willful and wanton conduct
claim (Third Cause). (DE 144). The issues raised are ripe for consideration. For the reasons
explained, the court grants the motion.
STATEMENT OF THE CASE
Plaintiffs, residents of Wake County, North Carolina, complain of personal injury and
loss of consortium, where plaintiff Larry Winslowe Lee (“Larry Lee”) was diagnosed with
mesothelioma on or about September 13, 2013. Plaintiffs allege that his condition resulted from
exposure to asbestos during his employment as mechanics’ helper, maintenance laborer,
inspector, construction worker, and salesman, in addition to automotive maintenance work
performed on his own personal vehicles and those of his family. Plaintiffs originally brought a
total of eight claims against 23 defendants, of which five claims were asserted against all
defendants with the exception of defendant Metropolitan Life Insurance Company (“MetLife”).
With respect to claims against all defendants excluding Metlife, defendants are alleged to
have: 1) acted negligently in putting asbestos or asbestos-containing products into interstate
commerce (First Cause); 2) breached implied warranties that asbestos materials were of good
and merchantable quality and fit for their intended use (Second Cause); 3) acted willfully and
wantonly in exposing plaintiff Larry Lee to asbestos (Third Cause); 4) committed false
representation and fraud regarding the dangers of asbestos exposure to plaintiff Larry Lee
(Fourth Cause);1 and failed to warn plaintiff Larry Lee of the dangers associated with asbestos
exposure (Fifth Cause). In a separate claim, defendant MetLife is alleged to have engaged in a
conspiracy where, it is asserted, Metlife aided and abetted the negligence and marketing of
asbestos-containing products (Sixth Cause). Defendants Formosa and J-M Manufacturing are
also the subject of a separate claim premised on conspiracy for the manufacture and sale of
1
Plaintiffs’ claim for false representation and fraud was dismissed against defendants Kawasaki Motors Corp., U.S.A.
(“Kawasaki”), J-M Manufacturing Company, Inc. (“JMM”), Formosa Plastics Corporation U.S.A. (“Formosa”), and
Genuine Parts. April 11, 2014 Order (DE 105); January 26, 2015 Order (DE 131); March 10, 2015 Order (DE 141).
2
asbestos-containing products (Seventh Cause). Plaintiff Susan Provost Lee (“Susan Lee”) seeks
also to recover for her loss of consortium (Eighth Cause).
Reference is made to the court’s order entered July 16, 2015, for a more detailed
statement of the case. As set forth, Formosa succeeded on its motion for summary judgment as
to all claims asserted against it. July 16, 2015 Order (DE 210). Defendant JMM prevailed in
part on summary judgment, where the court granted its motion to the extent plaintiffs’ claims
arise from pre-1983 exposures to Johns-Manville asbestos cement pipe. Id.
Procedural developments of note since entry of that order July 16, 2015, include
dismissal of defendant Kawasaki from the case.
July 22, 2014 Order (DE 213).
Where
defendant Pneumo Abex LLC’s motion for summary judgment suffered a host of procedural
infirmities, it was denied. July 20, 2015 Order (DE 211). Accordingly, at this juncture six of the
original 23 defendants remain, and the caption has been revised to so reflect.2
The motion at hand was filed on March 10, 2015, the same day on which the court
entered its order dismissing upon joint motion plaintiffs’ claim that defendant Genuine Parts
committed false representation and fraud regarding the dangers of asbestos exposure to plaintiff
Larry Lee (Fourth Cause). (DE 141). Defendant Genuine Parts relies on various documentary
evidence together with plaintiff Larry Lee’s deposition testimony. Plaintiffs rely in opposition
on plaintiff’s deposition testimony, expert report and affidavit, written discovery responses,
deposition testimony of defendant’s representative, and various studies, publications, and
meeting minutes concerning exposure to asbestos during brake repair or installation work.
2
With respect to other case developments, though not now before the court on motion, there is an undercurrent as to
whether or not application of Florida law may be appropriate. Defendant Genuine Parts filed a “Suggestion of Florida
Law” May 27, 2015, asserting Florida law should apply to plaintiffs’ claim that this defendant breached implied
warranties that asbestos materials were of good and merchantable quality and fit for their intended use (Second Cause).
(DE 195). Defendant CertainTeed Corporation (“CertainTeed”) espouses the same. (DE 190). Plaintiffs directly
responded to defendant CertainTeed’s suggestion. (DE 194).
3
STATEMENT OF THE UNDISPUTED FACTS
A.
Larry Lee’s Alleged Exposures
Plaintiff Larry Lee performed automotive brake work over a number of years in several
different capacities. From 1963 to late 1964 or early 1965, he worked at Standard Oil Station
(“Standard Oil”) in Vero Beach, Florida, where he performed 25 to 30 brake jobs. Larry Lee
Dep. Vol. I, 23:1-10, 24:18-21 (DE 165-1). He then worked at a Pure Oil Company (“Pure Oil”)
station in Vero Beach for approximately one year, performing around 25 brake jobs. Id., 34:1635:17. In 1966 or 1967, plaintiff Larry Lee switched his location of employment to a Texaco
station in Wabasso, Florida, where he worked in a full or part-time capacity until 1971,
performing 50 to 75 brake jobs over this timeframe. Id., 41:23-42:16, 43:3-10, 44:6-10. From
1963 to 1990, he estimated performing “a couple [brake jobs] a year” for himself, family,
friends, and relatives. Id., 89:6-18. He continued performing brake maintenance until recently.
