AVX Corporation v. Corning Glass Works, et al
Filing
275
ORDER granting 200 Motion for Summary Judgment on Plaintiff/Counter-Defendant AVX Corporation's Twelfth and Thirteenth Claims for Relief; granting in part and denying in part 203 Motion for Summary Judgment < i>As to Its CERCLA, Negligent Misrepresentation, and Unfair and Deceptive Trade Practice Claims; granting 212 Motion for Summary Judgment on Counts I, II, III, IV, V, XI, XII, and XIII; granting 215 Motion to Strike Expert Tes timony and Evidence, MOTION for Sanctions and Motion to Exclude Expert Testimony and Evidence; denying 215 Motion for Sanctions; granting in part and denying in part 217 Motion to Strike Defendants' Motion to Exclude the Expert Tes timony and Strike the Expert Reports of Thomas D.W. Hutto; granting 221 Motion to Exclude Certain Expert Testimony of Dr. R. Paul Philp; denying 224 Corrected MOTION to Exclude Certain Expert Testimony of Dr. Richard Royer; finding as moot 241 Motion to Strike Declaration of Christopher Bonessi [Dkt. No. 223-19]; denying 246 Motion to Strike 245 Declaration, 240 Declaration, 244 Declaration, 243 Declaration; denying 246 Motion to Compel; denying 246 Motion for Sanctions; finding as moot 258 Motion to Strike (1) Portions of AVX's Third Supplemental Statement of Undisputed Facts and Appendix Thereto; and (2) The March 26, 2019 Declaration of Christopher Bonessi; granting in part and denyi ng in part 178 Motion for Summary Judgment As To Corning's Counterclaims. The following claims remain for adjudication at trial as between plaintiff and defendant Corning: 1) CERCLA claims and counterclaims (as limited on certain issue s by summary judgment ruling herein); 2) declaratory judgment claims and counterclaims; and 3) breach of contract claims and counterclaims. Accordingly, this case now is ripe for entry of an order governing deadlines and procedures for final pretria l conference and trial. The parties are DIRECTED to confer and file within 21 days from the date of this order a joint status report. Counsel is reminded to read the order in its entirety for critical deadlines and information. Signed by District Judge Louise Wood Flanagan on 9/26/2019. (Collins, S.)
IN THE UNITED STATES DISTRICT COURT
FOR THE EASTERN DISTRICT OF NORTH CAROLINA
WESTERN DIVISION
NO. 5:15-CV-543-FL
AVX CORPORATION,
Plaintiff,
v.
CORNING INCORPORATED;
COMPONENTS, INCORPORATED;
CORNING INTERNATIONAL
CORPORATION; CORNING SAS;
CORNING LIMITED; and CORNING
GMBH,
Defendants.
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ORDER
This matter is before the court on the following motions:
1)
Plaintiff’s motion for summary judgment as to defendants’ counterclaims (DE 178).
2)
Defendants’ motion for summary judgment as to plaintiff’s twelfth and thirteenth claims for
relief (DE 200).
3)
Plaintiff’s motion for summary judgment as to its claims for violations of the Comprehensive
Environmental Response, Compensation and Liability Act (“CERCLA”), Unfair and
Deceptive Trade Practices Act (“UDTPA”), and for negligent misrepresentation (DE 203).
4)
Motion for summary judgment by defendants Components, Incorporated; Corning
International Corporation; Corning SAS; Corning Limited; and Corning Gmbh, on all
claims remaining against them (DE 212).
5)
Plaintiff’s motion to exclude and to strike expert evidence, and for sanctions (DE 215).
6)
Defendants’ motions to exclude and to strike expert evidence (DE 217, 221, 224).
7)
Defendants’ motions to strike declarations and portions of statement of facts and appendix
(DE 241, 258).
8)
Plaintiff’s motion to strike, to compel, and for sanctions (DE 246).
These motions have been briefed fully, and in this posture the issues raised are ripe for ruling.
STATEMENT OF THE CASE
Plaintiff commenced this action on October 15, 2015, asserting claims for costs and damages,
as well as declaratory and injunctive relief, associated with alleged environmental contamination
on its property, formerly owned by defendant Corning Incorporated (“Corning”) between 1962 and
1987. Plaintiff purchased the Property in 1987 as part of a multi-party “Agreement of Purchase and
Sale” (hereinafter “Purchase Agreement”), executed by defendant Corning and several entities
affiliated with Corning who are also defendants in this matter (hereinafter, the “secondary
defendants”).1
Plaintiff filed its operative complaint,2 on October 13, 2017. Upon the court’s dismissal of
part of plaintiff’s claims,3 the following claims therein remain for adjudication:
1
Defendant Corning (formerly known as Corning Glass Works) is a New York corporation with a
principal place of business in New York. The secondary defendants are the following subsidiaries of defendant Corning:
1) defendant Components, Incorporated, a Delaware corporation with a principal place of business in New York; 2)
defendant Corning International Corporation, a Delaware Corporation with principal place of business in New York;
3) defendant Corning SAS (successor in interest to Corning France, S.A.), a French corporation with a principal place
of business in France; 4) defendant Corning Limited, a United Kingdom Corporation with a principal place of business
in England; and 5) defendant Corning GmbH, a German corporation with principal place of business in Germany.
2
Unless otherwise specified, all references to the “complaint” refer to the Third Amended Complaint
filed October 13, 2017.
3
In order entered August 28, 2018, the court dismissed in part several claims asserted by plaintiff and
allowed counterclaims by defendants to proceed. In particular, the court dismissed plaintiff’s claims for negligence,
negligence per se, nuisance, and trespass (claims six, seven, eight, and nine) under the North Carolina economic loss
rule. The court also dismissed all parts of the UDTPA and negligent misrepresentation claims (claims twelve and
thirteen), except for those parts based upon defendants’ response to a state remedial environmental program
2
1)
CERCLA, 42 U.S.C. § 9607(a), for recovery of response costs (claim one);
2)
CERCLA, 42 U.S.C. § 9613(f), for contribution (claim two);
3)
Breach of contract (claim three);
4)
Federal law declaratory relief as to CERCLA liability (claims four and five);
5)
State law declaratory relief (claim eleven);
6)
UDTPA (in part) (claim twelve); and
7)
Negligent misrepresentation (in part) (claim thirteen).
Defendants filed an answer and six counterclaims, on October 27, 2017, contending that
plaintiff is responsible for additional environmental contamination on the Property, as follows:
1)
CERCLA cost recovery, contribution, and declaratory relief, claims under 42 U.S.C. §§
9607(a)(1), 9613(f) and (g)(2) (first, second, and fourth counterclaims);
2)
Breach of contract / indemnification (third counterclaim);
3)
Federal law and state law declaratory relief (fifth and sixth counterclaims).
Plaintiff filed the instant motion for summary judgment (DE 178) as to defendants’
counterclaims on October 10, 2018, relying upon a statement of facts and appendix, with exhibits,
including the following categories of documents: 1) excerpts of depositions of current and former
employees of plaintiff and defendant Corning, as well as consultants and contractors; 2)
correspondence between the State of North Carolina (the “state”)4 and defendant Corning and its
questionnaire. The court also held that it will consider the appropriateness of plaintiff’s “claims” for punitive damages
and injunction (claims ten and fourteen) as part of plaintiff’s prayer for relief in the event plaintiff prevails on any of its
substantive claims.
4
For ease of reference, the “state” as used herein, refers to the state and any of its agencies, divisions,
and departments, related to environmental management, which may have been organized and named differently through
the course of the years at issue in the instant matter.
3
consultants; 3) environmental investigation, inspection, testing, and remediation reports; 4) contracts
and agreements between the parties; and 5) inventory forms, reports, and chemical product Material
Safety Data Sheets (“MSDS”).
In opposition thereto, defendants rely upon a responsive statement of facts and appendix,
with exhibits including in part additional excerpts from the same evidence or categories of evidence
on which plaintiff relies, in addition to 1) additional correspondence between plaintiff and a product
manufacturer; 2) correspondence between plaintiff and potential purchasers of the Property and
consultants; 3) excerpts of expert reports and depositions of experts, as well as declarations of
experts, a corporate employee, and counsel. In reply, plaintiff relies upon a supplemental statement
of facts and appendix, including a list of plant employees and additional deposition excerpts.
Defendants filed the instant motion for summary judgment (DE 200) as to plaintiff’s twelfth
and thirteenth claims (UDTPA and negligent misrepresentation) on February 7, 2019, relying upon
a statement of facts and appendix, with exhibits, including additional excerpts from the same
evidence or categories of evidence filed in conjunction with the preceding summary judgment
motion, in addition to: 1) correspondence between the state and plaintiff; 2) state regulations and
guidelines; 3) declarations of defendant Corning’s consultant, counsel, and former employee. In
response, plaintiff relies upon a statement of facts and a third supplemental appendix containing
additional deposition excerpts and email correspondence between defendant Corning’s counsel,
consultants, employees, and plaintiff’s counsel and employees. Defendants replied in support of the
motion.
The secondary defendants filed their motion for summary judgment (DE 212) on February
7, 2019, seeking dismissal of all remaining claims against them, relying upon a statement of facts
4
and appendix, with exhibits, including additional excerpts from the same evidence or categories of
evidence filed in conjunction with the preceding summary judgment motions, in addition to: 1)
deeds pertaining to the Property; and 2) excerpts of defendant Corning’s plant documents, filings,
and correspondence from period of its ownership of the property. In opposition, plaintiff relies upon
an opposing statement of facts and appendix, referencing exhibits previously filed, as well as
additional deposition excerpts. Defendants replied in support of the motion.
Plaintiff filed the instant motion for summary judgment (DE 203) in favor of its own claims
for CERCLA relief, negligent misrepresentation, and UDTPA, relying upon a statement of facts and
appendix, with exhibits, including additional excerpts from the same evidence or categories of
evidence filed in conjunction with the preceding summary judgment motions, in addition to: 1)
supplemental and rebuttal expert reports; 2) plaintiff’s responses to defendants’ discovery requests.
In opposition, defendants rely upon a statement of facts and appendix, with exhibits including
additional excerpts from the same evidence or categories of evidence filed in conjunction with the
preceding summary judgment motions, in addition to Wake County Public Schools correspondence.
In reply, plaintiff relies upon a fourth supplemental opposing statement of facts and appendix,
referencing exhibits previously filed, as well as additional deposition excerpts and declaration of
counsel.
Also on February 7, 2019, the parties filed motions to exclude and to strike expert testimony
and evidence. In plaintiff’s motion, it seeks to exclude expert testimony of defendants’ designated
experts, Sylvia Mancini (“Mancini”) and David Duncklee (“Duncklee”), and it seeks sanctions
striking all evidence and expert reports pertaining to Compound Specific Isotope Analysis (“CSIA”)
and defendants’ counterclaims. In support of the motion, plaintiff relies upon 1) expert witness
5
materials related to CSIA; 2) discovery responses, objections, and correspondence between counsel;
3) declaration of plaintiff’s environmental consultants, including Christopher Bonessi (“Bonessi”).
In opposition, defendants rely upon two declarations of counsel, attaching exhibits related to 1)
CSIA lab reports and expert analysis conducted by defendants; and 2) correspondence between the
parties, counsel, and the court, regarding CSIA testing.
In defendants’ motions, they seek to exclude portions of expert testimony and to strike
portions of reports of Thomas Hutto (“Hutto”); R. Paul Philp (“Philp”); and Richard Royer
(“Royer”). In support thereof, defendants rely upon excerpts of expert depositions and reports, as
well as a declaration of defendants’ environmental consultant. In opposition, plaintiff relies upon
additional expert background materials and deposition excerpts, as well state regulatory guidance.
Defendants also filed the instant motion to strike declaration of Bonessi on March 7, 2019,
relying upon additional expert witness exhibits. In opposition, plaintiff relies upon excerpts of expert
witness materials, discovery materials, and correspondence between counsel. In conjunction with
its opposition, plaintiff filed the instant motion to strike declarations, to compel, and for sanctions,
on March 21, 2019, seeking to strike rebuttal expert declarations and attorney declarations filed by
defendants. Defendants responded in opposition to plaintiff’s March 21, 2019, motion to strike, and
plaintiff replied in support.
On April 8, 2019, defendants filed the instant motion to strike plaintiff’s third supplemental
statement of undisputed facts and appendix thereto and second declaration of Bonessi, which
plaintiff filed in support of its summary judgment motion. Plaintiff responded in opposition, and
defendants replied.
6
Plaintiff filed a notice on May 10, 2019, attaching a state notice of violation sent to defendant
Corning. With leave, defendants filed a response to the notice and plaintiff replied.
STATEMENT OF THE FACTS
The undisputed facts may be summarized as follows. From around 1962 to 1987, defendant
Corning, then known as Corning Glass Works, owned and operated a manufacturing facility (the
“plant”) at the property located at 3900 Electronics Drive in Raleigh, North Carolina (the
“Property”). (Defs’ Resp. Stmt. (DE 195) ¶ 1).5 Defendant Corning “used TCE at the Property
during a period of its ownership of the Property.” (Id. ¶ 2). During this time, “contamination to soil
and groundwater occurred in the vicinity of a dry well approximately 200 feet south” of the plant.
(Id.).
According to a 1986 “Material Safety Data Sheet” (“MSDS”) in plant files, TCE is also
known as “Trichloroethylene,” or “1,1,2-Trichloroethylene,” among other trade names or chemical
synonyms. (DE 182 at 246).6 According to this MSDS, it is a “colorless, heavy, mobile liquid with
a mild chloroform-like odor.” (Id.). Also according to this MSDS, TCE has several characteristics
of “toxicity” including “mutagenic,” “reproductive effects,” “positive animal carcinogen,” and
“indefinite human carcinogen,” as well as “skin irritant and a central nervous system depressant.”
(Id. at 247-248).
On September 5, 1987, plaintiff, which is a Delaware corporation with principal place of
business in South Carolina, entered into the Purchase Agreement, which provides terms for the sale
5
Where facts set forth in the parties’ statements of material facts are not disputed, the court cites to
responsive statement confirming lack of dispute.
6
Page numbers in citations to record documents, with a corresponding docket entry “DE” number
indicated, reference the page number specified in the court’s electronic case filing system and not the page number or
party appendix page number showing on the face of the underlying document, if any.
7
of certain properties and assets of defendant Corning and the secondary defendants, including the
Property, to plaintiff. (Purchase Agreement, p. 1 & § 2.1 (DE 181 at 318, 323-324)).7 The Purchase
Agreement includes the following provision regarding “Liabilities to be Retained,” stating, in
pertinent part as follows:
The Corning Parties8 shall retain, and shall be responsible for paying and satisfying
the following liabilities and obligations (the ‘Retained Liabilities’):
*
*
*
(d)
In connection with the operation of the Corning Electronics Business and the
Assets,9 all liabilities for violations of environmental laws . . . applicable to
such operation, which violations existed, or are based upon conditions that
existed, prior to the Closing Date10 and to the extent such violations are not
attributable to or otherwise adversely affected by either of the Purchasers’
actions.
(Id. § 3.3 (DE 181 at 332-333). The Purchase Agreement also provides for “Indemnification” by
defendant Corning to plaintiff “from and against any and all claims, liabilities, losses, damages,
costs and expenses, including reasonable counsel fees . . . arising out of, or relating to . . . any
Retained Liabilities.” (Id. § 12.1 (DE 181 at 360)).
7
The agreement also includes terms for purchase by third-party Vishay Intertechnology, Inc., of certain
assets and properties of defendants not pertinent to the instant matter. (E.g., Purchase Agreement p. 1 & §§ 2.3-2.4).
8
The “Corning Parties” is defined to include all the defendants to the instant action, or their predecessors
in interest (e.g., Corning Glass Works, predecessor in interest to defendant Corning; Corning France, S.A., predecessor
in interest to defendant Corning SAS; defendant Components, Incorporated; defendant Corning International
Corporation; and defendant Corning Limited), except for defendant Corning Gmbh, which was added to the Purchase
Agreement by a November 10, 1987, amendment to the Purchase Agreement. (DE 181 at 318, 404; see also Answer
(DE 116) ¶¶ 13, 16).
9
The “Corning Electronics Business” and “Assets” are defined to include, in pertinent part, the Property
and the plant, and plant machinery, as well as “the business of manufacturing and distributing capacitors currently
conducted at the [plant].” (Purchase Agreement §§ 1.1, 1.8, 1.9, 2.1).
10
The “Closing Date” designated at that time in the Purchase Agreement was November 2, 1987, or no
later than January 31, 1988. A November 10, 1987, amendment to the Purchase Agreement designated the closing date
as November 10, 1987.