Id., 89:10-12.
To perform a brake job, the vehicle would be raised on a jack, and the wheel would be
removed, along with the hub, also referred to as a brake drum. Id., 25:14-20, 26:6-8. This
would expose the brakes and brake shoes. Id., 25:17-20. Plaintiff Larry Lee testified that the
brakes used for replacements were often oversized and that “we would have to file the brakes a
little bit” to put them on the vehicle. Id., 26:18-27:14, 36:16-37:8, 44:23-45:20, 91:6-15. This
occurred on approximately half of the jobs that plaintiff Larry Lee performed in the course of his
employment, although he did not testify as to how often it occurred during the personal brake
jobs he performed. Id. The filing process, also referred to as sanding, created dust which
plaintiff Larry Lee inhaled.
Id., 28:2-17, 37:9-18, 46:12-47:2, 91:21-92:5. In addition to
breathing dust from sanding, plaintiff Larry Lee testified to inhaling dust released from the brake
4
shoes and lining when he opened brake boxes at Standard Oil. Id. 28:18-29:24. He also testified
to performing clean-up duties while employed at Standard Oil and Pure Oil, including cleaning
of the areas where brake jobs were performed. Id. 33:16-34:12, 41:1-22.
In each of his employment and personal capacities, plaintiff Larry Lee primarily
performed brake work with brakes manufactured by Rayloc. Id., 24:23-25:1, 29:25-30:4, 36:4-7,
37:22-38:5, 44:11-15, 90:1-6. Rayloc is a division of defendant Genuine Parts. Dep. of Paul
LeCour (“LeCour”), 10:21-22 (165-5).3
From the 1930s until the early 1980s, all Rayloc
branded brake shoes contained asbestos. Id., 23:21-24:6. In the early 1980s, defendant Genuine
Parts began to manufacture some brake shoes without asbestos. Id.. It ceased the production of
asbestos-containing brake shoes in 2001. Id., 25:3-5.
Plaintiff Larry Lee moved from Florida to North Carolina in 1985. Larry Lee Dep., Vol.
I, 9:9-18, 76:23-77:3. He was diagnosed with mesothelioma in September 2013. Id., 109:18-24.
Plaintiffs’ expert Edwin Holstein, M.D., states that the cleaning of wheel wells with compressed
air causes brake drum dust to blow into the air, and that such dust “may be inhaled by anyone
within that space, even at a distance.” Holstein Report, 11 (DE 165-2). He further states that,
“[w]hen new brake linings are ground, drilled or riveted, the same is true” and that “in both
cases, exposure will persist for many hours.” Id. In addition, he states that the “[d]uring
transport and handling of boxes containing new brake linings, considerable dust is released, and
is routinely found in the brake lining boxes.” Id. Plaintiffs’ medical expert, John Maddox,
M.D., has opined that plaintiff Larry Lee’s mesothelioma was caused by exposure to asbestos,
3
Deposition of LeCour, testifying on behalf of Genuine Parts as an operations senior technical adviser, was given in
a case initiated in the Ohio Court of Common Pleas in 2009, Harris, et al. v. Goodyear Tire & Rubber Co., et al., No.
CV-09-686099.
5
including exposure to dust from asbestos-containing friction products such as brakes and brake
linings. Aff. of John Coulter Maddox, 2, 6, 26-29 (DE 165-3).
B.
Evidence Regarding Knowledge of Asbestos Risks
Plaintiffs have submitted a number of documents regarding the historical knowledge of
the dangers of asbestos, the dangers from brakes, and defendant Genuine Parts’ own knowledge.
An article published by two scientists employed by Ford Motor Company (“Ford”) in 1970
reported on the results of a study of the concentration of asbestos fibers produced during car
brake service. D.E. Hickish & K.L. Knight, “Exposure to Asbestos During Brake Maintenance,”
13 Ann. Occup. Hyg. 17, 17-18 (1970) (DE 165-8) (“Hickish & Knight Article”).4 The article
reported the results of a study of the concentration of asbestos fibers to which mechanics are
exposed in performing brake work. Id. A series of tests were performed at the service bay of a
Ford dealer in the London area.
Id.
In the first reported test, samples of asbestos fiber
concentrations were collected over two time periods, each spanning 45 minutes, from the side of
a car and in a dust cloud created when brake shoes and drums were cleaned. Id., 17. The
Hickish & Knight Article also reported on collections of “personal samples” from mechanics
over the course of a workshift. Id., 17-18. These personal samples ranged as high as 1.12
fibers/cm3, with a time-weighted average of 0.68 fibers/cm3. Id., 18. General atmospheric
samples collected during truck brake service reported concentrations as high as 0.49 fibers/cm3,
and personal samples reported concentrations up to 7.09 fibers/cm3. Id., 18-19.
Hickish and Knight then compared these exposure levels with the “Hygiene Standards for
Chrysotile Asbestos Dust” published by the British Occupational Hygiene Society (“OHS”) in
4
Pages from this document were submitted out of order on the court’s docket. Citations are to the page numbers as they
appeared in the publication, and not to the numbers assigned by the court’s case management/electronic case filing
system.
6
1968, which suggested that cumulative levels of asbestos exposure should not exceed 100 fiberyears/cm3.5
Id., 18-19; see also Occupational Exposure to Asbestos, Notice of Proposed
Rulemaking, 40 Fed. Reg. 47652, 47654 (Oct. 9, 1975) (describing the British OHS report on
hygiene standards). As to the servicing of cars, the Hickish & Knight Article states that,
“[w]hile the [hygiene] standard may be exceeded in the dust cloud during actual brake
clean[ing,] the personal exposure of the operator studied was well below the standard.” Id.,19.
As to the servicing of trucks, the article states that
[t]he standard is not exceeded during brake cleaning in the general atmosphere
[aw]ay from the immediate vicinity of the operation, but personal exposures in
the [vic]inity do exceed the standard. On a daily basis, the personal exposure
levels are [be]low the standard, although that of the brake cleaner approaches it.
It should be noted, however, that in a fleet workshop, brake cleaning operations
[illegible] not necessarily take place daily.
Id.
The Hickish & Knight Article concluded that
exposure to asbestos during brake maintenance is not as severe as was
anticipated, and in the situations we examined, the personal exposure of the
operators was below the limit corresponding to a 50-year exposure. It is however
recommended that care should be exercised during brake cleaning to avoid
inhalation of the dust produced, and the development of cleaning procedures
which would reduce air contamination is desirable . . . . Our environmental
studies have not included maintenance procedures which involve the filing or
grinding of brake lining material, and we would envisage that these would give
rise to considerably increased air contamination by chrysotile asbestos, with the
attendant need for strict precautions to prevent the inhalation of fibers.
Id., 20-21.
5
Studies often express the concentration of asbestos as the number of fibers per cubic centimeter (cm3), which is also
equivalent of fibers per milliliter (mL). See Asbestos Exposure Limit, 73 Fed. Reg. 11284, 11286 (Feb. 29, 2008).
“Fiber-years” are calculated by multiplying a worker’s duration of exposure (measured in years) by the average air
concentration during the period of exposure (measured in number of fibers per cubic centimer/milliliter of air). See U.S.
Dep’t of Health & Human Servs. Agency for Toxic Substances & Disease Registry, Tremolite Asbestos and Other
Related Types of Asbestos, available at
http://www.atsdr.cdc.gov/asbestos/more_about_asbestos/health_consultation/ (last visited July 17, 2015). For example,
100 fiber-years/cm3 is the equivalent of 50 years at two fibers/cm3, or 25 years at four fibers/cm3. Asbestos Exposure
Limit, 73 Fed. Reg. at 11286.
7
In 1972, the Occupational Health and Safety Administration (“OSHA”) enacted
regulations limiting occupational exposure to asbestos. Standard for Exposure to Asbestos Dust,
37 Fed. Reg. 11318 (June 7, 1972). The regulations set an immediately-effective limit of
asbestos exposure at an eight-hour time-weighted average concentration of five fibers/cm3, to be
reduced to two fibers/cm3 by July 1, 1976. Id., 11320. The regulations also included a labeling
requirement for asbestos products, as follows:
Caution labels shall be affixed to all raw materials, mixtures, scrap, waste, debris,
and other products containing asbestos fibers, or to their containers, except that
no label is required where asbestos fibers have been modified by a bonding agent,
coating, binder, or other material so that during any reasonable foreseeable use,
handling, storage, disposal, processing, or transportation no airborne
concentrations of asbestos fibers in excess of the exposure limits prescribed . . .
will be released. . . . The label shall state:
CAUTION
Contains Asbestos Fibers
Avoid Creating Dust
Breathing Asbestos Dust May Cause Serious Bodily Harm
Id., 11321.
Minutes from a February 16, 1973 meeting of the Friction Materials Standards Institute
(“FMSI”) Asbestos Study Committee report on a discussion on “[t]he subject of labeling of
finished friction materials.”
Minutes of the FMSI, 3 (DE 165-10).
The minutes report
disagreement among members as to whether labeling was necessary to comply with
requirements set by OSHA, where two members asserted that the exception for asbestos that is
“modified by a bonding agent, coating, binder, or other material” exempted friction products. Id.
However, the FMSI minutes report that the majority of committee members believed that the
five fibers/cm3 standard set by OSHA would be “exceeded in many areas such as inspection,
drilling, and grinding,” and that “it is apparent that where subsequent working of the material
8
can raise the airborne asbestos concentrations above the limits that the manufacturer is required
to label the material.”
Id.
The minutes further state that “with undusted linings from a
manufacturer it is likely that customer inspection, or possibly opening of cartons, could show
airborne fiber concentrations in excess of the 5 fibers/[cm3].” Id. Members ultimately resolved
That (1) where asbestos containing materials do not have the asbestos fiber
completely locked in, or (2) where subsequent operations may be performed on
asbestos containing materials, the hazardous labeling practice be adhered to in
accordance with the Label Specifications in the OSHA Standards for Exposure to
Asbestos Dust.
Id., 5.
A study published in 1976 reports that “[d]ata obtained on asbestos exposure of garage
mechanics during brake lining maintenance and repair work show[s] that fiber concentrations
frequently in excess of regulated limits are common.”