8
In 1987, “during due diligence to acquire the Property then being operated by Corning,
[plaintiff] sent an environmental consultant, Mary Elizabeth Ford (‘Ford’), to conduct an
environmental audit.” (Defs Resp. Stmt. (DE 195) ¶ 24). “Ford was employed as an in-house
environmental consultant by Nixon Hargrave[,] [plaintiff’s] New York law firm.” (Id. ¶ 25). In a
November 5, 1987, “Office Memorandum,” (the “Ford Memo”), Ford summarized results of a “soil
vapor survey” conducted by another consulting firm, “H&A,” including the following observations:
[1]
During testing in the vicinity of the dry well near the chemical storage
building,11 a significant amount of contamination was detected. While a
number of compounds were observed, the most significant appear to be
chlorinated solvents. One of the compound peaks had a retention time
(which is the way a compound’s identity is determined) very similar to
trichloroethene [sic] (‘TCE’) although, it is possible that it may be freon or
both TCE and [f]reon. Levels near the dry well taken from the surface were
generally in the range of 800 ppb to 1,000 ppb (1 ppm).
[2]
The ‘dry well’ was later pulled out of the ground by a backhoe. The dry well
consisted of a concrete pipe approximately 8 inches in diameter and about 4
feet long. The area around and beneath the dry well were also excavated.
Based upon this excavation, there is no indication that there ever had been
any ‘floor’ to the dry well. The soil immediately below the dry well had a red
clayey appearance, although it also had gravel and other material in it so it
was not purely clay. The removed soils had a very strong odor, easily
detected from one hundred feet away. A soil vapor probe hole was placed in
the bottom of the excavation (hence the sampling depth was approximately
6-8 feet below ground level. The soil vapor reading indicated approximately
80-100 parts per million (80,000-100,000 ppb) of one or more chlorinated
solvents.
11
There is not a site plan, map, or diagram, included with the Ford Memo in the record. There are,
however, a number of maps in the record generated around and after the time of the Ford Memo showing the undisputed
locations of various items and locations referenced in the Ford Memo. For illustrative purposes, the court includes as
appendices to this order multiple maps generated in environmental reports and assessments from November 1987 up to
the time of the litigation in the instant case, which maps collectively show the locations of the plant, dry well, and other
buildings and features on the Property, with later maps also showing locations of monitoring wells and remediation wells
later installed on the Property. See Order Appendix 1, for a map drawn by the state, showing approximate location of
dry well, chemical storage building, and plant, at the Property; see Order Appendix 2 for a contour map showing
surrounding area.
9
[3]
Upon learning that one of the higher concentration compounds “looked” very
similar to TCE, I questioned plant personnel further and learned that TCE
had been used in a small vapor degreaser operation from approximately 1965
to 1972. I spoke with Clark Wormer, shift foreman for the resistor line
(where two small TCE vapor degreasers were located) during this timeframe.
He had no recollection of how often the degreasers were used, how often
they were cleaned out, or what was done to the material that was removed
from the degreaser. In all the other samples we did on the property, however,
we saw no other indications of any significant TCE contamination.
[4]
Since the area that appeared to [the] ‘upgradient’ of the dry well had higher
surficial readings than the area ‘downgradient’ of the dry well, I questioned
plant personnel further as to possible explanations. I learned that, some time
ago, ‘empty’ drums were stored on a concrete pad on the east side of the
chemical storage building until they were sent off-site for disposal. Since the
‘triangular’ fingerprint of contamination in this area extends back to the pad
and the building, it is a safe assumption that at least some of the
contamination we detected was due to runoff from this concrete pad and
former drum storage area, as well as from the former dry well.
[5]
While we were able to generally determine the surficial area impacted, the
deeper soils apparently have higher levels of contamination than do the
shallower soils and thus the overall size of the impacted area may be much
larger than the triangular pattern identified during the soil gas survey.
Likewise it is impossible at the juncture to gauge how deep the
contamination goes or whether (and in what levels) it has reached the
underlying ground water (judged to be approximately 20 feet or deeper
beneath ground surface near the former drywell).
(DE 182 at 229-235).
On November 10, 1987, on or near the time of closing on the sale of the Property, plaintiff
and defendant Corning entered into a letter agreement (“Letter Agreement”) “to confirm and amplify
the respective rights and obligations of [defendant] Corning and [plaintiff] under the [Purchase
Agreement,” including in reference to “the possibility that certain sites located on the [Property] as
identified” on a “Schedule A” thereto, in pertinent part “[t]he area in the vicinity of a certain dry
well near a chemical storage building on the [Property].”
(DE 181 at 380, 383). Therein,
defendant Corning “agrees to effect all remedial measures required by law or regulation with respect
10
to” circumstances described in the Letter Agreement, and provides additional terms for
indemnification in conjunction with § 12.7 of the Purchase Agreement. (Id. at 381).
In a November 1987 pollution incident reporting form, the state noted that “[a]n injection
well (concrete sump) tied to floor drains in virgin solvent storage shed was discovered during an
environmental audit; preliminary soil sample analysis indicates high concentrations of chlorinated
hydrocarbons.” (DE 181 at 452). It also noted that as of November 16, 1987, “concrete casing has
been removed [from the dry well] and soil gas survey has been initiated; will begin soil removal and
investigation.” (Id. at 454). It also included a site map of the incident area. (Id. at 455; see Order
Appendix 1). In a November 25, 1987, letter to defendant Corning, the state requested that
defendant Corning “initiate steps to mitigate this incident . . . includ[ing] determining the vertical
and areal extent of any soil and groundwater contamination.” (DE 181 at 61).
In a December 7, 1987, report, H&A summarized results of its “soil vapor investigation,”
noting that “[s]ampling was conducted by advancing a small diameter probe 2 to 3 ft. below the
ground surface . . . to obtain a small volume of soil vapor.” (DE 196 at 7). “Sampling at increasing
distances from the drywell/chemical storage building down the drainage swale to the south showed
consistently decreasing levels of . . . TCE.” (DE 196 at 8). In addition, H&A noted, “[o]f the
several other areas on the site tested none appeared to show significantly elevated concentrations
of volatile organic compounds,” such as TCE. (Id.). The report included a list of sample readings,
as well as a map showing the location of samples taken. (Id. at 10-11; see Order Appendix 3). A
Nixon, Hargrave “Report on the Preacquisition Environmental Audits” noted that “other than [this]
soil gas survey limited to areas having some indications of contamination, no soil or water testing
11
was conducted.” (Nixon, Hargrave, Devans & Doyle, Report of Pre-acquisition Audit (DE 182 at
283)).
A March 2, 1989, Law Environmental, Inc., report submitted to defendant Corning provided
initial “data and information for hydrogeological characterization” for the Property. (DE 181 at 31).
It provides information on three “ground-water monitoring wells” that were constructed in January
1989 “to monitor for industrial solvents in ground-water,” with a map showing the locations of the
monitoring wells denominated “MW-1,” which is upgradient of both the chemical storage building
and the dry well, and “MW-2” and “MW-3”, which are “downgradient.” (DE 181 at 36, 41, 42, 56;
see Order Appendix 4). It also provides information on levels of TCE detected at each of the
monitoring wells, including “MW-1.” (DE 181 at 37-38, 42, 46-48, 50-52, 56).
A June 14, 1989, Law Environmental, Inc., report submitted to defendant Corning stated that
537.8 tons of “contaminated soil” were removed from the vicinity of the former dry well between
May 8, 1989, and May 16, 1989, and that “soils remain that exceed [state] concentration levels for
volatile organics.” (DE 201-2). The state suggested in August 3, 1989, letter to defendant Corning
that concerns remained “that the residual levels of contamination may provide a continuing release
to the groundwater,” and “[t]his may require Corning to provide an impermeable cap to reduce
migration and a groundwater recovery system.” (DE 201-3 at 2).
In accordance with a “Remedial Action Plan,” dated September 25, 1991, defendant Corning
began remediation of groundwater at the Property in 1992, operating a “pump and treat system”
continuously from that date through November, 2008, with a suspension from July 1996 to January
1997. (DE 201-4 at 6; 201-4 at 27). In 1993 defendant Corning leased from plaintiff for $1 per year
a portion of the property (the “Outparcel”) to enable it to install and operate the pump and treat
12
system. (DE 206 at 35-37, 77; see Order Appendix 5 (showing Outparcel as “Site Boundary”). On
June 11, 2012, AMEC submitted a report to defendant Corning stating that “Corning/AVX opted
to stop operation of the full time pump and treat groundwater remediation system in anticipation of
entering the [REC] Program.” (DE 201-4 at 27).
On June 28, 2012, AMEC submitted a “Data Gap and Remediation Strategy” report to
defendant Corning (hereinafter, the “Data Gap Report”) that contained the following conclusions
about the need for further assessment of contamination:
[1]
Based on the data obtained, additional assessment is required to delineate the
vertical and lateral extent of the [subject contaminants] in the [specified
groundwater] zones, as well as to determine the horizontal limit of impact in
the shallow saprolite aquifer. In addition, it needs to be determined if the
[subject contaminants] have migrated off the property and if the
concentrations of [subject contaminants] present a vapor intrusion threat to
the residential properties to the east. . . . Additional surface water testing is
necessary off-site to determine concentrations in the surface water in the
residential areas.
[2]
The soil data collected as part of this data gap evaluation demonstrated that
minor concentrations of [subject contaminants] remain in the former
excavation area. . . .
[3]
A vertical downward groundwater flow gradient was measured in deep
saprolite to [specified groundwater] wells and deeper into bedrock. This
indicates that contamination is being transported deeper. The vertical extent
of the [subject contaminants] impact has not been defined. Horizontal
groundwater movement in shallow and deep saprolite zones indicate
groundwater to surface water pathways are present and that off-site
groundwater impact is highly possible with vapor intrusion issues yet to be
evaluated that could impact off-site residents. . . .
[4]
The remediation strategy and cost evaluation was based on the incomplete
vertical and horizontal definition of the groundwater plume. Soil remediation
was determined to not be a major factor in selection of a remediation
technology for the site, unless additional source areas are found at a later
date. . . .
13
[5]
The groundwater site pump and treat system should be operated in a limited
capacity to further detain plume movement off site until a permanent
treatment solution is implemented, or until it is known that no off-site
impacts to human health are present (i.e., via surface water exposure, vapor
intrusion, etc.).
[6]
The site should be moved into the [REC] program to complete [remedial
investigation] activities and begin remedial activities. The [remedial
investigation] activities should be completed to confirm there is no threat to
nearby residences either due to the intrusion of vapors, or exposure to
impacted surface water. Prior to implementation of any remediation strategy,
the extent of impact must be defined in groundwater. . . .
(DE 181 at 488-489). Around that time, “[t]he decision was made to not enter the [REC] Program
and to repair and reactivate the remediation system,” which was reactivated in March 2013. (DE
201-4 at 49). Also in 2013, plaintiff ceased manufacturing operations at the plant and closed the
plant. (Himberger Dep. 7).12
On September 12, 2013, the state sent defendant Corning a “Notice of Regulatory
Requirements for Contaminant Assessment and Cleanup,” which stated:
To comply with the requirements of State law, a Site Cleanup Questionnaire . . . must
be completed and returned to this office. The information you provide will be
reviewed along with other information to prioritize the site, so please make certain
that the information you provide is complete and accurate.
(Defs’ App’x (DE 206) 689-690). It further stated:
[P]ersons who move forward to assess and remediate contamination, without being
compelled to do so through formal legal action filed against them, are called
‘volunteers.’ To participate in the voluntary cleanup program, you will be required
to enter into an administrative agreement with [the state]. The voluntary cleanup will
proceed through the [REC Program] or under direct oversight by the [state agency].
(Id. at 690). It then described the REC program as follows:
12
Page numbers in citations to depositions reference the page number shown on the face of the deposition
transcript, and not page numbers of a particular docket entry (DE) number, where excerpts of depositions in some
instances are filed in multiple locations in the record.
14
The [state] has a privatized oversight arm of the voluntary cleanup program known
as the Registered Environmental Consultant (‘REC’) program. Based on the
responses provided on the questionnaire (degree of hazard and public interest in the
site), the [state] will determine whether a staff person or an REC will perform the
oversight and approval of your assessment and cleanup action. Please note that
having one or more of the conditions identified on the questionnaire does not
necessarily preclude the site for qualifying for an REC-directed cleanup action.
(Id. at 690-691).
In response to this state directive, defendant Corning sent the state a “Site Cleanup
Questionnaire Response” (hereinafter the “REC Program Questionnaire Response”), which
contained the following responses to seven questions posed:
[1] “Are site surface soils known to be contaminated? - NO”
[2] “Is site sediment or surface water known to be contaminated? - NO”
[3] “Are hazardous vapors, air emissions or contaminated dust migrating into
occupied residential, commercial or industrial areas? If yes, or unknown, please
explain on separate page. – NO”
[4] “Have hazardous substances known to have migrated off property at
concentrations in excess of [state] unrestricted-use remediation goals? If yes, or
unknown, please explain on a separate page. – NO”
[5] “Has the local community expressed concerns about contamination at the site?
– NO”
[6] “Based on current information, are there any sensitive environments located on
the property? If yes, or unknown, please explain on a separate page. – NO”
[6] “Based on current information, has contamination from the site migrated into any
sensitive environments? If yes, or unknown, please explain on a separate page. –
NO”
(Pl’s Stmt. of Facts (DE 234) ¶ 26; see Defs’ App’x (DE 206) 702-704)).
On or about March 10, 2014, the state sent Corning a “Notice of REC Program Eligibility,”
which stated, in part:
15
Thank you for submitting the Site Cleanup Questionnaire (Questionnaire) for the
above subject site (Site) and the follow-up Report of 4th Quarter Groundwater
Monitoring 2013 prepared by AMEC Environment & Infrastructure, Inc. The
Inactive Hazardous Sites Branch (Branch) has completed review of the
Questionnaire and determined that the Site can be cleaned up through the Registered
Environmental Consultant (REC) Program without direct oversight by Branch Staff.
Only the sites with the highest risks receive direct oversight by state staff.
(Pl’s Stmt. of Facts (DE 234) ¶ 43; Defs’ App’x (DE 206) 735-36). On October 8, 2015, defendant
Corning entered into a REC Program Administrative Agreement with the state. (Pl’s Stmt. of Facts
(DE 234) ¶ 44; Defs’ App’x (DE 207) 1156-73).
In or about March 2016, plaintiff demolished the plant building, but not the concrete slab
underlying the building. (See Duncklee Decl. ¶ 3 (DE 199 at 263)). On June 2, 2016, the state noted
in letter to plaintiff that the United States Environmental Protection Agency (“EPA”) had informed
the state of plaintiff’s anticipated “demolition and redevelopment activities” at the Property. (DE
198 at 229). The letter encouraged plaintiff “to perform a thorough environmental assessment prior
to conducting any future demolition or redevelopment activities at the [Property] to determine
current site conditions.” (Id.). The letter stated that a “thorough assessment of the [Property] is
critical . . . to ensure that . . . activities conducted on [the Property] do not cause any contaminants
to migrate off-property or to areas of the [Property] not previously impacted.” (Id.). The letter also
recommended that plaintiff “consider undertaking a voluntary cleanup action to address any
contaminated areas not currently being addressed by [defendant] Corning” under the REC Program.
(Id.).
In a June 2, 2016, email, the EPA questioned whether “[e]xposing source areas (if there are
any) under the slab could potentially cause impacts to the stream and/or change the TCE plume in
the groundwater?” (DE 198 at 231). In a June 22, 2016 email, the EPA noted that “[t]he reports that
16
[plaintiff] provided do[] not demonstrate that the sub-slab area of the building has been thoroughly
assessed,” and it reiterated “concern for potential source areas of chlorinated solvents that may exist
under the slab.” (DE 198 at 234). It further “strongly encourage[d]” plaintiff to enter the REC
program, and it cautioned against “removal of the slab prior to a thorough assessment . . . as it could
exasperate [sic] a problem.” (Id.).
In July 2016, plaintiff’s consultant, Arcadis, concluded that it “believes that removal of the
slab before assessment of the sub-slab soil is both a technically sound and preferred approach.” (DE
182 at 331). Plaintiff removed the concrete slab for the main floor and basement in October and
November 2016. (DE 198 at 257). According to Arcadis, soil samples taken after slab removal
detected “TCE, primarily in the western half of the basement area.” (Id. 259). Plaintiff also
excavated soil in the area where a “blue-green substance was identified below the concrete slab on
the western side of the main floor.” (Id. at 257). The removal of slab and excavation of soil left
a exposed basin that filled with rainwater during April 2017. (DE 198 at 291).
On November 9, 2017, the state issued an enforcement order that determined that defendant
Corning’s REC Program Questionnaire Response included several misrepresentations. Where the
response indicated that “surface water was not known to be contaminated,” this was not true because
Registered Site Manager (“RSM”), Daniel Shields, was aware of “documented surface water
contamination.” (DE 182 at 15). Where, the response answered “no” to the question “Have
hazardous substances known to have migrated off property . . . ?” this was not true because the RSM
was aware of “documented . . . groundwater quality exceedances” at the property and such
“groundwater was flowing toward the property boundary.” (DE 182 at 16).