Arthur N. Rohl, et al., “Asbestos
Exposure during Brake Lining Maintenance and Repair,” 12 Envtl. Res. 110, 110 (1976) (DE
165-9).
In 1986, the Asbestos Action Program of the Environmental Protection Agency (“EPA”)
published a pamphlet for auto mechanics warning about the dangers of asbestos. “Guidance for
Preventing Asbestos Disease Among Auto Mechanics,” (June 1986) (DE 165-6) (“1986
Pamphlet”). The 1986 Pamphlet states that “[f]riction materials, such as brake linings and clutch
facings, often contain asbestos. Millions of asbestos fibers can be released during brake and
clutch servicing. Grinding and beveling friction products can cause even higher exposures.” Id.,
1. The 1986 Pamphlet states that “there is no known level of exposure to asbestos below which
health effects do not occur.” Id.
For further evidence on the state of the art regarding the dangers of asbestos, as well as
testimony on specific causation, plaintiffs’ present the expert report of Edwin C. Holstein, M.D.
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(“Holstein”). (DE 165-2). Holstein served as a member of the faculty at the Mount Sinai School
of Medicine in New York City from 1976 to 1984, and has retained a voluntary faculty position
as Assistant Clinical Professor in the Environmental Sciences Laboratory to present. Id., 4. He
has studied the history of knowledge concerning the health effects of asbestos, including the
history of regulations and epidemiology on the subject. Id. Holstein describes certain studies
not entered into the record here, including a 1930 study by E.R.A. Merewether and C.W. Price
which found that inhaling dust containing asbestos fibers could lead to disabling or fatal lung
disease. Id., 14 (citing E.R.A. Merewether & C.W. Price, “Report on the Effects of Asbestos
Dust on the Lungs and Dust Suppression in the Asbestos Industry,” His Majesty’s Stationery
Office 28-29 (1930)). The Merewether and Price study “was the first epidemiologic survey of
asbestos-exposed workers in textile mills in Great Britain.” Id. These scientists “prescribed a
series of dust suppression measures that are still valid today,” including “warning, education and
training of all those who would be exposed.” Id., 15. Merewether and Price “specifically
mentioned thermal insulation, ‘jointings,’ (gaskets) and packing,” but “also expressed their
opinion that asbestos was a potential hazard to health in any industry in which dry asbestos
products were abraded or otherwise manipulated so as to produce dust.” Id.
Holstein states that, “[b]y the 1950s, it was firmly established that the inhalation of
asbestos fibers increased the risk of lung cancer.” Id., 14. Holstein notes an editorial comment
that asbestos was a cause of lung cancer, published in the Journal of the American Medical
Association in 1949, which he describes as “the most widely read medical journal in America at
the time.” Id., 17. By 1955, over 60 cases of lung cancer associated with asbestos exposure had
been published. Id., 18. A 1960 article documented 33 cases of mesothelioma in people
exposed to asbestos in and around crocidolite asbestos mines in South Africa, which was
10
followed in the 1960s by “numerous studies . . . reporting mesothelioma in association with
asbestos exposure in several different countries and in a variety of exposure circumstances.” Id.
Holstein reports that 700 scientific publications considered the health effects of asbestos by the
end of 1964, including an article showing that mesothelioma could occur “among household
members of [asbestos] workers (exposed to dust that came home on the clothes of the worker)
and among those who lived within one-half mile of an asbestos factory.” Id. After 1965, “an
accelerating stream of scientific and medical articles on the health effects of asbestos
appeared . . . . The information was available in the libraries of all medical schools, almost any
hospital, and many doctors’ officers.” Id. Holstein asserts that, “[t]o learn about the dangers of
asbestos would have required only an hour or two of research in the medical literature, and much
of the information had also been published in lay publications.” Id. Holstein summarizes the
scientific knowledge as follows:
[I]t was known at least as early as 1930 with the Merewether and Price study that
asbestos dust was released into the air when any dry asbestos-containing product
is abraded or manipulated or turned in the dry state. This would reasonably
include both brake linings and joint compounds, since they are “abraded” in the
usual course of working with them, and the dust that results is visible to the naked
eye without the need for scientific instruments for detection or airborne asbestos.
Packing and ‘jointings’ (gaskets) were specifically identified by Merewether and
Price as such a hazard. It was also known that with the release of asbestos dust
into the air, disabling and fatal diseases would result among substantial
percentages of people so exposed. It was recognized that dust control measures
were necessary, among which was the need to train, educate and warn exposed
workers. With the passage of time, it became clear that asbestos exposures cause
not only asbestosis, but lung cancer and mesothelioma, and that very brief and/or
low exposures to asbestos were sufficient to cause mesothelioma. It was also
known that mesothelioma was invariably fatal, as it still is today. It was
demonstrated that chrysotile asbestos was among the varieties of asbestos that
would cause mesothelioma. An hour or two of research in the medical literature
was sufficient to know all of the facts just stated.
Id., 18-19.