17
In October 2018, defendant Corning’s REC Program engineer, Wood Environmental &
Infrastructure Solutions, Inc. (“Wood”), prepared a remedial investigation report pertaining to a
9.63-acre portion of the Property that is subject of the REC Program Administrative Agreement (the
“AA-Site”). According to the Wood report “[a]lthough the AA-Site conditions are well defined and
understood, extensive data . . . document that other source areas of volatile organic compounds
(VOCs) and other [contaminants of concern] are present in the soil and groundwater under and about
the footprint of the former [plant] located to the north of the AA-Site.” (DE 199 at 11). It also noted
that “without [the state’s] assistance to require [plaintiff] to address its upgradient source areas
beneath the [former plant], Corning will not be able to fully remediate subsurface [contaminants of
concern] impacts at the AA-Site.” (Id.).
On May 10, 2019, the state issued a notice of violation to defendant Corning based upon the
statements in the REC Program Questionnaire Response as detailed in prior enforcement orders,
stating: “Corning made false statement(s), representations or certifications in violation” of REC
Program rules. (DE 263-1 at 1-2).
Additional facts pertinent to each of the claims are set forth in the analysis below.
COURT’S 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). The party seeking summary judgment “bears the initial responsibility of informing the district
court of the basis for its motion, and identifying those portions of [the record] which it believes
18
demonstrate the absence of a genuine issue of material fact.” Celotex Corp. v. Catrett, 477 U.S. 317,
323 (1986).
Once the moving party has met its burden, the non-moving party must then “come forward
with specific facts showing that there is a genuine issue for trial.” Matsushita Elec. Indus. Co. Ltd.
v. Zenith Radio Corp., 475 U.S. 574, 586-87 (1986) (internal quotation omitted). Only disputes
between the parties over facts that might affect the outcome of the case properly preclude the entry
of summary judgment. See Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 247-48 (1986) (holding
that a factual dispute is “material” only if it might affect the outcome of the suit and “genuine” only
if there is sufficient evidence for a reasonable jury to return a verdict for the non-moving party).
“[A]t the summary judgment stage the [court’s] function is not [itself] to weigh the evidence
and determine the truth of the matter but to determine whether there is a genuine issue for trial.” Id.
at 249. In determining whether there is a genuine issue for trial, “evidence of the non-movant is to
be believed, and all justifiable inferences are to be drawn in [non-movant’s] favor.” Id. at 255; see
United States v. Diebold, Inc., 369 U.S. 654, 655 (1962) (“On summary judgment the inferences to
be drawn from the underlying facts contained in [affidavits, attached exhibits, and depositions] must
be viewed in the light most favorable to the party opposing the motion.”).
Nevertheless, “permissible inferences must still be within the range of reasonable probability,
. . . and it is the duty of the court to withdraw the case from the [factfinder] when the necessary
inference is so tenuous that it rests merely upon speculation and conjecture.” Lovelace v. SherwinWilliams Co., 681 F.2d 230, 241 (4th Cir. 1982) (quotations omitted). Thus, judgment as a matter
of law is warranted where “the verdict in favor of the non-moving party would necessarily be based
on speculation and conjecture.” Myrick v. Prime Ins. Syndicate, Inc., 395 F.3d 485, 489 (4th Cir.
19
2005). By contrast, when “the evidence as a whole is susceptible of more than one reasonable
inference, a [triable] issue is created,” and judgment as a matter of law should be denied. Id. at 48990.
B.
Analysis
1.
Plaintiff’s Twelfth and Thirteenth Claims
Defendants move for summary judgment on plaintiff’s twelfth and thirteenth claims, for
negligent misrepresentation and UDTPA. Plaintiff’s motion for summary judgment on its own
claims also concerns in part the same claims. For the following reasons, defendants’ motion as to
these claims is granted and plaintiff’s motion as to these claims is denied.
“The tort of negligent misrepresentation occurs when a party justifiably relies to his
detriment on information prepared without reasonable care by one who owed the relying party a duty
of care.” Raritan River Steel Co. v. Cherry, Bekaert & Holland, 322 N.C. 200, 206 (1988). To
establish a UDTPA claim based on a misrepresentation, a plaintiff must show “actual reliance” on
the misrepresentation and that such reliance was the proximate cause of the injury. Arnesen v. Rivers
Edge Golf Club & Plantation, Inc., 368 N.C. 440, 452 (2015); Bumpers v. Cmty. Bank of N.
Virginia, 367 N.C. 81, 88 (2013).
Here, plaintiff’s negligent misrepresentation and UDTPA claims fail because plaintiff has
not demonstrated a genuine issue of material fact that it actually relied upon the alleged
misrepresentations forming the basis of the claims. In its August 2018 order, the court limited
plaintiff’s negligent misrepresentation and UDTPA claims to the allegation that defendants “falsified
the REC Program Eligibility Questionnaire Response in an effort to avoid State oversight of the
remediation,” and completed and submitted “the false REC Program Eligibility Questionnaire
20
Response.” (Order (DE 164) at 18-19 (quoting Compl. ¶¶ 182, 192); see also id. at 21 (“Those parts
of plaintiff’s UDTPA and misrepresentation claims based upon the REC Program Questionnaire
Response remain.”).
Plaintiff has not demonstrated it relied on defendants’ alleged misrepresentations in the REC
Program Questionnaire Response. Indeed, it is undisputed that plaintiff did not receive, see, or
review the REC Program Questionnaire Response when it was submitted to the state. (See Pl’s
Stmt. of Facts (DE 234) ¶¶ 28-31, 34, 36-40, 42; Pl’s Resp. pp. 12-13). These undisputed facts
preclude as a matter of law a determination that plaintiff actually relied upon the misrepresentations
in the REC Program Questionnaire Response. See Arnesen, 368 N.C. at 452.
Plaintiff suggests nonetheless that it relied more generally upon defendants’ entry into the
REC program to its detriment. Plaintiff asserts that defendants “requested AVX’s consent for
Corning to enter the REC Program after having gained eligibility under false pretenses.” (Pl’s Stmt.
of Facts (DE 234) ¶ 36) (emphasis added). According to plaintiff, it “gave that consent in reliance
on Corning’s supposed truth and honesty in gaining eligibility to enter the REC Program.” (Id.).
But, the fact that the state granted defendants eligibility to enter into the REC Program is not a
misrepresentation. It is an undisputed fact that the state granted defendants eligibility to enter into
the REC program. (Id.). While plaintiff may have relied to its detriment upon defendants’ entry into
the REC program, this is not the misrepresentation that forms the basis for plaintiff’s negligent
misrepresentation and UDTPA claims.
Plaintiff also suggests that it may proceed on a theory of “indirect reliance.” (Pl’s Resp. 15).
According to plaintiff, “[i]t is sufficient to extend the duty of care to a third party if the entity
preparing the statement: (1) knows that the third party will rely on its accuracy; and (2) knows that
21
the third party would rely on the information, or knows the recipient intended to supply the
information to a third party who would rely.” (Id. (citing Raritan, 322 N.C. at 214; Anneson, 368
N.C. at 467 (Hudson, J., concurring in part and dissenting in part)).
The North Carolina Supreme Court has recognized potential liability for “Information
Negligently Supplied for the Guidance of Others” as follows:
(1) One who, in the course of his business, profession or employment, or in any other
transaction in which he has a pecuniary interest, supplies false information for the
guidance of others in their business transactions, is subject to liability for pecuniary
loss caused to them by their justifiable reliance upon the information, if he fails to
exercise reasonable care or competence in obtaining or communicating the
information.
(2) The liability stated in Subsection (1) is limited to loss suffered
(a) by the person or one of a limited group of persons for whose benefit and
guidance he intends to supply the information or knows that the recipient
intends to supply it; and
(b) through reliance upon it in a transaction that he intends the information
to influence or knows that the recipient so intends or in a substantially similar
transaction.
Raritan, 322 N.C. at 209 (quoting Restatement (Second) of Torts § 552 (1977)) (emphasis added).
For example, “under the Restatement approach[,] an accountant who audits or prepares financial
information for a client owes a duty of care not only to the client but to any other person, or one of
a group of persons, whom the accountant or his client intends the information to benefit; and that
person reasonably relies on the information in a transaction, or one substantially similar to it, that
the accountant or his client intends the information to influence.” Id. at 210 (emphasis added). “If
the requisite intent is that of the client and not the accountant, then the accountant must know of his
client’s intent at the time the accountant audits or prepares the information.” Id.
22
This standard recognized in Raritan is inapposite in several respects based upon the language
emphasized above. First, there is no plausible basis to infer that defendants “supplie[d] false
information for the guidance of others in their business transactions” in submitting the REC Program
Questionnaire Response. Id. at 209. Rather, defendant Corning submitted the REC Program
Questionnaire Response to the state directly in response to the state’s request to defendant Corning.
Second, there is no plausible basis to infer that plaintiff was “the person . . . for whose benefit and
guidance [the defendant] intend[ed] to supply the information or knows that the recipient intend[ed]
to supply it.” Id. Defendant Corning supplied the information to the state, and there is no evidence
that defendants intended to supply it to plaintiff or knew that the state intended to supply it to
plaintiff. Moreover, there is no plausible basis to infer that defendants intended to supply “the
information” – that is, the actual asserted misrepresentations – to plaintiff or to have the state supply
that information to plaintiff. Id.
Plaintiff argues that it has demonstrated “indirect reliance” due to the “special and unique”
nature of the REC Program in which defendants and the REC/RSM “are all in a position of trust and
confidence in addressing site conditions and protecting the property.” (Pl’s Resp. (DE 233) 16).
But, recognition of the special and unique position of trust and confidence defendants owed to the
state as part of entry into the REC Program does not establish the same position of trust and
confidence to plaintiff. In addition, the asserted special and unique position of trust and confidence
under the REC Program does not bring defendants’ conduct within the “indirect reliance” rule of
Raritan. Indeed, plaintiffs cite no case in which a court has found “indirect reliance” under
circumstances, as here, where a plaintiff never received, saw, or reviewed, asserted
misrepresentations made by a defendant to a third party.
23
Notably, plaintiff cites to a portion Anneson, (see Pl’s Resp. (DE 233) 15 (citing 368 N.C.
at 467), where the dissenting judge would have limited the holding in Raritan, followed an earlier
North Carolina Court of Appeals case, and allowed claims of negligent misrepresentation and
UDTPA to proceed. See 368 N.C. at 467, 475 (Hudson, J., dissenting in part). By contrast, the
majority in Anneson held in pertinent part that a defendant appraiser was not liable to a purchaser
of real property, where, in pertinent part, the plaintiff failed to show actual reliance upon asserted
misrepresentations in an appraisal report submitted to a bank. See 368 N.C. at 454-455.
Plaintiff also cites to Marcus Bros. Textiles v. Price Waterhouse, LLP, 350 N.C. 214, 220
(1999). However, in Marcus Bros., there was a genuine issue of material fact that plaintiffs had
actually seen the audited financial statements at issue. In particular, the court noted plaintiff’s claim
that the “financial statement audited by Price Waterhouse contained several material
misrepresentations and reflected numerous departures from Generally Accepted Accounting
Principles . . . and that Price Waterhouse’s failure to alert readers of the financial statement to those
departures violated Generally Accepted Auditing Standards.” 350 N.C. at 216–17 (emphasis added).
In addition, the court noted that “Piece Goods [the client of the auditor] has been sending its audited
financial statements to Marcus Brothers [the plaintiff] since 1983, and that these financial statements
were regularly used in determining whether to extend credit to Piece Goods.” Id. at 221. The court
“conclude[d] it can reasonably be inferred that Price Waterhouse knew Piece Goods regularly
provided copies of its financial statements to a limited group of major trade creditors, of which
group Marcus Brothers was a member.” Id. at 224.
In sum, the cases cited by plaintiff undermine, rather than support, its theory of relief.
Plaintiff’s twelfth and thirteenth claims for negligent misrepresentation and UDTPA fail as a matter
24
of law because plaintiff cannot demonstrate a genuine issue of material fact that it relied upon
defendants’ asserted misrepresentations. Therefore, defendants’ motion for summary judgment as
to these negligent misrepresentation and UDTPA claims (DE 200) is granted, and plaintiff’s motion
for summary judgment (DE 203) is DENIED in that part pertaining to these same claims.
2.
Secondary Defendants
a.
CERCLA Claims Against Secondary Defendants
The secondary defendants move for summary judgment on plaintiff’s CERCLA claims
against them (claims one, two, four, and five), on the basis that they are not potentially responsible
persons (“PRPs”) under CERCLA.
Plaintiff must establish as an element of each of its CERCLA claims that the secondary
defendants are PRPs, through proof that they were owners of the Property, engaged in operations
at the Property, or arranged for the disposal of hazardous substances at the Property. See 42 U.S.C.
§ 9607(a) (providing liability for “the owner and operator” and “any person who . . . arranged for
disposal or treatment”); 42 U.S.C. § 9613(f)(1) (providing right to “seek contribution from any other
person who is liable or potentially liable under [§ 107(a)]”); 42 U.S.C. § 9613(g)(2) (allowing for
relief in the form of “declaratory judgment on liability for response costs” in an action for recovery
of response costs under § 107(a)); PCS Nitrogen Inc. v. Ashley II of Charleston LLC, 714 F.3d 161,
167 (4th Cir. 2013) (stating that for a cost-recovery claim under § 107(a) of CERCLA, 42 U.S.C.
§ 9607(a), plaintiff must establish “the defendant is a potentially responsible person (‘PRP’)”).
Here, it is undisputed that the secondary defendants “did not own the Property, operate the
manufacturing facility at the Property, or dispose of hazardous substances at the Property.” (Pl’s
Resp. Stmt. of Facts (DE 232) ¶¶ 2-6). Therefore, plaintiff’s CERCLA claims against the secondary
25
defendants fail as a matter of law, and their motion for summary judgment must be granted in this
part.
Plaintiff nonetheless asserts that its CERCLA claims may proceed against the secondary
defendants on the basis that they agreed in the Purchase Agreement to “‘be responsible for paying
and satisfying’ liabilities and obligations for the violation of environmental laws at the Property.”
(Pl’s Resp. (DE 231) at 13 (quoting Sept. 5, 1987, Agreement of Purchase and Sale [Purchase
Agreement] (DE 181) at 332). This assertion, however, is a claim under contract law that the
secondary defendants are liable to plaintiff by virtue of a contract, the Purchase Agreement, not by
virtue of establishing the elements of a CERCLA claim. The court addresses plaintiff’s grounds for
contract liability against the secondary defendants in the next section. Plaintiff’s instant assertion
of liability based upon the Purchase Agreement does not support the CERCLA claims it pleaded,
which are premised upon establishing the necessary element that the secondary defendants are
owners, operators, or arrangers at the property. (See, e.g., Compl. ¶¶ 112-113, 121).
Cases cited by plaintiff are not to the contrary. In each, the court addressed the issue whether
one party was liable to another by virtue of an indemnification agreement or other contract for
assumption of environmental liabilities, under state law principles of contract interpretation and
enforcement. See, e.g, Olin Corp. v. Consol. Aluminum Corp., 5 F.3d 10, 15 (2d Cir. 1993) (“The
parties agree that New York state law is to be applied in interpreting these [indemnification]
Agreements.”); United States v. S.C. Recycling & Disposal, Inc., 653 F. Supp. 984, 1013 (D.S.C.
1984) (“[A]s between private parties, liability may be dealt with contractually in such manner as the
parties agree.”) aff’d in part, vacated in other part sub nom. United States v. Monsanto Co., 858 F.2d
160 (4th Cir. 1988); U.S. Bank Nat. Ass’n v. U.S. E.P.A., 563 F.3d 199, 205–06 (6th Cir. 2009)
26
(examining “[u]nder Ohio law” whether an agreement between the parties assigned “liability for all
hazardous substance disposal” under certain conditions).
In sum, plaintiff’s CERCLA claims against the secondary defendants (first, second, fourth,
and fifth claims) fail as a matter of law and must be dismissed. The secondary defendants’ motion
for summary judgment thus is granted in this part.
b.
Breach of Contract Claim Against Secondary Defendants
The secondary defendants move for summary judgment on plaintiff’s breach of contract
claim (claim one) and state law declaratory relief claim (claim eleven) against them, on the basis that
they are not obligated to plaintiff by the relevant contractual provisions.
The elements of a breach of contract claim under New York law13 are “the existence of a
facially valid contract, breach and damages.” Mercantile & Gen. Reinsurance Co., plc v. Colonial
Assur. Co., 624 N.E.2d 629, 630 (N.Y. 1993). “[W]ritten agreements are construed in accordance
with the parties’ intent[,] and the best evidence of what parties to a written agreement intend is what
they say in their writing.” Schron v. Troutman Sanders LLP, 986 N.E.2d 430, 433 (N.Y.2013)
(internal quotations omitted). “As such, a written agreement that is complete, clear and unambiguous
on its face must be enforced according to the plain meaning of its terms.” Id. (internal quotations
omitted).