11
Holstein also describes the state of knowledge specifically with respect to asbestos
brakes, reporting on several more publications not presently part of the record:
Further considering the hazards of work with asbestos-containing brake linings
prior to 1971, in addition to the Merewether and Price admonitions in 1930,
George and Leonard demonstrated abnormal chest x-rays in individuals who
manufactured brake linings in 1939. Stone reported cases of asbestosis with
disability among brake lining manufacturers in 1940. In the same year, Hatch
reported a case of asbestosis in a brake lining weaver. In the journal Foundation
Facts, published by the Industrial Health Foundation, which was supported by
many major corporations, asbestosis in grinders and drillers of bake bands
(linings) was reported in 1940. The same journal reported the work of George
and Leonard mentioned above, in 1941. In 1948, widespread recognition of this
problem was demonstrated in 1948 [sic], when asbestosis in brake liners was
made a compensable disease. And in 1948, an official of the Ford Motor
Company named Castorp published his view in the National Safety News that
asbestos in brake linings was a potential hazard.
Id.
In deposition taken in another case, the corporate representative for Genuine Parts stated
that the Rayloc division “first became aware that inhaled asbestos could create a hazardous
condition in a human being” at some point “in the [19]70s.” LeCour Dep. 38:15-19. He testified
that defendant Genuine Parts “took all the necessary safety precautions to protect [its]
employees.” Id., 38:22-23. He stated that he did not know specifically when defendant Genuine
Parts or Rayloc first became aware that grinding or chipping brake lining could be hazardous,
but that it used equipment in its plants to “prevent that material that’s coming off of the brake
lining from floating in the air.” Id., 39:17-40:5. The company never tested how much asbestos
could be released during the removal of a brake shoe. Id., 41:16-20.
LeCour testified that defendant Genuine Parts held clinics in which it “sold our product
based on do not grind, do not modify the friction surfaces in any way, shape, or form, our
product will fit the vehicle and drum properly.” Id. He asserted that “on every clinic, and even
12
in our service manual, we said do not grind the product. And we say install it as it comes in the
box.” Id., 40:14-19.
In interrogatory responses provided in this case, defendant Genuine Parts responds that
for many years [Genuine Parts] conducted numerous brake clinics for jobbers or
other interested parties on vehicle braking systems, the advent of disc brakes, the
mechanics of anti-lock brakes, etc., as such vehicle features became
commonplace. Depending on the time period and topic of such seminars, oral
and written materials provided to participants cautioned against grinding
[Genuine Parts] products, the creation of dust during the brake repair process, and
against the inhalation of said dust beginning at least in the early 1960s.
Def’s. Resp. To Interrogs, 20 (DE 165-4). The first warning sign specifically mentioning
asbestos dust appeared on Rayloc brake products in 1988, in response to a California regulation
requiring labeling and warnings on all asbestos products. LeCour Dep., 41:3-6; Def’s. Resp. to
Interrogs., 19-20.
DISCUSSION
A.
Standard of Review
Summary judgment is appropriate where “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). This standard is met when “a reasonable jury can reach only one conclusion
based on the evidence,” or when “the verdict in favor of the non-moving party would necessarily
be based on speculation.” Myrick v. Prime Ins. Syndicate, Inc., 395 F.3d 485, 489 (4th Cir.
2005). On the other hand, when “the evidence as a whole is susceptible of more than one
reasonable inference, a jury issue is created,” and summary judgment should be denied. Id.,
489-90.
Summary judgment is not a vehicle for the court to weigh the evidence and determine the
truth of the matter, but rather contemplates whether a genuine issue exists for trial. Anderson v.
13
Liberty Lobby, 477 U.S. 242, 249 (1986). In making this determination, the court must view the
inferences drawn from the underlying facts in the light most favorable to the nonmoving party.
United States v. Diebold, Inc., 369 U.S. 654, 655 (1962). Nevertheless, such inferences “must
still be within the range of reasonable probability” and the court should issue summary judgment
“when the necessary inference is so tenuous that it rests merely upon speculation and
conjecture.” Lovelace v. Sherwin-Williams Co., 681 F.2d 230, 241 (4th Cir. 1982) (quoting
Ford Motor Co. v. McDavid, 259 F.2d 261, 266 (4th Cir. 1958)). Only disputes between the
parties over facts that might affect the outcome of the case properly preclude the entry of
summary judgment. Anderson, 477 U.S. at 247–48. Accordingly, the court must examine the
materiality and the genuineness of the alleged fact issues in ruling on this motion. Id., 248–49.
The party seeking summary judgment bears the initial burden of demonstrating the
absence of any genuine issue of material fact. Celotex Corp. v. Catrett, 477 U.S. 317, 323
(1986). Once the moving party has met its burden, the nonmoving party then must affirmatively
demonstrate with specific evidence that there exists a genuine issue of material fact requiring
trial. Matsushita Elec. Indus. Co. Ltd. v. Zenith Radio Corp., 475 U.S. 574, 586–87 (1986).
B.
Analysis
Plaintiffs complain of a panoply of acts and omissions constituting defendant’s willful
and wanton conduct in their complaint, going back to 1929 when defendant Genuine Parts and
others knew or should have known of data indicating the dangers of asbestos-containing
products to plaintiff Larry Lee and others. Compl. ¶¶ 55, 56 (DE 1). Willful and wanton
conduct may have multiple implications for a case. For instance, proof of such conduct may be
used to permit recovery despite plaintiff’s contributory negligence. Sorrells v. M.Y.B. Hosp.
Ventures of Asheville, 332 N.C. 645, 648 (1992); Brewer v. Harris, 279 N.C. 288, 297 (1971). It
14
may also be used as an aggravating circumstance warranting a punitive damages award. N.C.
Gen. Stat. § 1D-15(a).6
“An act is wanton when it is done of wicked purpose, or when done needlessly,
manifesting a reckless indifference to the rights of others . . . . Conduct is wanton when in
conscious and intentional disregard of and indifference to the rights and safety of others.”
Yancey v. Lea, 354 N.C. 48, 52-53 (2001) (quoting Hinson v. Dawson, 244 N.C. 23, 28 (1956);
Foster v. Hyman, 197 N.C. 189, 191 (1929)).7 “Willful negligence” has been defined as an act
done purposely and deliberately in violation of law or when it is done knowingly
and of set purpose, or when the mere will has free play, without yielding to
reason. The true conception of wilful negligence involves a deliberate purpose
not to discharge some duty necessary to the safety of the person or property of
another, which duty the person owing it has assumed by contract, or which is
imposed on the person by operation of law.
6
The provision prescribing “Standards for recovery of punitive damages” reads in full:
(a)
Punitive damages may be awarded only if the claimant proves that the defendant is liable for
compensatory damages and that one of the following aggravating factors was present and was related to the
injury for which compensatory damages were awarded:
(1)
Fraud.
(2)
Malice.
(3)
Willful or wanton conduct.
(b)
The claimant must prove the existence of an aggravating factor by clear and convincing evidence.
(c)
Punitive damages shall not be awarded against a person solely on the basis of vicarious liability for the
acts or omissions of another. Punitive damages may be awarded against a person only if that person
participated in the conduct constituting the aggravating factor giving rise to the punitive damages, or if, in the
case of a corporation, the officers, directors, or managers of the corporation participated in or condoned the
conduct constituting the aggravating factor giving rise to punitive damages.
(d)
Punitive damages shall not be awarded against a person solely for breach of contract.
N.C. Gen. Stat. § 1D-15. The term “Willful or wanton conduct” is defined to mean “the conscious and intentional
disregard of and indifference to the rights and safety of others, which the defendant knows or should know is reasonably
likely to result in injury, damage, or other harm.” N.C. Gen. Stat. § 1D-5(7).
7
Federal courts sitting in diversity apply federal procedural law and state substantive law. Hartford Fire Ins. Co. v.
Harleysville Mut. Ins. Co., 736 F.3d 255, 261 n. 3 (4th Cir. 2013). Although defendant Genuine Parts has filed a notice
asserting that Florida law should apply to plaintiffs’ claim for breach of implied warranty (DE 195), both parties’ briefs
on the instant motion assume the application of North Carolina law. “Where the parties have agreed to the application
of the forum law, their consent concludes the choice of law inquiry.” Cosey v. Prudential Ins. Co. of Am., 735 F.3d 161,
169 n. 7 (4th Cir. 2013) (quoting Am. Fuel Corp. v. Utah Energy Dev. Co., 122 F.3d 130, 134 (2d Cir. 1997) (brackets
omitted)).
15
Id. (quoting Foster, 197 N.C. at 191) (quotation marks omitted). “While ordinary negligence has
as its basis that a person charged with negligent conduct should have known the probable
consequences of his act . . . wanton and willful negligence rests on the assumption that he knew
the probable consequences, but was recklessly, wantonly or intentionally indifferent to the
results.” Akzona, Inc. v. S. Ry. Co., 314 N.C. 488, 496 (1985) (quoting Wagoner v. N.C. R.R.,
238 N.C. 162, 168 (1953)). Thus, ordinary negligence differs from willful and wanton conduct
“not in degree or magnitude of inadvertence or carelessness, but rather [in] intentional
wrongdoing or deliberate misconduct affecting the safety of others.” Yancey, 354 N.C. at 53.
Willful and wanton conduct at least requires that “the act is done purposely and with knowledge
that such act is a breach of duty to others, i.e. a conscious disregard of the safety of others.” Id.8
This court recently had occasion to consider a claim for willful and wanton conduct on a
set of facts similar to those presented here. In Yates v. Air & Liquid Sys., No. 5:12-CV-752
(E.D.N.C. Feb. 21, 2014), the plaintiff’s exposures occurred while changing brakes and opening
brake boxes in the course of his employment as a parts clerk and deliveryman at an automobile
dealership, a gas station attendant, a parts clerk as an equipment depot, and also on personal
brake jobs. Id., 7-8, 21-22. The latest date of the plaintiff’s exposure was approximately 1962.
Id. The court considered whether the evidence created a genuine issue as to plaintiffs’ claims for
willful and wanton conduct or false representation/fraud.
8
Id., 18.