13
The parties cite both New York law and North Carolina law for principles of contract law governing
plaintiff’s breach of contract claim. The Purchase Agreement, which is the primary contract under which plaintiff bases
its contract claim against the secondary defendants, states that it shall be “construed under and in accordance with the
laws of the State of New York.” (DE 181 at 376). By contrast, the Letter Agreement, which applies specifically to
defendant Corning, and the Property in Raleigh, North Carolina, does not mention choice of law. (DE 181 at 380-383).
Although the parties do not identify any material difference between North Carolina and New York contract law as
applicable to the instant motion, defendants apply New York law specifically with respect to indemnification agreements.
(See Reply (DE 253) at 5). Accordingly, for purposes of the instant motion, the court applies New York law.
27
“The entire contract must be reviewed and particular words should be considered, not as if
isolated from the context, but in the light of the obligation as a whole and the intention of the parties
as manifested thereby.” Riverside S. Planning Corp. v. CRP/Extell Riverside, L.P., 920 N.E.2d 359,
363 (N.Y.2009) (quotations omitted). “[W]hen considering isolated, potentially conflicting
provisions, so long as a contract ‘makes clear the parties’ over-all intention,’ a court ‘should then
choose that construction which will carry out the plain purpose and object of the agreement.’” PCS
Nitrogen, 714 F.3d at 173 (quoting Kass v. Kass, 696 N.E.2d 174, 181 (N.Y. 1998)). “In
harmonizing provisions, however, ‘no provision of a contract should be left without force and
effect.’” Id. (quoting Muzak Corp. v. Hotel Taft Corp., 133 N.E.2d 688, 690 (N.Y. 1956)).
“While the meaning of a contract is ordinarily a question of law, when a term or clause is
ambiguous and the determination of the parties’ intent depends upon the credibility of extrinsic
evidence or a choice among inferences to be drawn from extrinsic evidence, then the issue is one
of fact.” Amusement Bus. Underwriters, a Div. of Bingham & Bingham, Inc. v. Am. Int’l Grp., Inc.,
489 N.E.2d 729, 732 (N.Y. 1985). “A contract is unambiguous if the language it uses has a definite
and precise meaning, unattended by danger of misconception in the purport of the agreement itself,
and concerning which there is no reasonable basis for a difference of opinion.” Greenfield v. Philles
Records, Inc., 780 N.E.2d 166, 170-71 (N.Y. 2002). “Ambiguity in a contract arises when the
contract, read as a whole, fails to disclose its purpose and the parties’ intent or where its terms are
subject to more than one reasonable interpretation.” Universal Am. Corp. v. Nat’l Union Fire Ins.
Co. of Pittsburgh, Pa., 37 N.E.3d 78, 80 (N.Y. 2015) (internal quotations omitted). “Ambiguity is
present if language was written so imperfectly that it is susceptible to more than one reasonable
interpretation.” Brad H. v. City of New York, 951 N.E.2d 743, 746 (N.Y. 2011).
28
Plaintiff asserts several theories of breach of contract in the complaint, for which plaintiff
has not demonstrated a genuine issue of material fact as to liability for the secondary defendants.
First, plaintiff asserts that “Corning,” defined in the complaint as all defendants, “failed to pursue
assessment and remediation of the hazardous substances and other constituents it disposed of and
released at, on and from the Property.” (Compl. ¶ 131). Plaintiff notes in the complaint that the
Letter Agreement requires “Corning,” defined in the complaint as all defendants, to “effect all
remedial measures required by law or regulation.” (Id. ¶ 130 (quoting Letter Agreement (DE 181
at 381)). However, the Letter Agreement is executed only by Corning Glass Works (predecessor
to defendant Corning),14 and it states that “Corning agrees to effect all remedial measures required
by law.” (DE 181 at 381). In turn, “Corning” is given the definition provided in the Purchase
Agreement, specifically Corning Glass Works (again, predecessor to defendant Corning). (Id. at 380;
Purchase Agreement, Recitals and § 1.19 (DE 181 at 318 and 320)). Thus, the Letter Agreement
does not provide a basis for breach of contract liability against the secondary defendants.
Second, plaintiff asserts that “Corning,” defined in the complaint as all defendants, agreed
to “indemnify and hold AVX, its directors, officers, employees and affiliates harmless from and
against ‘any and all claims, liabilities, losses, damages, costs and expenses, including reasonable
counsel fees’” arising out of, or relating to environmental contamination at the Property, under §
12.1 of the Purchase Agreement (Compl. ¶ 129 (quoting Purchase Agreement § 12.1)). Relatedly,
plaintiff notes that the Letter Agreement confirmed that plaintiff “shall be entitled to
indemnification” under § 12.1 of the Purchase Agreement. Again, however, the Letter Agreement
14
It is not an issue in dispute that defendant Corning is responsible under the Purchase Agreement and
CERCLA as a successor to Corning Glass Works. See United States v. Carolina Transformer Co., 978 F.2d 832, 837
(4th Cir. 1992).
29
does not apply to the secondary defendants, and § 12.1 of the Purchase Agreement also refers in this
part to “Corning,” defined as Corning Glass Works (predecessor to defendant Corning). (Purchase
Agreement §§ 1.19, 12.1). Thus, the express indemnity provisions in § 12.1 of the Purchase
Agreement and the Letter Agreement do not provide any relief against the secondary defendants.
Finally, plaintiff relies upon § 3.3 of the Purchase Agreement. This section states, in
pertinent part, that “[t]he Corning Parties” (including the secondary defendants) “shall retain, and
shall be responsible for paying and satisfying . . . . all liabilities for violations of environmental
laws” applicable to the operations at the Property. (Purchase Agreement § 3.3). This section is
insufficient to impose breach of contract liability on the secondary defendants because it is
undisputed that the secondary defendants did not own the Property, operate the Property, or arrange
for disposal of any hazardous substances at the property. (Pl’s Resp. Stmt. of Facts (DE 232) ¶¶ 26). Their involvement in the Purchase Agreement extended to other assets sold as part of the
Purchase Agreement. (See, e.g., Purchase Agreement, Recitals and §§ 1.9, 1.20, 1.41, 2.1, 2.2, 2.3,
and 2.4). Therefore, the secondary defendants did not have, and could not “retain,” any liabilities
and obligations “for violations of environmental laws” applicable to the operations at the Property.
(Purchase Agreement § 3.3 (DE 181 at 332-333)).
Plaintiff argues that environmental contamination from the dry well, as well as any other
environmental contamination at the Property caused by defendant Corning, was a “Retained
Liability” that the secondary defendants are responsible for paying and satisfying, under § 3.3(d),
because the secondary defendants’ Rule 30(b)(6) witness admitted this was so. This argument is
unavailing because testimony by the secondary defendants’ Rule 30(b)(6) witness is parol evidence
that the court must not consider in interpreting the Purchase Agreement unless the Purchase
30
Agreement is ambiguous on the issue presented. See Schron, 986 N.E.2d at 433. Here, the Purchase
Agreement is not ambiguous because the meaning of the terms in § 3.3(d) can be ascertained from
the plain language of the Purchase Agreement.
In any event, testimony by the secondary defendants’ Rule 30(b)(6) witness is not probative
of the issue presented here. The testimony upon which plaintiff relies is as follows:
Q And then if we go to the next page, subparagraph D, it says in part, ‘All liabilities
for violations of environmental laws and health and safety laws applicable to such
operation, which violations existed or are based upon conditions that existed, prior
to the closing date, and to the extent such violations are not attributable to or
otherwise adversely affected by either of the purchasers’ actions.’ꞏ Do you see that?
A Yes. . . .
Q Okay. So under this agreement, that is a Retained Liability for which all of the
Corning entities that signed this agreement are responsible?
A Correct. And the last part of that also applies to AVX -- of subparagraph D -and/or Vishay, but AVX.
Q And one of the Retained Liabilities under this agreement was the situation
involving the injection well at the Raleigh property; is that right?
A That is correct.
Q And it also involved all other contamination that Corning caused at the Corning
-- I mean excuse me -- at the Raleigh property; is that right?
A If there was any other contamination attributable to Corning at the site, this
subparagraph would apply to that as well.
(Kane Dep. (DE 235) at 8-9).15 This testimony does not address the issue presented by the instant
motion, namely whether the secondary defendants are obligated for paying and satisfying liabilities
under § 3.3 where the secondary defendants did not have any pre-existing liabilities for
15
Plaintiff provides an excerpt of the deposition testimony that does not include the question preceding
the first word (“And”) of the quoted language above.
31
environmental contamination at the Property, and where it is undisputed that the secondary
defendants did not own, operate, or arrange for disposal of any hazardous waste at, the Property.
Rather, the testimony, at most, confirms that any pre-existing “liabilities for violations of
environmental laws and health and safety laws applicable to such operation [at the Property]” are
“Retained Liabilities” under § 3.3.
Plaintiff also suggests that, even if the secondary defendants do not themselves have any
liabilities due to environmental contamination at the Property, they assumed liabilities of defendant
Corning, under § 3.3 of the Purchase Agreement, or otherwise agreed to indemnify plaintiff for any
damages, including plaintiff’s attorney’s fees, arising from environmental contamination at the
Property.
Neither the law nor the plain language of § 3.3 supports this theory of relief. Under New
York law, “[w]hen a party is under no legal duty to indemnify, a contract assuming that obligation
must be strictly construed to avoid reading into it a duty which the parties did not intend to be
assumed.” Hooper Assocs., Ltd. v. AGS Computers, Inc., 548 N.E.2d 903, 905 (N.Y. 1989). In
addition, “[i]nasmuch as a promise by one party to a contract to indemnify the other for attorney’s
fees incurred in litigation between them is contrary to the well-understood rule that parties are
responsible for their own attorney’s fees, the court should not infer a party’s intention to waive the
benefit of the rule unless the intention to do so is unmistakably clear from the language of the
promise.” Id. (emphasis added). “Thus, under New York law, absent ‘unmistakably clear’ language
in an indemnification provision that demonstrates that the parties intended the clause to cover
first-party claims, an agreement between two parties ‘to indemnify’ each other does not mean that
one party’s failure to perform gives rise to a claim for indemnification.” Lehman XS Tr., Series
32
2006-GP2 by U.S. Bank Nat’l Ass’n v. GreenPoint Mortg. Funding, Inc., 916 F.3d 116, 125–26 (2d
Cir. 2019) (citations omitted). “Unless the indemnification clause refers exclusively or
unequivocally to claims between the indemnitor and indemnitee, the court must find the agreement
to be lacking evidence of the required intent to cover such claims.” Id. (quotations omitted).
In this case, while plaintiff purports to be able to recover for its own attorney’s fees and
claims directly against the secondary defendants, § 3.3 does not refer exclusively or unequivocally
with unmistakably clear language to claims between plaintiff and the secondary defendants. Indeed,
it does not refer at all to attorney’s fees or claims brought by plaintiff against defendants, including
the secondary defendants. Rather, it states that defendants, including the secondary defendants,
“shall retain, and shall be responsible for paying and satisfying the following liabilities and
obligations. . . .” including liabilities for violations of environmental law. (Purchase Agreement §
3.3 (DE 181 at 332-333)). Without specific reference to coverage of “first-party claims” between
the parties, Lehman XS, 916 F.3d at 125, or plaintiff’s attorney’s fees, the language of § 3.3 does
not support a claim for breach of contract against the secondary defendants.
By contrast, the express indemnification provisions in the Purchase Agreement and Letter
Agreement suggest that the parties intended for indemnification of plaintiff’s damages arising from
defendant Corning’s environmental contamination at the Property, including plaintiff’s attorney’s
fees, to be provided, if at all, by defendant Corning. The indemnification provision in the Purchase
Agreement expressly states that defendant Corning “will indemnify” plaintiff “against any . . .
damages, costs and expenses, including reasonable counsel fees” arising out of environmental
contamination meeting criteria described in the “Retained Liabilities” section of the Purchase
Agreement. (Purchase Agreement § 12.1 (DE 181 at 360)). The Letter Agreement further
33
“confirm[s] and amplif[ies] the respective rights and obligations of Corning [defined to comprise
only defendant Corning] and AVX” under the Purchase Agreement with respect to environmental
contamination then identified at the Property. (Letter Agreement (DE 181 at 380)). It reiterates that
plaintiff “shall be entitled to indemnification” from defendant Corning,
including for “all
Damages,” as pertinent here, “resulting from action taken pursuant to” defendant Corning’s
obligation “to effect all remedial measures required by law.” (Id. at 380-381).
The court’s interpretation of the Purchase Agreement and Letter Agreement is further
supported by the context in which they arose. At time of Purchase Agreement, on September 5,
1987, the parties did not describe specific environmental contamination at the Property. By contrast,
at the time of letter agreement, on November 10, 1987, the parties did describe specific
environmental contamination at the Property in the vicinity of the dry well, and at that time they
reinforced indemnity obligations only as to defendant Corning for such contamination, but not for
the secondary defendants. (Letter Agreement (DE 181 at 380-381)). This context further emphasizes
that there is no “unmistakably clear” language in § 3.3 of the Purchase Agreement allowing plaintiff
to recover its own damages and attorney’s fees from the secondary defendants arising out of
environmental contamination at the Property.
In sum, plaintiff has not demonstrated a genuine issue of fact as to breach of contract by the
secondary defendants. Therefore, this claim against the secondary defendants must be dismissed
as a matter of law. Where all claims against the secondary defendants must be dismissed as a matter
34
of law,16 secondary defendants’ motion for summary judgment is granted, and that part of plaintiff’s
motion for summary judgment on its claims pertaining to the secondary defendants is denied.
3.
Remaining CERCLA Claims and Counterclaims
Plaintiff brings CERCLA claims against defendant Corning,17 and defendant Corning brings
CERCLA counterclaims against plaintiff, under the cost-recovery provisions 42 U.S.C. § 9607(a),
and under the contribution provisions of § 9613(f), which are subject to plaintiff’s instant motions
for summary judgment. The court addresses these claims in turn.
a.
Section 9607(a)
Section 9607(a), which defines the scope of liability under CERCLA, provides that in
connection with a “facility”18 “from which there is a release, or threatened release which causes the
incurrence of response costs, of a hazardous substance,” four classes of persons are liable for the
response costs, two of which are relevant here:
(1) the owner and operator of a vessel or a facility, [and]
(2) any person who at the time of disposal of any hazardous substance owned or
operated any facility at which such hazardous substances were disposed of.
42 U.S.C. § 9607(a)(1), (2); see Crofton Ventures Ltd. P’ship v. G & H P’ship, 258 F.3d 292, 297
(4th Cir. 2001).
16
Where the court has already determined that plaintiff’s twelfth and thirteenth claims fail as a matter
of law as to all defendants, the court does not reach the alternative arguments raised by the secondary defendants in
support of dismissal of these claims against them.
17
For ease of reference, where the court has dismissed the secondary defendants in accordance with their
motion for summary judgment, the court refers henceforth in the analysis in this order to defendant Corning in the
singular, when referencing claims, counterclaims, motions, and arguments, which may previously have been advanced
against or made on behalf of all defendants in the plural.
18
CERCLA defines “facility” to include “any site or area where a hazardous substance has been
deposited, stored, disposed of, or placed, or otherwise come to be located.” 42 U.S.C. § 9601(9).
35
In this manner, CERCLA “imposes broad and strict liability for the costs of cleaning up
hazardous waste sites without regard to whether the persons assigned liability under the Act placed
the waste material on the site or had knowledge of the waste materials’ presence.” Crofton
Ventures, 258 F.3d at 296. “Section 9607(a)(1) renders current owners and operators strictly liable
for response costs regardless of their culpability.” PCS Nitrogen Inc., 714 F.3d at 185. In short,
“CERCLA § 9607 is a strict liability statute.” United States v. Atl. Research Corp., 551 U.S. 128,
136 (2007) (quotations omitted).
Thus, to prove a cost recovery claim under § 9607(a), a plaintiff must establish the following
elements: 1) that the defendant qualifies as a potentially responsible person (“PRP”) under §
9607(a); 2) that the plaintiff incurred “necessary costs of response” to a “release” or “threatened
release” of hazardous substances; and (3) that the response was “consistent with the national
contingency plan.” 42 U.S.C. § 9607(a); see, e.g., Consolidation Coal Co. v. Georgia Power Co., 781
F.3d 129, 143 (4th Cir. 2015) (“If PRP status is established, a party faces liability under CERCLA
for . . . ‘necessary costs of response incurred by any other person consistent with the national
contingency plan.’”) (quoting 42 U.S.C. § 9607(a)).
42 U.S.C. § 9607(a) “permits recovery of cleanup costs but does not create a right to
contribution.” Atl. Research Corp., 551 U.S. at 139. The right of contribution, by contrast, also
known as “the equitable apportionment of costs among the liable parties, including the PRP that
filed the § [9607](a) action” is addressed through a claim or counterclaim under CERCLA § 9613(f).
Id.