Plaintiffs presented an
The language incorporated in the two preceding quotations was used in Yancey specifically to define “gross
negligence,” however Yancey also noted that the North Carolina Supreme Court “has often used the terms ‘willful and
wanton conduct’ and ‘gross negligence’ interchangeably to describe conduct that falls somewhere between ordinary
negligence and intentional conduct. Yancey, 354 N.C. at 157. Under North Carolina’s punitive damages statute, it is
clear that willful and wanton conduct is more culpable than gross negligence. See N.C. Gen. Stat. § 1D-5(7) (“ ‘[W]illful
and wanton conduct’ means more than gross negligence.”) (emphasis added). The precise relationship between these
two terms is not entirely clear outside of the context of punitive damages, but the cases likewise establish that willful
and wanton conduct involves conduct at least as egregious as gross negligence. See Horne v. Owens-Corning Fiberglas
Corp., 4 F.3d 276, 284-85 (4th Cir. 1993); FDIC v. Willetts, 48 F. Supp. 3d 844, 851 n. 2 (E.D.N.C. 2014); Jones v. City
of Durham, 360 N.C. 81, 86 (2005), withdrawn and superseded on reh’g, 361 N.C. 144 (2006); McCauley v. Thomas
ex rel. Progressive Univ. Ins. Co., ___ N.C. App. ___, ___ S.E. 2d ___, 2015 WL 4081965, at *6 (July 7, 2015).
16
assortment of evidence, including evidence post-dating the last date of plaintiff’s exposure, preexposure articles generally noting the dangers of workplace asbestos dust, and an expert’s report
referencing two studies of brake friction products that preceded the plaintiff’s exposure. Id., 1920, 26.
The court held this evidence did not raise a genuine issue as to willful and wanton
conduct because plaintiffs failed to show that defendants had actually read the articles
referenced, or knew of the studies, or knew of the dangers of asbestos in the defendants’
products. Id., 19-20. On plaintiffs’ motion for reconsideration, the court maintained that the
evidence did not show a conscious and intentional disregard for safety, and also held that
additional deposition evidence purporting to show that defendant knew that asbestos could
potentially be harmful under indefinite conditions failed to meet the standard of willful and
wanton conduct. Yates v. Air & Liquid Sys., No. 5:12-CV-752, 2014 WL 4923603, at *20, 25
(Sept. 30, 2014).
Here, plaintiffs have failed to introduce evidence permitting a reasonable inference that
defendant Genuine Parts performed an act “purposely and with knowledge that such is a breach
of duty to others,” so as to show “conscious disregard of the safety of others.” Yancey, 354 N.C.
at 53.
Considering first the historical literature that plaintiffs offer regarding the dangers of
asbestos, plaintiffs have not presented any evidence that defendant Genuine Parts was actually
aware of any particular article or study. There is no evidence that defendant Genuine Parts was a
member of the FMSI, or otherwise received any of the publications mentioned. The evidence
likewise does not permit a reasonable inference that defendant Genuine Parts was purposely
neglecting any duty to conduct research while knowing that, in doing so, it was breaching a duty.
17
Next considering Holstein’s opinion, the court takes note that it is not bound to accept
expert assertions lacking record support as evidence sufficient to raise a genuine issue on
summary judgment, and may consider the facts underlying those opinions. See Talley v. Danek
Med., Inc., 179 F.3d 154, 162 (4th Cir. 1999) (finding district court was within its discretion to
disregard “speculative testimony” from expert that “had no apparent support in the record” on
summary judgment); Tyger Constr. Co. Inc.v. Pensacola Constr. Co., 29 F.3d 137, 143 (4th Cir.
1994) (“Expert opinion evidence based on assumptions not supported by the record should be
excluded.”); M&M Med. Supplies & Serv., Inc. v. Pleasant Valley Hosp., Inc., 981 F.2d 160,
165 (4th Cir. 1992) (rejecting expert’s affidavit, submitted on summary judgment, that was
“wholly conclusory and devoid of reasoning”); Prichard Enters., Inc. v. Adkins, 858 F. Supp. 2d
576, 589 (E.D.N.C. 2012) (rejecting conclusory expert testimony); see also Evers v. Gen. Motors
Corp., 770 F.2d 984, 986 (11th Cir. 1985) (“[A] party may not avoid summary judgment solely
on the basis of an expert’s opinion that fails to provide specific facts from the record to support
its conclusory allegations.”). As to Holstein’s opinion that “an hour or two of research in the
medical literature” was sufficient to discover facts regarding the potential release of asbestos
from brake products, the diseases that could result from low exposure, the need for dust control
measures, and the dangers of asbestos at low exposures and the potential for their release from
brake products, Holstein Report at 19, the facts underlying these assertions fail to show willful
and wanton conduct, for the following reasons.
Plaintiffs have not submitted the studies upon which Holstein relies to make this
statement into the record. Holstein’s statement itself is ambiguous, as it covers literature
spanning several decades and fails to specify precisely when “[a]n hour or two of research”
would have been sufficient to identify these facts. Considering the discussion that precedes this
18
summary in the expert report, Holstein’s assertion that all the facts could have been discovered
after “only an hour or two of research in the medical literature” appears based on a general
statement that “scientific and medical articles on the health effects of asbestos . . . [were]
available in the libraries of all medical schools, almost any hospital, and many doctors’ offices”
at some point after 1965. Id., 18. This does not show that these scientific and medical articles
included reported facts that would have notified brake manufacturers such as plaintiff of the
“probable consequences” of manufacturing their products or failing to warn users about their
products. See Akzona, 314 N.C. at 496.
Furthermore, Holstein does not offer specific facts regarding the availability of
publications such as the Merewether and Price study which showed the potential for asbestos
dust release from any asbestos-containing product. Holstein states that the need for dust control
measures were recognized to be necessary, but does not specify the types of industries or work
where such measures were recognized. Holstein’s statement that mesothelioma was known to
result from “very brief and/or low exposures to asbestos” appears to be premised on studies of
mesothelioma among household members of workers who were exposed to dust that came home
on the workers’ clothes, and cases of the disease among persons who lived nearby asbestos
factories. Id., 18. These studies are too attenuated from the repair of brake linings to provide
evidence of a conscious disregard of known risks necessary to establish willful and wanton
conduct.
A general knowledge that asbestos may have been harmful under unspecified
circumstances is not enough to show that defendant Genuine Parts “knew the probable
consequences, but was recklessly, wantonly or intentionally indifferent to the results.” Akzona,
314 N.C. at 496. Nor is the prospect of access to articles regarding the general hazards of
asbestos, or to case reports regarding brake lining manufacturers, evidence that raises a genuine
19
issue as to whether defendant Genuine Parts breached any known duty to research, test, or warn
of the harmful propensities of its product.
As for the 1970s OSHA regulations, plaintiffs do not identify evidence that defendant
Genuine Parts recognized a duty imposed by these regulations and acted purposely and with
knowledge that they were breaching such duty, or that injury was a probable consequence of
such violation. Yancey, 354 N.C. at 53; Akzona, 314 N.C. at 496. The court notes that a
violation of an OSHA regulation is not per se negligence and is not, by itself, enough evidence
of willful and wanton conduct to present a jury issue. Schenk v. HNA Holdings, Inc., 170 N.C.
App. 555, 561 (2005).
The OSHA violations alleged here, either by themselves or in
conjunction with the other facts plaintiffs cite, do not create a genuine issue of willful and
wanton conduct.
Turning to the evidence regarding warnings that defendant Genuine Parts issued via
clinics and service manuals, the record is lacking in specifics regarding the content of these
warnings, the dates and persons to which warnings were presented, the personnel responsible for
providing the warnings, and the reason such warnings were given. The evidence does not permit
inference that Genuine Parts knew of a duty to issue additional warnings and consciously
disregarded it.
LeCour acknowledged a general awareness that inhaling asbestos could created a
hazardous condition, but as noted above, such general awareness is not enough to establish a
conscious disregard of a known duty. Evidence of a general awareness of risks under undefined
circumstances fails to raise a genuine issue as to whether defendant Genuine Parts acted in
conscious disregard of a known duty to disseminate additional warnings regarding its products to
individuals such as plaintiff Larry Lee.
20
In addition, plaintiffs have not shown evidence that defendant Genuine Parts actively
sought to conceal or misrepresent the dangers of its products, such as would show knowledge of
a breach of duty and such as is commonly identified in case law holding that the evidence creates
a genuine issue of willful and wanton. See Fussman v. Novartis Pharm. Corp., No. 1:06-CV149, 2010 WL 4273195, at *5 (M.D.N.C. Oct. 25, 2010) (finding jury issue where plaintiff
forecast evidence purporting to show defendant concealed or misrepresented information
regarding risk factors and clinical trial findings, controlled the flow of information about the link
between its drugs and disease, and refused to acknowledge a link between its drugs and disease
in spite of contrary evidence); see also Benedi v. McNeil-P.P.C., Inc., 66 F.3d 1378, 1389 (4th
Cir. 1995) (under Virginia law, finding jury issue of willful and wanton conduct where evidence
showed defendant failed to give Food and Drug Administration case reports, instructed sales
representatives to avoid discussing with physicians an article outlining the dangers of combining
its drugs with alcohol, and sent a letter to pharmacists and hospitals asserting that no link
between liver the use of its drugs and alcohol); Owens-Corning Fiberglas Corp. v. Watson, 243
Va. 128, 144-48 (1992) (finding evidence sufficient to show willful and wanton conduct where
internal memorandums and corporate witness testimony permitted inference that asbestos
manufacturer knew that inhaling dust from its product could cause lung disease, actively
concealed the danger, and selectively warned employees while failing to warn others).
While the evidence offered may tend to show that defendant Genuine Parts was
negligent, it is not sufficient to show that this defendant’s conduct was willful and wanton. It
does not allow the jury to reasonably find that defendant Genuine Parts affirmatively “knew the
probable consequences” of its actions, or acted with “conscious disregard of the safety of
21
others.” Yancey, 354 N.C. at 53; Akzona, 314 N.C. at 496. Accordingly, summary judgment is
granted on plaintiffs’ claim for willful and wanton conduct (Third Cause).
CONCLUSION
In accordance with the foregoing, the court GRANTS defendant Genuine Parts’ motion
for partial summary judgment, (DE 144), as to plaintiffs’ claim for willful and wanton conduct
(Third Cause). The parties shall have 60 days to file any motions raising issues pursuant to
Federal Rules of Evidence 702, 703, or 705, Daubert v. Merrell Dow Pharm., Inc., 509 U.S. 579
(1993), Kumho Tire Co. v. Carmichael, 526 U.S. 137 (1999) or similar case law.
SO ORDERED, this the 27th day of July, 2015.
_____________________________
LOUISE W. FLANAGAN
United States District Judge
22
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