At the outset, plaintiff moves for summary judgment on defendant Corning’s counterclaim
under § 9607(a), on the basis that “there is no evidence that [plaintiff] used or released TCE at the
36
Property.” (Pl’s Mem. (DE 179) at 13). Plaintiff argues that “to recover from [plaintiff] under
CERCLA, [defendant] must prove that [plaintiff] used and released TCE.” (Id. at 13). With respect
to defendant Corning’s counterclaim under § 9607(a), however, this argument is incorrect as a
matter of law. As a current owner of the Property, plaintiff is liable under § 9607(a) regardless of
whether it used and released TCE at the Property. PCS Nitrogen Inc., 714 F.3d at 185. In the same
manner, as a prior owner of the Property at the time of a disposal of a hazardous substance,
defendant is liable to plaintiff under § 9607(a) regardless of whether plaintiff also used and released
TCE at the Property. Crofton Ventures, 258 F.3d at 296. Plaintiff’s argument regarding use and
release of TCE at the Property figures much more prominently in the claim and counterclaim for
contribution under § 9613(f), which the court will address in the next section of this order.
Plaintiff next asserts that it is entitled to summary judgment on its own § 9607(a) claim
against defendant because it “has incurred response costs” that were “necessary and consistent with
the National Contingency Plan.” (Pl’s Mem. (DE 205) at 17). Significant disputed issues of fact,
however, remain with respect to whether and to what extent plaintiff has incurred qualifying
response costs. Qualifying response costs under § 9607(a) are “costs incurred in responding to the
release of a hazardous substance at the facility.” Nurad, Inc. v. William E. Hooper & Sons Co., 966
F.2d 837, 841 (4th Cir. 1992). Such costs are “recoverable only if they are ‘necessary’ and
‘consistent with the national contingency plan.’” 42 U.S.C. § 9607(a)(4)(B).
CERCLA provides that “response” or “respond” “means remove, removal, remedy, and
remedial action” and that “all such terms (including the terms ‘removal’ and ‘remedial action’)
include enforcement activities related thereto.” 42 U.S.C. § 9601(25). CERCLA directs the
establishment of the “national contingency plan,” or “NCP,” as a “national hazardous substance
37
response plan which shall establish procedures and standards for responding to releases of hazardous
substances, pollutants, and contaminants,” to be implemented through administrative regulations.
42 U.S.C. § 9605(a). The EPA has “promulgated the national contingency plan as a regulation
pursuant to [§ 9605], codified at 40 C.F.R. pt. 300 (1993).” Key Tronic Corp. v. United States, 511
U.S. 809, 813 (1994). The EPA added to the “Code of Federal Regulations to clarify what
‘consistent with the NCP’ means for the purpose of cost collection under 42 U.S.C. § 9607.”
Richland-Lexington Airport Dist. v. Atlas Properties, Inc., 901 F.2d 1206, 1208 (4th Cir. 1990).
Under these regulations, “[a] private party response action will be considered ‘consistent
with the NCP’ if the action, when evaluated as a whole, is in substantial compliance with the
applicable requirements in paragraphs (5) and (6) of this section, and results in a CERCLA-quality
cleanup.” 40 C.F.R. § 300.700(c)(3)(i) (emphasis added). The regulations require reference to
standards for “removal site evaluation[s],” “removal actions,” “selection of remedy,” and “operation
and maintenance,” as well as “substantially equivalent state and local requirements” regarding
“public comment concerning the selection of the response action.” 42 C.F.R. § 300.700(c)(5), (6).
This court has observed previously that this inquiry necessarily is extremely fact-intensive, which
“renders it unsuitable for summary judgment.” Channel Master Satellite Sys., Inc. v. JFD Elecs.
Corp., 748 F. Supp. 373, 387 (E.D.N.C. 1990).
With respect to the type of costs that qualify as “response costs,” “work that is closely tied
to the actual cleanup may constitute a necessary cost of response.” Key Tronic Corp. v. United
States, 511 U.S. 809, 820 (1994). “[W]ork performed in identifying other PRP’s falls in this
category.” Id. By contrast, “work . . . primarily protecting [a PRP’s] interests as a defendant in the
proceedings that established the extent of its liability . . . do not constitute ‘necessary costs of
38
response’ and are not recoverable under CERCLA.” Id. at 820-21. Thus, CERCLA generally “does
not provide for the award of private litigants’ attorney’s fees associated with bringing a cost
recovery action.” Id. at 819.
In this case, multiple disputed issues of fact preclude an award of summary judgment in favor
of plaintiff on the issue of whether and to what extent it has incurred response costs consistent with
the NCP. These same issues preclude summary judgment in favor of plaintiff on defendant
Corning’s counterclaim under § 9607, regarding defendant Corning’s response costs.19 Such issues
include, but are not limited to:
1)
Whether plaintiff exacerbated environmental contamination or response costs in allowing
the plant to deteriorate and in the process of demolishing the former plant and underlying
slab. (See, e.g., DE 198 at 234, 247, 291; DE 199 at 263; DE 206 at 73; DE 238 at 152).
2)
Whether plaintiff’s process for demolition was contrary to the advice of state and federal
environmental regulators. (See, e.g., DE 198 at 234).
3)
Whether plaintiff should have itself entered into the REC program as the sole Property
owner to evaluate and remedy any TCE contamination (and any other environmental
contamination) present in and under the plant building footprint, regardless of whether it was
responsible in the first instance for placing TCE (or any other contaminant) into the
environment. (See, e.g., DE 206 at 84-96).
4)
Whether and to what extent counsel and consultant fees were incurred for purposes of
remedying environmental contamination versus an effort to allocate responsibility and
identify factors for contribution between the parties (Compare, e.g., Arcadis Invoices (DE
19
Notably, defendant does not seek summary judgment on plaintiff’s CERCLA claim and it does not
seek summary judgment on its own CERCLA counterclaim.
39
251 at 86-100) (“Litigation Consulting”) and (DE 251 at 172) (“Demo Support”); with id.
(DE 251 at 101-105) (“Field Activities”)).20
5)
Whether plaintiff’s response activities, if any, otherwise complicated, extended, ameliorated,
or improved upon, defendant Corning’s own response costs.
When inferences are drawn in the light most favorable to defendant Corning with respect to these
fact-intensive issues, summary judgment in favor of plaintiff on the issue of whether it has incurred
qualifying “response costs” under § 9607(a) is precluded.21
Therefore, the court DENIES plaintiff’s motion for summary judgment as to its § 9607(a)
cost-recovery claim and as to defendant Corning’s § 9607(a) counterclaim.
b.
Section 9613(f)
Section 9613(f) grants any person liable under § 9607(a) a right to “seek contribution from
any other person who is liable or potentially liable” under § 9607(a). 42 U.S.C. § 9613(f)(1). “In
resolving contribution claims, the court may allocate response costs among liable parties using such
equitable factors as the court determines are appropriate.” Id. “This plain language grants a court
significant discretion to choose which factors to consider in determining equitable allocation of
liability.” PCS Nitrogen, 714 F.3d at 186.
20
Defendant Corning moves to strike portions of statement of facts and exhibits accompanying plaintiff’s
reply memorandum in support of its motion for summary judgment (DE 258). Because the court has considered such
exhibits, but they do not alter the court’s analysis herein, the court DENIES AS MOOT the motion to strike.
21
The court notes that plaintiff itself concedes that “damages issue[s] [should] be resolved as to how
much AVX is entitled to recover for its response costs, either through a damages hearing after [the] liability
determination is made in favor of AVX, or at a trial on the damages issue.” (Pl’s Reply (DE 249) at 6) (emphasis added).
Given that “how much” response costs are recoverable is closely tied to what response costs are “necessary” and
“consistent with the national contingency plan” § 9607(a), the “damages issue[s]” suggested by plaintiff constitute a
substantial portion of factual issues outstanding regarding the claims under § 9607(a).
40
“Contribution is defined as the ‘tortfeasor’s right to collect from others responsible for the
same tort after the tortfeasor has paid more than his or her proportionate share, the shares being
determined as a percentage of fault.’” Atl. Research Corp., 551 U.S. at 138 (quoting Black’s Law
Dictionary 353 (8th ed.2004)). A claim or counterclaim under § 9613(f) “necessitate[s] the equitable
apportionment of costs among the liable parties, including the PRP that filed the § [9607](a) action.”
Id. at 140.
A “court’s ultimate allocation of liability reasonably [may] weigh[] relevant factors,”
including, but not limited to:
[1] the degree of involvement each party had in disposals (both primary and
secondary) on the site, [2] the degree of care each party exhibited with respect to
hazardous substances, [3] the degree to which each party cooperated with
government officials with respect to hazardous substances, and [4] the benefit each
party reaped from disposals of hazardous substances on the site.
PCS Nitrogen, 714 F.3d at 186. Although the Fourth Circuit has not expressly enumerated the full
range of potential equitable factors that can be considered by the district court in equitably allocating
contribution between responsible parties, other additional factors that have been identified by courts
include:
1)
The amount of the hazardous waste involved and its degree of toxicity.
2)
The financial resources of the parties involved.
3)
The benefits received by the parties from contaminating activities and the
knowledge and/or acquiescence of the parties in the contaminating activities.
4)
The extent of the current owner’s knowledge of contamination at the property
at the time of purchase and that the property may appreciate following its
remediation.
41
See, e.g., Minyard Enterprises, Inc. v. Se. Chem. & Solvent Co., 184 F.3d 373, 387 (4th Cir. 1999)
Envtl. Transp. Sys., Inc. v. ENSCO, Inc., 969 F.2d 503, 508 (7th Cir. 1992) (collecting cases);
United States v. Colorado & E. R. Co., 50 F.3d 1530, 1536 (10th Cir. 1995). “[T]he court has
considerable discretion as to what and how many equitable factors it will consider in allocating
Response Costs among the responsible parties.” Minyard, 184 F.3d at 385. “A court may consider
several factors, a few factors, or only one determining factor, depending on the totality of the
circumstances presented to the court.” Colorado & E. R. Co., 50 F.3d at 1536 (quoting Envtl.
Transp. Sys., 969 F.2d at 508).
Here, plaintiff seeks summary judgment on its contribution claim and on defendant
Corning’s contribution counterclaim primarily on the basis that there is no evidence that plaintiff
“used or released TCE at the Property.” (Pl’s Mem. (DE 179) at 15; Pl’s Mem. (DE 203) at 18).
At the outset, the court rejects plaintiff’s suggestion that this issue of use or release of TCE at the
Property is determinative of plaintiff’s contribution claim and defendant Corning’s contribution
claim. Under the totality of the circumstances of this case, involving years of ownership and
involvement by both parties in operations and cleanup at the Property, as well as interactions
between the parties and governmental agencies with respect to operations at the Property, the
determination of contribution rests upon multiple factors beyond plaintiff’s use or release of TCE
at the Property.
Nevertheless, the court recognizes the significance of the issue of whether plaintiff used or
released TCE at the Property, as it is an issue that is subject to detailed and substantial briefing by
the parties. The court thus addresses next whether there is any genuine issue of material fact on this
42
important issue in the case. The court addresses further below additional factors bearing upon
contribution.
i.
Whether Plaintiff Used or Released TCE at the Property
Plaintiff has demonstrated there is no genuine issue of material fact on the issue of whether
plaintiff used or released TCE at the Property. It is significant to this determination that no witness
has testified in deposition to using, spilling, releasing, or disposing TCE at the Property at any time
during plaintiff’s ownership of the Property. No witness testified in deposition even to observing
TCE present at the property, entering the property, or leaving the property, during that time.
Martha Girolami, who worked at the Property for defendant from 1984 to 1987 as a process
engineer, and for plaintiff from 1987 to 2007 in an environmental management capacity, testified
that plaintiff’s manufacturing processes were “all aqueous systems,” and she “never had to deal with
TCE.” (Girolami Dep. 32-33). When asked, “If [plaintiff] had TCE at the plant, . . . who would
have dealt with it?”, Girolami responded, “I would have been the one.” (Id. 53). She further
testified plaintiff “had no TCE in the factory during my time.” (Id. 80). In addition, she testified
that “chlorinated hydrocarbons were always banned” by plaintiff, and that TCE is an example of a
chlorinated hydrocarbon. (Id. 102). Further, Girolami testified that plaintiff used flammable
solvents, such as “alcohol, acetone, xylene, toluene,” and one chlorinated solvent, “Hysol.” (Id. 67,
79, 84, 106). Plaintiff also used “flammable liquid” to clean in the maintenance shop. (Id. 60).
David Ballenger, who worked at the property for defendant from 1976 to 1987 as a product
development engineer, and for plaintiff from 1987 to 2005 as an engineering plant manager, testified
that he had used TCE in other past positions with different companies, but he did not use TCE at the
Property. (Ballenger Dep. 8-9, 13-14). He testified that he did not observe, and was not aware of,
43
use of TCE at the Property. (Id. 15-17). According to Ballenger, in comparison to another location
where he had worked before that used “stainless-steel belts and TCE was used to clean them,” the
process at the Property used “paper belts that were disposable,” and a “water-based system which
is directly related . . . to environmental” considerations. (Id. 16). Ballenger testified that he did not
“know of any chlorinated solvents being used” while he was at the Property either by plaintiff or
defendant. (Id. 54).
David Himberger, who worked at the Property for defendant from 1973 to 1987, and for
plaintiff from 1987 to 2013, including as plant manager, was not aware of use or disposal of TCE
at the Property, and he never heard about it being used at the Property. (Himberger Dep. 107;
Himberger Decl. ¶¶ 4, 7). Jennifer Snyder, environmental engineer at the Property from 1994 to
1996 testified that she had no knowledge of use of TCE at the Property and TCE never came up in
discussions with anybody at the Property. (Snyder Dep. 16, 30).
Ronald Tidwell, who worked at the Property for defendant from 1983 to 1987, and for
plaintiff from 1987 to 1993, including as an environmental health and safety technician, testified that
he had no knowledge of TCE being used at the Property by either plaintiff or defendant. (Tidwell
Dep. 11, 27, 37). Similarly, Richard Gould, plant manager at the Property from 1997 to 2000
testified that AVX mandated elimination of use of TCE in the mid 1980s, and he was not aware of
plaintiff’s use of TCE in its operations at the Property. (Gould Dep. 26). John Lawing, process
engineer from 1972 to 1980 and general manager during the 1990s at the Property, testified that
“TCE was not a material accepted for use.” (Lawing Dep. 23, 29).
Dennis Odland, who was a corporate safety manager and environmental manager for
plaintiff, who audited the plant at the Property on numerous occasions between 1987 to 2013,
44
testified that he “never found” TCE at the plant. (Odland Dep. 14). He testified that plaintiff “didn’t
use it during the time” that plaintiff had the plant, because the plant “had figured out a way to
accomplish the same work using other materials [than TCE] before [plaintiff] acquired” the
Property. (Id. at 20-21). Similarly, Larry Blue, who was an environmental engineer for plaintiff,
who audited the plant at the Property during 10-20 inspections, testified that he never observed TCE
being used at the Property. (Blue Dep. 14).
Notably, defendant Corning does not offer testimony of any other individuals who worked
at the Property, either during defendant Corning’s ownership or plaintiff’s ownership, who
personally observed use of TCE at the Property. In contrast to this testimony, it is undisputed that
defendant Corning used TCE at the Property during the period of its ownership. (Defs’ Resp. Stmt.
(DE 195) ¶ 2). It is not refuted “that TCE had been used in a small vapor degreaser operation from
1965 to 1972” in the plant, on the “resistor line.” (Ford Memo, dated Nov. 5, 1987 (DE 182 at
233)). Thus, for seven years, corresponding to a time prior to any regulation of the use and disposal
of TCE under the Resource Conservation and Recovery Act, 42 U.S.C. § 6901, et seq., (“RCRA”),
or CERCLA, defendant Corning used TCE in the plant. Coupled with this fact, it is not refuted that
defendant used during its ownership of the Property “[a]n injection well (concrete sump) tied to floor
drains in virgin solvent storage shed.” (Pollution Incident Reporting Form (DE 181 at 452).
It is also significant to the court’s analysis of the issue of plaintiff’s TCE releases that state
environmental and waste inspection reports do not mention any releases, disposals, receipts, or use
of TCE by plaintiff at the Property. Notably, chemical inspection reports completed by the State of
North Carolina at the plant at the Property between 1987 to 2007 do not mention TCE, even though
checklists in the reports expressly provide a prompt and opportunity to note generation of TCE at
45
the plant. (See, e.g., Chemical Inspection Reports (DE 182 at 111, 114, 125, 128 )). In some reports
“n/a,” or similar negative notation, is noted in handwriting next to the prompts referencing TCE.
(Id. (DE 182 at 125, 128)). In others, space for description is populated by descriptions of other
chemicals in a category, but not TCE. (Id. (DE 182 at 130, 135 (noting “Waste Freon (SMT) F001” and “Waste 1,1,1-trichloroethane - F002”), 139 (F002 - “1,1,1-Trichloroethane”), 145, 154,
167 (F002 - “Methylene chloride”), 171, 184, 193 (“F002, F003 . . . acetone, ethyl ether”)). In sum,
the only plausible inference from all this evidence is that defendant Corning used and released TCE
at the Property and plaintiff did not use or release TCE at the Property.
Defendant raises several arguments in an effort to establish a genuine issue of material fact
as to whether plaintiff used or released TCE at the Property. None of these arguments, addressed
in turn below, are availing.
A) Documentary Evidence and Testimony
In support of its contention that plaintiff used or released TCE, defendant points to the
existence in plaintiff’s plant records of the following MSDSs referencing products that contain a
percentage of TCE:
1)
A 1996 MSDS for “Accelerator 4,” an adhesive, that contains, in part, 15 % TCE and 70 %
Methylene chloride (DE 182 at 252);
2)
A 2002 MSDS for “WELD-ON 3,” also referenced as “dichloromethane,” that contains 9
% TCE and 90 % Methylene chloride (DE 182 at 258);
3)
A 1993 MSDS for “Lens Clens #1,” that contains less than 1% TCE, along with less than 1%
chloroform, less than 5% Ammonium Hydroxide, 48.5 % Isopropyl Alcohol, and 48.5%
water. (DE 182 at 260; DE 196 at 337).
46
This evidence is insufficient to create a genuine issue of material fact, however, because no witness
testified to using any of these products. Indeed Odland testified that plaintiff instructed plants that
“even if they got a material in from a vendor, requested or unrequested, or an engineering sample,
that they keep the MSDS for that material.” (Odland Dep. 24). Defendant points to testimony that
if plaintiff had a MSDS for a particular product “it had at least been used at some point,” (Snyder
Dep. 24), and that Girolami received a fax forwarding “MSDS information for the lens cleaner
solutions you use.” (DE 196 at 346). But this evidence is insufficient to permit an inference that any
particular amount of these products were used or that they were used with any frequency. Moreover,
even if some use of these products can be inferred, there is no evidence of any spills or release
associated with these products.
In particular, with respect to the Accelerator and WELD-ON products, which contained four
to ten times more methylene chloride, there is no basis to infer a release by plaintiff of these
products into, under, or around the Property, where methylene chloride has not been detected in any
significant quantities in numerous testing locations found to contain significant quantities of TCE.
(See, e.g., Arcadis Investigation Maps (DE 182 at 272; DE 198 at 365)).
With respect to the “Lens Clens #1” product referenced in the MSDS faxed to Girolami (DE
196 at 337), a 1993 hazardous material inventory form from the plant states that it is one of four
items listed as “optical cleaner” supplied by Cascade Laser, the “Typical Amount On-Hand” is “3-6
oz,” and the “Specific Area(s) Used” is “Smp Package/Laser.” (DE 196 at 355). This does not
suggest use of “Lens Clens #1” in any plant processes, but rather only as one in a sample set.
Moreover, MSDSs for two other “Lens Clens” products supplied by Cascade Laser do not list TCE
as contents. (DE 196 at 340-345). In any event, where the “Lens Clens #1” product only contains
47
less than 1 % TCE, and the amount of the container is “3-6 oz,” it is speculative to infer from this
fractional amount that plaintiff released TCE at the Property, absent any evidence regarding
frequency and amount of use at the Property.
Defendant argues that certain testimony by former employees that they did not know whether
TCE was used, or did not know about use and processes in specific plant departments, shows that
plaintiff used TCE at the Property. For example defendant points to testimony by Himberger that
“to the extent that the trade/machine shops was using Weld-On,” he would not have known about
it. (Himberger Dep. 73). Ballenger testified that until the 2000s he did not oversee the “maintenance
department,” and that chemicals used in the maintenance department were not “as tightly controlled
as Process was.” (Ballenger Dep. 24). Girolami did not know, or could not remember, all the
chemicals that were used in the quality control labs or in the maintenance department. (See
Girolami Dep. 60). Odland testified that corporate policy applicable to all plaintiff’s facilities
banned TCE in production processes, but “[t]here were some products that had a small amount of
TCE in them that were not used in manufacturing, and that might include cutting oil or glues.”
(Odland Dep. 89).
But these witness’s lack of knowledge about use of TCE at the Property is insufficient to
create a triable issue of fact. In light of testimony set forth above that plaintiff did not use TCE at
the Property, the burden rests with defendant to bring forward evidence demonstrating a genuine
issue of fact that plaintiff used or released TCE at the Property. See Matsushita, 475 U.S. at 586-87.
The absence of testimony regarding use of TCE by plaintiff, in the maintenance department or
48
otherwise, does not meet this burden.22 “[I]t is the duty of the court to withdraw the case from the
[factfinder] when the necessary inference is so tenuous that it rests merely upon speculation and
conjecture,” as here. Lovelace, 681 F.2d at 241.
In sum, the cited documentary evidence and testimony does not create a genuine issue of
material fact that plaintiff used or released TCE at the Property.
B) Groundwater sampling
Defendant Corning asserts that current “groundwater sampling data showing TCE emanating
from the former . . . manufacturing plant” demonstrates plaintiff caused TCE releases because “this
contamination was not present when [defendant Corning] sold the Property to [plaintiff].” (Mem.
in Opp. (DE 194) at 25). This assertion is insufficient to demonstrate a genuine issue of material
fact as to plaintiff’s releases of TCE for several reasons. As an initial matter, while it is undisputed
that recent groundwater testing shows significant TCE contamination in groundwater beneath the
footprint of the former plant, it is speculative based upon the evidence to say TCE groundwater
contamination was not present in 1987, where there was no groundwater testing conducted beneath
the footprint of the former plant at that time. (See Ford, Nov. 5, 1987 Memo, (DE 182 at 229-245;
Nixon, Hargrave, Devans & Doyle, Report of Pre-acquisition Audit (DE 182 at 283)).
22
The parties dispute the significance of a “1987 Hazardous Waste Generator Only Annual . . . Report”
that states that 8 pounds of TCE were shipped offsite for disposal in 1987 as part of a “lab pack.” (DE 182 at 203).
Plaintiff asserts that this report clearly shows TCE was shipped offsite by defendant Corning directly before the sale of
the Property to plaintiff, and that this coincides with hazardous waste disposal documented by Ford as part of pre-closing
preparation of the Property. (Ford Memo, dated Nov. 5, 1987 (DE 182 at 243)). Defendant Corning asserts that it is
unclear whether defendant Corning or plaintiff shipped the TCE offsite in 1987, noting the report was prepared by
plaintiff. (Def’s Stmt. of Facts (DE 195 at 49). In either case, the report is the latest reference to TCE being transported
to or from the Property, coinciding with the year the Property was sold. The report does not suggest use of TCE by
plaintiff at the Property, but rather suggests, at most, that defendant Corning maintained a stock of pure TCE at the
Property prior to its sale to plaintiff.
49
Defendant Corning points to “soil gas sampling” conducted by plaintiff’s environmental
consultant, Ford, prior to closing on the Property in 1987, showing only low levels of soil
contamination (two parts per billion) detected south of the plant and no significant levels of soil
contamination detected anywhere other than around the dry well. (Id. at 9-10). But this sampling
is described as a “soil vapor survey” that measured levels of chemical compounds in the soil near
the soil surface, with the exception of samples taken from the bottom of the excavated dry well.
(Ford, Memo., Nov. 5, 1987 (DE 182 at 229, 231)). “Sampling was conducted by advancing a small
diameter probe 2 to 3 ft. below the ground surface and creating a slight vacuum in the hollow probe
to obtain a small volume of soil vapor.” (H&A, Report on Soil Vapor Investigation, Dec. 7, 1987
(DE 196 at 7)). “[O]ther than [this] soil gas survey limited to areas having some indications of
contamination, no soil or water testing was conducted.” (Nixon, Hargrave, Devans & Doyle, Report
of Pre-acquisition Audit (DE 182 at 283)). According to the soil sampling investigation report, “soil
vapor sampling results cannot be directly correlated to analytical results obtained in a laboratory for
specific soil or groundwater samples.” (DE 196 at 8).
In addition, groundwater monitoring wells constructed shortly after the purchase of the
property, in January, 1989, particularly a well identified at the time as “MW-1,” which was
upgradient of the dry well and the chemical storage building, at a depth of 18.49 feet, showed
elevated levels of TCE. (Law Environmental Report, March 2, 1989 (DE 181 at 36, 41, 46, 56); see
Order Appendix 4; see also Ford, Memo, Sept. 27, 1989 (DE 181 at 445, 449)). Following these
results, in a report of a meeting in part between plaintiff’s consultant and defendant Corning, Ford
noted that she was “very uncomfortable with the LAW conclusion that only there was one source
(i.e., the former injection/dry well),” but that defendant Corning “stated emphatically that it was the
50
position of Corning that there was ‘insufficient evidence’ of a second significant source.” (Ford,
Memo, Feb. 2, 1990 (DE 181 at 465)). As noted above, no groundwater testing was done at that
time under the plant footprint, nor for years thereafter when the focus was on groundwater testing
around and downgradient of the drywell. (Nixon, Hargrave, report of pre-acquisition audit (DE 182
at 283); see, e.g., Law Environmental, Inc., Report of Additional Ground-Water Assessment, June
14, 1991 (DE 196 at 138-147)).
Finally, although the soil vapor survey in 1987 revealed only minimal TCE in soil vapor
upgradient of the dry well, other soil vapor TCE readings downgradient of the dry well also were
minimal, in areas where significant groundwater contamination soon thereafter was detected.
(Compare, e.g., H&A, Report on Soil Vapor Investigation, Dec. 7, 1987 (DE 196 at 10) (results for
CR-2 (three parts per billion), CR-18 (four parts per billion), CR-22 (10 parts per billion)) with Law
Environmental Report, April 30, 1991 (DE 196 at 180-181) (results for groundwater monitoring
wells MW-2 (1,200 parts per billion), MW-6A (1,200 parts per billion), and MW-6B (12,000 parts
per billion); Law Environmental, September 1991 Report (DE 196 at 188) (RW-1 at greater than
1,000 parts per billion); see also Hutto & Royer, Supp. Expert Report, Nov. 2, 2018 (DE 209 at 283)
(same, with additional result for groundwater well RW-1 (26,000 parts per billion)). Thus, the very
presence of even minimal TCE in the soil vapor in 1987 is consistent with significant amounts of
TCE present in the groundwater underlying these same locations. (See id.).
In sum, in light of all these circumstances, coupled with the absence of testimony and
documentary evidence of releases by plaintiff, recent groundwater testing evidence does not create
a genuine issue of material fact that plaintiff used or released TCE at the Property.
51
C) Expert CSIA Opinions
Defendant Corning relies upon expert opinions by Mancini and Duncklee for the proposition
that “CSIA analysis of samples from the Property shows multiple sources of TCE that are more
recent than the contamination in the dry well area and that are attributable to [plaintiff’s] ownership
of the Property.” (Def’s Mem. in Opp. (DE 194) at 20). For the reasons stated below, the expert
opinions of Mancini and Duncklee premised upon CSIA are neither relevant nor reliable. Therefore,
these opinions must be excluded, for purposes of plaintiff’s motion to exclude (DE 215). In
addition, they do not provide a basis for finding a genuine issue of material fact that plaintiff used
or released TCE at the Property, for purposes of the instant motion for summary judgment.
Under Rule 702, expert testimony is appropriate when “the expert’s scientific, technical, or
other specialized knowledge will help the trier of fact to understand the evidence or to determine a
fact in issue.” Fed. R. Enid. 702. A witness qualified as an expert may be permitted to testify where
“(b) the testimony is based upon sufficient facts or data, (c) the testimony is the product of reliable
principles and methods, and (d) the expert has reliably applied the principles and methods to the
facts of the case.” Id.
Rule 702 imposes a “basic gatekeeping obligation” upon a trial judge to “ensure that any
and all scientific testimony is not only relevant, but reliable.” Kumho Tire Co. v. Carmichael, 526
U.S. 137, 147 (1999); Daubert, 509 U.S. at 592-93. “The proponent of the testimony must establish
its admissibility by a preponderance of proof.” Cooper v. Smith & Nephew, Inc., 259 F.3d 194, 199
(4th Cir. 2001).
“[R]elevance – or what has been called ‘fit’ – is a precondition for the admissibility of expert
testimony, in that the rules of evidence require expert opinions to assist the ‘the trier of fact to
52
understand the evidence or to determine a fact in issue.’” United States v. Ancient Coin Collectors
Guild, 899 F.3d 295, 318 (4th Cir. 2018) (quoting Daubert, 509 U.S. at 597). A key “aspect of
relevancy . . . is whether expert testimony proffered in the case is sufficiently tied to the facts of the
case that it will aid the jury in resolving a factual dispute.” Daubert, 509 U.S. at 591 (internal
quotations omitted).
The reliability inquiry is a “flexible one focusing on the principles and methodology
employed by the expert, not on the conclusions reached.” Westberry v. Gislaved Gummi AB, 178
F.3d 257, 261 (4th Cir. 1999) (internal quotations omitted). In assessing whether expert testimony
is “reliable,” the court may consider:
(1) whether a theory or technique can be (and has been) tested; (2) whether the
theory has been subjected to peer review and publication; (3) the known or potential
rate of error; (4) the existence and maintenance of standards controlling the
techniques’ operation; and (5) whether the technique has received general acceptance
within the relevant scientific or expert community.
United State v. Crisp, 324 F.3d 261, 266 (4th Cir. 2003) (internal quotations omitted). These factors
are “neither definitive, nor exhaustive,” and “particular factors may or may not be pertinent in
assessing reliability, depending on the nature of the issue, the expert’s particular expertise, and the
subject of [her] testimony.” Cooper, 259 F.3d at 199–200. “[T]he court has broad latitude to
consider whatever factors bearing on validity that the court finds to be useful[,] . . . depend[ing]
upon the unique circumstances of the expert testimony involved.” Westberry, 178 F.3d at 261.
The expert opinions of Mancini are not relevant because they would not assist the trier of fact
in determining the material issue presented by the instant motion, namely whether plaintiff used or
released TCE at the Property. In her expert report, Mancini states that she reviewed the report of
Davidson and “adopt[s] the opinions and conclusions stated in that report.” (Mancini Rep. 2 (DE
53
223-20 at 4)). As so adopted, Mancini concludes “there is a minimum of one source of TCE in
Former AVX Building wells, based primarily on [CSIA] analysis,” and “more extensive release(s)
of TCE occurred within the Former AVX Building footprint than within the Outparcel.” (Id. at 29
(DE 223-20 at 44). These conclusions are not relevant because it is undisputed that there is a source
of TCE at the footprint of the former plant on the Property, and that concentrations found at that
location are greater in some instances than concentrations found in the outparcel. (See, e.g., Philp
Report at 70 (DE 223-7 at 71 (stating that “isotope ratios from monitoring wells with highest TCE
concentrations were evaluated,” and “[t]hese wells are located within the footprint of the main
building and S/SE (downgradient) from the main building”)); Pl’s Reply (DE 248) at 4 (“Both
Corning’s and AVX’s non-CSIA experts agree that TCE originated from . . . an area under the
manufacturing plant and an area at the illegal injection well”); Arcadis Investigation Maps (DE 182
at 272; DE 198 at 365; Order Appendix 6); Wood Map (DE 199 at 104; Order Appendix 7)). These
conclusions would not provide helpful information to a factfinder on the issue of what entity caused
releases at the former plant on the Property and when those releases occurred.
Mancini also concludes that “TCE in the Outparcel is generally more degraded than TCE
beneath the Former AVX Building.” (Mancini Rep. 29 (DE 223-20 at 44). This opinion would not
be helpful to the factfinder because a conclusion that TCE is “generally more degraded” in the
Outparcel does not tend to show that plaintiff used or released TCE at the plant on the Property.
Mancini confirmed that “CSIA data does not permit age dating TCE,” and she did not provide an
opinion on “what company released chemicals” at the Property. (Mancini Dep. 53). According to
Mancini, “You cannot use CSIA to point to a specific manufacturer of TCE.” (Id. 56). In sum,
54
Mancini’s conclusions would not provide helpful information to a trier of fact on the issue of what
entity caused releases at the former plant on the Property and when those releases occurred.
Portions of Duncklee’s expert opinion that rely upon CSIA analysis to time TCE releases
similarly are not relevant. For example, Duncklee concludes in his report that CSIA evidence shows
that “TCE under the Former AVX Building is from a more recent release or releases than the TCE
on the Outparcel related to the dry well source.” (Duncklee Supp. Rep. at 5 (DE 223-21 at 89)).
But, concluding in this manner that a “more recent release” occurred can refer to any time period
between 1972 and the date of the report in 2018. As such, the conclusion that TCE under the plant
footprint is from “a more recent release or releases” based upon CSIA evidence is not helpful to the
trier of fact, because it does provide the date of the releases or what entity caused the releases.
Duncklee’s opinion also is not relevant where it concludes that CSIA evidence supports a
determination that TCE originated from “releases attributable to AVX’s operations that began at the
Property in November 1987.” (Duncklee Supp. Rep. at 7 (DE 223-21 at 91)). This portion of
Duncklee’s opinion is not relevant because it is not “sufficiently tied to the facts of the case” as
demonstrated by the instant record. Daubert, 509 U.S. at 591 (internal quotations omitted). In
particular, as set forth above, defendant Corning has not demonstrated a genuine issue of material
fact, through testimony, documentary evidence, or any other evidence, that plaintiff used or released
TCE at the Property. Thus, Duncklee’s opinion premised upon “releases attributable to AVX’s
operations that began at the Property in November 1987” is not relevant because there is no evidence
of such releases.23 In sum, Duncklee’s opinions premised upon CSIA evidence are not relevant.
23
Additional opinions of Duncklee that are not expressly reliant upon CSIA evidence, but are premised
upon TCE releases by plaintiff, similarly are not relevant. For example, Duncklee opines that TCE extracted in 2016
from drain water in the former plant, before it was demolished, is attributable to plaintiff’s operations. Duncklee states,
“[b]ecause these drains were likely regularly flushed by water, it is my opinion the TCE that I observed was not
55
In addition, and in the alternative to a relevancy determination, Duncklee’s opinions
premised upon CSIA evidence are not reliable. In particular, these opinions rely upon a
“biodegradation” analysis at multiple key junctures, including as follows:
1)
“[T]he TCE isotopic signature of groundwater from . . . wells in the Former AVX Building
. . . is not significantly biodegraded.” (Duncklee Supp. Rep. 8 (DE 223-21 at 92) (emphasis
in original)).
2)
“My opinions are based on the following facts . . . . [including] that the TCE detected in
Source 1 Wells is less degraded than TCE detected in other wells on the Outparcel, around
the dry well, and in other areas.” (Duncklee Supp. Rep. 7 (DE 223-21 at 91); see also id. at
5 (DE 223-21 at 89 (similar)).
3)
“Given that geochemical conditions that affect the degradation of TCE are similar within the
Outparcel, the reduced degredation of TCE associated with Source 1 in the Outparcel
compared to TCE in other Outparcel wells shows that the Source 1 TCE was released more
recently.” (Id. at 6 (DE 223-21 at 90)).
4)
“Geochemical conditions in groundwater that affect the rate of degradation are similar across
the Property (see Tables 1 and 2 and Figures 3 and 4). Given these conditions, if the TCE
in different wells were released around the same time, one would expect the TCE in these
associated with Corning’s operations, which had ceased nearly 30 years before, but rather, was associated with AVX’s
operations.” (Duncklee Decl. ¶ 7 (DE 199 at 265)). This opinion is not relevant because there is no evidence in the
record regarding regular flushing of drains in the plant, particularly at the time of testing, which was at least three years
after plant operations had ceased. It is also not relevant because of the lack of evidence that plaintiff used or released
TCE in its operations. Moreover, this opinion is not reliable because it does not address an obvious alternative
explanation, recognized by defendant Corning’s own consultant, that TCE in groundwater can “volatilize into the
overlying soil and potentially migrate into overlying structures.” (Data Gap Report (DE 181 at 478); see id. (noting
“potential for CVOC vapors to accumulate in buildings”); see also Law Environmental, Inc., August 15, 1989, Report
(DE 204 at 446)) (examining upgradient well test results, opining that “TCE may have reached [the upgradient well] by
migration of vapors in the vadose zone,” and “vapors would likely be dissolved into waters infiltrating downward from
the surface, as they passed through the contaminated vadose zone”).
56
wells to have undergone a similar amount of degradation. TCE detected in Source 1 Wells
has generally undergone a similar amount of degradation, suggesting a similar age of release
for the TCE detected in Source 1 Wells. However, the TCE in non-Source 1 Wells has
undergone significantly more degradation than the TCE in Source 1 wells, suggesting the
TCE in Source 1 Wells was released more recently than the TCE in non-Source 1Wells.” (Id.
(emphasis added).
Duncklee’s application of this biodegredation analysis to the CSIA data under the circumstances of
this case, however, is not reliable method for determining timing of TCE releases or what entity
caused TCE releases. In particular, application of this biodegredation technique in the manner used
by Duncklee has not been tested, has not been subjected to peer review or publication, has an
extremely high potential rate of error, is not subject to any standards controlling the techniques’
operation, and has not received general acceptance within the relevant scientific or expert
community.
As noted above, defendant Corning’s own CSIA expert, Mancini, confirmed that “CSIA data
does not permit age dating TCE,” and she did not provide an opinion on “what company released
chemicals” at the Property. (Mancini Dep. 53, 158). According to Mancini, “You cannot use CSIA
to point to a specific manufacturer of TCE.” (Id. 56, 159). Plaintiff’s CSIA expert, Philp, confirms
these methodological principles. (See Philp Rep. 59, 75, 77 (DE 223-7 at 60, 76, 78)). With respect
to biodegradation, Mancini testified:
Q. . . . . [D]o you know if at this site TCE biodegrades uniformly throughout the site?
A. No, I do not.
Q. And is there a way to scientifically determine if TCE can biodegrade uniformly
on a piece of property such as this?
A. Define uniformly.
Q. Consistently.
57
A. That is a very difficult task to do.
Q. Have you done it previously?
A. At other sites?
Q. Yes.
A. I have evaluated biodegradation of chlorinated compounds at other sites.
Q. And have you determined if at those other sites whether the biodegradation was
uniform or consistent throughout the site?
A. That is too difficult of a task to accomplish.
(Mancini Dep. 57) (emphasis added). Mancini also outlined “a number of factors” that must guide
the methodology of evaluating biodegradation at a site, including “[t]he redox conditions, [and] the
presence of the bacteria capable of degrading.” (Id. 58). She stated, “As a scientist, I have to
consider all aspects of understanding how the different degradation mechanisms can impact the
isotopic signatures.” (Id. 89). Again, Philp confirms the necessity of accounting for such factors
in methodology, noting that “significant extent of degradation observed in a given section of a
contaminated site corresponds to conditions favorable for the degrading microorganisms rather than
the time of residence in sediment or groundwater.” (Philp Rep. 77 (DE 223-7 at 78).
In this manner, there is too great an “analytical gap” between the CSIA data in this case,
which is summarized in the reports of Mancini and Duncklee, and Duncklee’s ultimate opinions
about dates of TCE releases and the entities that released TCE at the Property. Gen. Elec. Co. v.
Joiner, 522 U.S. 136, 146 (1997). Duncklee’s report does not provide a reliable method for bridging
this gap, other than his own statements that he is drawing the conclusions reached, based upon
“suggest[ions]” of the age of release. (Duncklee Rep. 6 (DE 223-21 at 90). Such conclusions based
upon the “ipsi dixit” of the expert are not reliable. Gen. Elec. Co., 522 U.S. at 146. A critical
shortcoming in the methodology used is the failure to take into account other factors and alternative
explanations that are impacting the CSIA data Duncklee used to draw his conclusions, such as
58
variations in site conditions due to the former presence of the building and concrete slab over the
area of present groundwater and soil contamination. (See, e.g., Mancini Dep. 57-58; Philp Rep. 77).
Likewise, Duncklee’s methodology is unreliable because it reaches conclusions from
biodegradation analysis without taking into account “a number of factors,” as suggested by Mancini,
that must guide the methodology of evaluating biodegradation at a site, including “[t]he redox
conditions, [and] the presence of the bacteria capable of degrading.” (Mancini Dep. 58). Further,
Duncklee’s biodegradation analysis is subject to an extremely high rate of error, and it has not
received general acceptance in the scientific community, where Mancini notes that determining at
a site “whether the biodegradation was uniform or consistent throughout the site” “is too difficult
of a task to accomplish.” (Mancini Dep. 57) (emphasis added). Consistent with Mancini’s
statement, plaintiff’s experts Hutto and Royer also conclude that Duncklee’s conclusions regarding
consistency of site conditions are “inaccurate . . . given the variability of site conditions including
the geochemical and physical conditions across the Site.” (Hutto & Royer Sec. Supp. Rep. 26 (DE
220-3 at 8)).
Defendant Corning argues, nonetheless that Duncklee’s conclusions regarding timing of TCE
releases and identity of releasing entity, premised upon CSIA data, should be considered reliable
because they are actually consistent with Dr. Mancini’s deposition testimony. Defendant Corning
cites Mancini’s statement in deposition that “Since existing geochemical data do not permit
meaningful conclusions on the dates of individual contaminant releases, CSIA data alone cannot be
used as a tool for apportionment of responsibility between the site and different site operators.”
(Defs’ Opp. (DE 239) at 34) (emphasis added by defendant Corning). Defendant Corning argues
that “Mancini’s testimony is completely consistent with Mr. Duncklee’s opinion that CSIA data can
59
– when coupled with other data, information, and analysis – be used to apportion responsibility,”
citing Duncklee’s deposition testimony. (Id.). This argument misses the mark on two fronts. First,
defendant Corning fails to note that Mancini at this point in her deposition is, in fact, quoting a
statement from Philp’s expert report and expressing her agreement with this proposition advanced
in the first place by Philp. (Compare Mancini Dep. 169 with Philp Rep. 78 (DE 223-7 at 79). As
noted, above, Philp shortly prior to this statement in his report averred that “the extent of
degradation of TCE cannot be used as an indication of the age of a particular release.” (Philp Rep.
77 (DE 223-7 at 78) (emphasis added)). Second, while defendant Corning suggests in theory that
CSIA data can be used to apportion responsibility when coupled with other appropriate data and
analysis, the cited portions of Duncklee deposition do not explain how Duncklee did so in this case,
and they do not repair any of the analytical gaps and shortcomings of Duncklee’s expert opinions
identified herein. (See Duncklee Dep. 473-474). Indeed, the cited deposition testimony does not
mention biodegradation. (See id.).
In sum, due to a combination of shortcomings, defendant Corning has failed to demonstrate
that Duncklee’s opinions regarding timing of TCE releases and identity of releasing entity, premised
upon CSIA data, are the product of reliable methodology. Therefore, plaintiff’s motion to exclude
expert opinions of Mancini and Duncklee premised upon CSIA, is granted on the basis of lack of
relevance and reliability.24
As a result, where defendant Corning has failed to demonstrate a
24
Because the court grants plaintiff’s motion to exclude defendant Corning’s expert opinions premised
upon CSIA, on the basis of relevance and reliability, the court the court does not reach plaintiff’s alternative grounds
for excluding and striking the opinions, including as sanctions for defendant Corning’s litigation conduct. Where
plaintiff seeks broader relief, in part, as sanctions, including dismissal of all of defendant Corning’s counterclaims (see,
e.g., DE 215 at 1), and striking of defendant Corning’s rebuttal declarations (see DE 246 & DE 247 at 29-30), the court
determines that good cause has not been shown for such sanctions. Therefore, plaintiff’s motion, in that part where it
seeks such sanctions, is DENIED. In addition, where the court excludes defendant Corning’s expert opinion evidence
regarding CSIA, the court excludes expert opinions and evidence and testimony of Philp from trial on the issue of
whether plaintiff used or caused releases of TCE at the property, on the basis that such evidence for that purpose is not
60
genuine issue of material fact on the issue of whether plaintiff used or released TCE at the Property,
summary judgment must be granted to plaintiff on this issue bearing on the § 9613(f) contribution
allocation for the CERCLA claims and counterclaims.
ii.
Other Factors Bearing on Contribution
Genuine issues of material fact preclude summary judgment in favor of plaintiff on
remaining issues bearing on the § 9613(f) contribution allocation. The court has previously
highlighted a number of these issues in conjunction with the determination of whether and to what
extent plaintiff’s and defendant Corning’s response costs are consistent with the National
Contingency Plan. These issues are amplified here in considering the totality of circumstances
bearing on contribution.
For example, it is a factor for contribution the extent to which each party had involvement
in “secondary” disposals on the Property. Owners or operators of a facility may be “liable for
‘secondary disposals’ – that is, the movement or dispersal of already-once-disposed hazardous
substances through earth-moving or construction activities – that occur during their ownership or
operation of the facility.” PCS Nitrogen, 714 F.3d at 177. Here, defendant Corning has raised a
genuine issue of material fact whether plaintiff exacerbated environmental contamination or
response costs in allowing the plant building to deteriorate and in the process of demolishing the
former plant building and underlying slab. (See, e.g., DE 198 at 234, 247, 291; DE 199 at 263; DE
206 at 73).
relevant. Accordingly, defendant Corning’s motion to exclude expert testimony of Philp from trial is GRANTED in that
part on the basis of relevance. Furthermore, where the court has not relied upon the Bonessi declaration in addressing
relevance and reliability of CSIA opinions, defendant Corning’s motion to strike (DE 241) said declaration is DENIED
AS MOOT. Finally, where defendant Corning also seeks broader relief, in part, as sanctions against plaintiff for filing
the Bonessi declaration, the court determines that good cause has not been shown for such sanctions. Therefore,
defendant Corning’s motion, in that part where it seeks such sanctions, is DENIED.
61
The extent of cooperation by both plaintiff and defendant Corning with government officials
in identifying and remediating contamination at the Property also is a factor not susceptible to
summary judgment determination. Substantial questions of fact remain, when the evidence is
viewed in light most favorable to defendant Corning, regarding the extent to which defendant
Corning’s remediation of the Outparcel has been in accordance regulatory requirements and
guidance, and whether and to what extent plaintiff should be responsible for failure itself to enter
into the REC Program or undertake other or different remediation strategies with respect to the
remainder of the Property. (See, e.g., DE 198 at 234; DE 206 at 84-96).
Additional equitable factors applicable to the unique circumstances of this case include the
nature and extent of plaintiff’s knowledge and assessment of releases and potential releases at the
Property, both at the time of purchase and in the years following. Similarly in dispute is the extent
of defendant Corning’s ability to assess and address contamination under the plant footprint during
the same time period, including during the period of this litigation in which defendant Corning has
taken a litigation position that plaintiff is entirely responsible for such contamination. Likewise, the
court may take into consideration competing considerations regarding appreciation of the value of
the property following remediation countered against challenges and costs faced by plaintiff in
marketing the property for sale in its present condition. (See, e.g., DE 198 at 25, 148, 155, 165, 244;
DE 199 at 209-211, 246).
In sum, with respect to factors bearing on the claim and counterclaim for contribution under
§ 9613(f), multiple disputed issues of fact preclude summary judgment in favor of plaintiff.
62
4.
Breach of Contract Counterclaim
Plaintiff seeks summary judgment on defendant Corning’s counterclaim for breach of
contract, which is premised upon the limitation of defendant Corning’s liabilities under section
3.3(d) of the Purchase Agreement. Defendant Corning asserts in its counterclaim that any violations
of environmental laws (e.g., CERCLA) arising from operations at the Property “result in whole or
in part from [1] the release of hazardous substances at, on, or from the Property after [plaintiff]
purchased the Property and/or [2] from actions taken by [plaintiff] that exacerbated existing
conditions at the Property,” and would thus be liability assumed by plaintiff under the Purchase
Agreement.
As noted previously, section 3.3(d) of the Purchase Agreement provides that defendant
Corning retains the following liabilities, in pertinent part:
In connection with the operation of the Corning Electronics Business and the Assets,
all liabilities for violations of environmental laws . . . applicable to such operation,
which operations existed, or are based upon conditions that existed, prior to the
Closing Date and to the extent such violations are not attributable to or otherwise
adversely affected by . . . the Purchaser[’s] actions.
(Purchase Agreement § 3.3 (DE 181 at 332-333)) (emphasis added).
For the reasons stated in the preceding section, plaintiff has demonstrated that there is no
genuine issue of fact on the issue of whether it used or released TCE at the Property. Therefore,
plaintiff is entitled to summary judgment on that part of defendant Corning’s counterclaim that is
premised upon violations “attributable to” plaintiff. (Id.). By contrast, because there is a genuine
issue of material fact whether plaintiff exacerbated exiting conditions at the Property by, inter alia,
demolishing the manufacturing building and concrete slab, plaintiff is not entitled to summary
63
judgment on that part of defendant Corning’s counterclaim that is premised upon violations
“adversely affected by” plaintiff’s actions. (Id.).
In so holding, the court rejects plaintiff’s suggestion that defendant Corning must show that
conditions underlying defendant Corning’s breach of contract counterclaim both “did not exist prior
to the closing date” and were “adversely affected by [plaintiff’s] conduct.” (Pl’s Mem. (DE 179)
at 28). Under § 3.3(d) of the Purchase Agreement, defendant Corning retains liabilities for
environmental violations that “existed, or are based upon conditions that existed, prior to the Closing
Date and to the extent such violations are not attributable to or otherwise adversely affected by
[plaintiff’s] actions.” (Purchase Agreement § 3.3 (DE 181 at 333)) (emphasis added). In this
manner, either the date of the existence of the conditions or the manner of plaintiff’s actions can
relieve defendant Corning of its retained liabilities. To hold otherwise would lead to absurd results,
whereby defendant Corning would retain liabilities even for conditions at the property solely
attributable or otherwise adversely affected by plaintiff’s actions.
The court also rejects plaintiff’s suggestion that its actions with respect to demolition of the
plant building and slab did not, as a matter of law, adversely affect conditions at the Property,
because plaintiff “consulted with its nationally recognized consultant Arcadis” prior to demolition
and slab removal. (Pl’s Mem. (DE 179) at 28). For reasons stated previously, regardless of whether
plaintiff’s actions were approved by plaintiff’s consultant, there is a genuine issue of material fact
whether they were approved by environmental regulators and whether they in fact adversely affected
contamination at the Property.
In sum, plaintiff is entitled to summary judgment on that part of defendant Corning’s
counterclaim that is premised upon violations “attributable to” plaintiff, but not on that part of
64
defendant Corning’s counterclaim that is premised upon violations “adversely affected by”
plaintiff’s actions, under § 3.3(d) of the Purchase Agreement.
5.
Defendant Corning’s Motion to Exclude Standard of Care Opinions
Defendant Corning moves to exclude any part of expert testimony of Hutto and Royer
concerning whether defendant Corning has complied with “industry standards” for remediating
contaminated property and standards of care governing the REC Program, on the basis that neither
Hutto and Royer are qualified to give such expert testimony.
“The Fourth Circuit has ruled that when an expert’s qualifications are challenged, ‘the test
for exclusion is a strict one, and the purported expert must have neither satisfactory knowledge, skill,
experience, training nor education on the issue for which the opinion is proffered.’” SMD Software,
Inc. v. EMove, Inc., 945 F. Supp. 2d 628, 635 (E.D.N.C. 2013) (quoting Kopf v. Skyrm, 993 F.2d
374, 377 (4th Cir. 1993)) (emphasis added); see Thomas J. Kline, Inc. v. Lorillard, Inc., 878 F.2d
791, 799 (4th Cir.1989); see, e.g., AVX Corp. v. United States, 518 F. App’x 130, 135 (4th Cir.
2013) (rejecting challenge to expert based upon lack of qualifications, holding expert “could
reliably apply his general experience with groundwater contamination to the particular chemical
contaminant TCE,” under the court’s “liberal construction of Rule 702’s ‘specialized knowledge’
requirement”).
Here, Hutto’s qualifications include the following:
[He] is a Principal and Senior Project Manager at GEL Engineering, LLC with over
29 years of experience leading complex environmental and industrial projects
including site characterization, permitting, and/or remediation. Typical projects
include due diligence investigations, industrial site development, soil and
groundwater assessment and remediation, dredge and waterfront permitting and
management, and brownfield redevelopments. Typical sites include brownfields,
planned industrial facilities, landfills, Resource Conservation and Recovery Act
facilities, Comprehensive Environmental Response, Compensation, and Liability Act
65
facilities, waterfront terminals and marinas, petroleum bulk terminals, and
manufacturing facilities. He routinely interacts with regulatory agencies in permitting
and permit negotiations, as well as conducting stakeholder outreach.
(Hutto Jan. 2017 Rep. (DE 209 at 311)). His resume details eighteen “representative projects” in
South Carolina on which he has acted as a project manager or in a lead technical role, including
environmental site assessments, evaluations, monitoring, and remediation. (Id. (DE 209 at 311315)). He holds undergraduate and masters degrees in geology, and he is a professional geologist
and certified well driller in South Carolina. (Id.).
Dr. Royer has 24 years of experience “in consulting on complex hazardous waste site
remediation projects.” (Royer Jan. 2017 Rep. (DE 230-4 at 5)). He is currently employed for
Arcadis, providing “technical consulting on . . . remedial alternatives,” and he was previously
employed as a senior environmental engineer for GE. (Royer Dep. 22, 26).
He holds an
undergraduate degree in environmental science, a masters degree in environmental pollution control,
and a doctorate degree in environmental engineering. (Royer Jan. 2017 Rep. (DE 230-4 at 5)). His
resume details his work experience as technical lead advisor in eight chlorinated solvent remediation
sites, as well as eleven additional remediation sites. (Id. at 5-9). He has worked at three
environmental contamination sites in North Carolina, including in interactions with the North
Carolina Department of Environmental Quality regarding a site under the REC Program. (E.g.,
Royer Dep 25-26, 107).
Based on the foregoing, the court holds that Hutto and Royer are qualified generally to give
testimony regarding industry standards of care for remediating contaminated property. Only Royer,
however, is qualified to give testimony regarding whether defendant Corning’s remediation falls
below the standard of care set forth in the state rules governing the REC program. The court’s
66
holding at this juncture is limited to evaluating the potential testimony of Hutto and Royer presented
without context to specific issues or claims remaining for trial. The court notes that the expert
reports of Hutto and Royer discuss these standards of care in varying respects, and it is not yet clear
based upon the present record in what context Hutto and Royer will be sought to be introduced for
testimony, given the scope of issues remaining for trial. In addition, the court reserves judgment on
additional aspects of the relevance and reliability of the expert testimony, if offered for admission
at trial.
In sum, the court grants in part defendant Corning’s motion to exclude testimony of Hutto,
to the extent of testimony concerning REC Program rules. The court denies in remaining part
defendant Corning’s motion to exclude testimony of Hutto and motion to exclude testimony of
Royer. The denial of the motion to exclude is without prejudice, where other issues of relevance
and reliability of the testimony may be raised and evaluated in the context in which the testimony
is offered.
CONCLUSION
Based on the foregoing, the court orders as follows:
1)
Defendants’ motion for summary judgment as to plaintiff’s negligent misrepresentation and
UDTPA claims (DE 200) is GRANTED, and that part of plaintiff’s motion for summary
judgment (DE 203) pertaining to these same claims is DENIED.
2)
The secondary defendants’ motion for summary judgment (DE 212) is GRANTED, and all
claims remaining against the secondary defendants are DISMISSED as a matter of law.
3)
Plaintiffs’ motion for summary judgment as to defendants’ counterclaims (DE 178) is
GRANTED IN PART and DENIED IN PART as set forth herein. The court DENIES IN
67
PART plaintiff’s motion for summary judgment as to defendant Corning’s CERCLA
counterclaims, breach of contract counterclaim, and related declaratory judgment
counterclaims, except for that part of defendant Corning’s CERCLA counterclaims bearing
on the issue of whether plaintiff used or released TCE at the Property, and that part of
defendant Corning’s breach of contract claim premised upon violations attributable to
plaintiff.
4)
Plaintiffs’ motion for summary judgment in that part pertaining to its CERCLA claims (DE
203) is GRANTED IN PART and DENIED IN PART. The court DENIES IN PART
plaintiff’s motion for summary judgment as to its CERCLA claims, except for that part
bearing on the issue of whether plaintiff used or released TCE at the Property.
5)
Plaintiff’s motion to exclude and to strike expert evidence, and for sanctions (DE 215) is
GRANTED IN PART and DENIED IN PART. The court EXCLUDES expert opinions of
Mancini and Duncklee premised upon CSIA evidence and on the issue of whether plaintiff
used or released TCE at the Property, as set forth herein. Remaining relief sought through
the instant motion is DENIED.
6)
Defendants’ motion to exclude certain expert testimony of Philp (DE 221) is GRANTED on
the basis set forth herein.
7)
Defendants’ motion to exclude and to strike expert testimony and reports of Hutto
(DE 217) is GRANTED IN PART and DENIED IN PART as set forth herein.
8)
Defendants’ motion to exclude and to strike expert testimony and reports of Royer
(DE 224) is DENIED.
9)
Defendants’ motions to strike declarations and portions of statement of facts and appendix
(DE 241, 258) are DENIED AS MOOT.
68
10)
Plaintiff’s motion to strike, to compel, and for sanctions (DE 246) is DENIED.
In sum, the following claims remain for adjudication at trial as between plaintiff and
defendant Corning: 1) CERCLA claims and counterclaims (as limited on certain issues by summary
judgment ruling herein); 2) declaratory judgment claims and counterclaims; and 3) breach of
contract claims and counterclaims. Accordingly, this case now is ripe for entry of an order
governing deadlines and procedures for final pretrial conference and trial. The parties are
DIRECTED to confer and file within 21 days from the date of this order a joint status report
informing of 1) estimated trial length; 2) whether any claims or portions of claims must be decided
by bench trial or a jury trial; 3) particular pretrial issues which may require court intervention in
advance of trial, if any; and 4) at least three suggested alternative trial dates. In addition where
mediation is reported to have been completed in August 2017, and where the case has developed
procedurally and substantively since that time, the parties shall specify if they wish to schedule
additional period of time for additional mediation, court-hosted settlement conference, appointment
of a special master, or other alternative dispute resolution, in advance of trial, and if so the date for
completion of such.
SO ORDERED, this the 26th day of September, 2019.
_____________________________
LOUISE W. FLANAGAN
United States District Judge
69
Order Appendices
Order Appendix 1
451
Case 5:15-cv-00543-FL Document 181 Filed 10/10/18 Page 455 of 532
Order Appendix 2
Case 5:15-cv-00543-FL Document 196 Filed 02/05/19 Page 46 of 384
Order Appendix 3
7
Case 5:15-cv-00543-FL Document 196 Filed 02/05/19 Page 11 of 384
Order Appendix 4
052
Case 5:15-cv-00543-FL Document 181 Filed 10/10/18 Page 56 of 532
Order Appendix 5
1425
Case 5:15-cv-00543-FL Document 199 Filed 02/05/19 Page 91 of 277
Order Appendix 6
Well
Date Collected
PCE
TCE
DCE
VC
0.7
Standard
3
70
0.03
Well
Date Collected
Standard
PCE
TCE
DCE
VC
0.7
3
70
0.03
11/10/2017
5.0 U
320
37
5.0 U
MW-14A
4/5/2017
1.0 U
2.3
1.0 U
1.0 U
MW-1B
12/6/2017
1.0 U
280
33
1.0 U
MW-14B
11/13/2017
1.4
200
3.5
1.0 U
MW-2
9/16/2016
3.8
120
12
1.0 U
MW-14C
4/5/2017
1.0 U
43
1.0 U
1.0 U
MW-3A
11/8/2017
19
5.7
6.9
1.0 U
MW-14D
12/26/2017
1.0 U
69
1.3
1.0 U
MW-3B
12/6/2017
170
130
110
1.0 U
MW-15A
9/12/2016
1.0 U
160
8.9
1.0 U
MW-3C
4/4/2017
2.6
2,600
5.9
1.0 U
MW-16A
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-3D
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-16B
12/13/2017
1.0 U
1,100
1.0 U
1.0 U
MW-4A
4/4/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-16C
12/13/2017
4.8
4,200
7.6
1.0 U
MW-4B
11/15/2017
500 U
17,000
500 U
500 U
MW-17A
4/4/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-5A
11/9/2017
1.0 U
80
4.1
1.0 U
MW-17B
11/8/2017
1.0 U
2.1
1.0 U
1.0 U
MW-5B
12/6/2017
1.0 U
910
7.8
1.0 U
MW-18B
4/4/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-19A
12/6/2017
3.6
20
1.0 U
1.0 U
MW-20A
4/5/2017
1.0 U
1.8
1.0 U
1.0 U
MW-20B
4/5/2017
1.0 U
8.0
1.0 U
1.0 U
MW-21B
12/21/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-21C
12/13/2017
10 U
10 U
10 U
10 U
MW-22B
12/21/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-22C
12/7/2017
1.0 U
5.0 U
1.0 U
1.0 U
MW-23B
12/7/2017
1.0 U
5.0 U
1.0 U
1.0 U
MW-23C
12/13/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-24A
12/7/2017
1.0 U
5.0 U
1.0 U
1.0 U
MW-25A
11/10/2017
1.0 U
70
1.1
1.0 U
MW-25C
11/10/2017
1.0 U
2.0
1.0 U
1.0 U
9/7/2017
6.2 J
5,000 DJ
18
5.0 U
MW-26A
11/15/2017
50 U
5,400
50 U
50 U
MW-26C
11/14/2017
10 U
880
10 U
10 U
MW-27A
11/15/2017
50 U
5,800
63
50 U
MW-27B
11/10/2017
1.0 U
120
1.0 U
1.0 U
5.4
4/5/2017
1.0 UJ3
380
1.0 UJ3
4/5/2017
1.0 U
380
1.0 U
1.0 U
MW-7B
12/7/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-8A
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-8B
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-8C
12/6/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-9B
12/6/2017
1.0 U
160
5.2
1.0 U
MW-10A
11/9/2017
1.0 U
3.9
1.0 U
1.0 U
MW-10B
12/6/2017
19
97
16
1.0 U
MW-11A
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-11B
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
MW-12C
4/4/2017
1.0 U
20
1.2
1.0 U
4/5/2017
1.0 U
1.0 U
1.0 U
1.0 U
4/5/2017
1.0 U
1.6
1.0 U
1.0 U
12/6/2017
1.0 U
1.0
1.0 U
PSB-12
MW-26A
MW-26
MW-26C
1.0 UJ3
MW-6C
PSB-7
1.0 U
MW-6B
PSB-10
1.0 U
1.0 U
1.0 U
MW-13A
MW-13B
MW-13C
TCE
DCE
VC
! RW-12
(
!
(
!
(
RW-2
MW-11B
MW-11A
SWB-8
PCE
!
(
! PSB-8
(
PSB-6
!
(
Well
Date Collected
PCE
TCE
DCE
VC
0.7
3
70
0.03
0.7
3
70
0.03
MW-28A
11/13/2017
20 U
1,400
20 U
20 U
OBS-1
9/16/2016
15
150
62
0.96 J
MW-28C
11/14/2017
10 U
1,600
10 U
10 U
OBS-2
9/16/2016
7.9
100
35
0.65 J
MW-29A
11/13/2017
25 U
2,000 D
19 J
25 U
RW-1
4/6/2017
11
78
23
1.0 U
MW-29B
11/14/2017
20 U
5,000 D
20 U
20 U
RW-2
4/6/2017
100 U
3,400
350
100 U
MW-30A
11/15/2017
50 U
4,300
50 U
50 U
RW-3
4/6/2017
1.0 U
1.2
1.0 U
1.0 U
MW-30B
11/16/2017
200 U
19,000
360
200 U
RW-4
4/6/2017
100 U
7,400
100 U
100 U
MW-31A
11/14/2017
50 U
4,300
50 U
50 U
RW-5
4/6/2017
100 U
4,900
100 U
RW-3
!
(
SWB-7
!
(
!
(
!
(
!!
((
RW-1
!
(
! ( ! MW-3D
( (
OBS-1 ! !
( !
((
OBS-2 ! !
(
MW-2
! RW-5
( MW-3C
MW-3A
!
(
!
(
Standard
Standard
11/15/2017
50 U
6,200
50 U
50 U
RW-6
4/6/2017
10 U
460
10 U
10 U
PSB-2
PSB-3-16-20'
8/29/2017
180 U
2,200
180 U
180 U
RW-7
4/6/2017
1.0 U
11
2.0
1.0 U
8/29/2017
150 U
1,800
150 U
150 U
RW-8
4/4/2017
50 U
3,400
50 U
50 U
PSB-3-36-40'
8/29/2017
180 U
2,900
180 U
180 U
RW-9
4/6/2017
1.0 U
170
21
8/30/2017
130 U
1,200 D
130 U
130 U
RW-10
4/6/2017
1.0 U
5.1
1.0 U
8/30/2017
10 U
310
10 U
10 U
RW-11
4/6/2017
1.0 U
33
27
1.0 U
PSB-6
8/30/2017
25 U
1,400 D
25 U
25 U
RW-12
9/18/2017
1.0 U
84
2.7
RW-11
MW-9B
8/30/2017
25 U
380
25 U
25 U
RW-12B
11/9/2017
1.0 U
63
2.4
1.0 U
PSB-8
8/30/2017
25 U
220
25 U
25 U
SWB-1
5/19/2016
1.0 U
72
8.3
0.54 J
1.0 U
PSB-9
8/31/2017
25 U
660
25 U
25 U
SWB-2
5/19/2016
1.0 U
10
12
PSB-10
8/31/2017
100 U
1,700 J
100 U
100 U
SWB-3
5/19/2016
1.0U
7.0
110
4.4
PSB-12
8/31/2017
50 U
3,000
50 U
50 U
SWB-4
5/19/2016
1.0 U
11
1.0 U
8/31/2017
5.0 U
23
5.0 U
5.0 U
SWB-5
5/19/2016
0.96 J
300 D
20
!
(
!
(
MW-20B
MW-20A
9/1/2017
50 U
680
50 U
50 U
SWB-6
5/19/2016
1.0 U
2.4
1.0 U
9/1/2017
84 J
5.0 UJ
SWB-7
5/19/2016
1.5
9200 D
15
1.0 U
PSB-16
9/1/2017
25 U
25 U
SWB-8
5/19/2016
1.0 U
1.0 U
1.0 U
1.0 U
SWB-9
5/19/2016
1.0 U
1.0 U
1.0 U
(
MW-8B !
!!
((
MW-8C
1.0 U
PSB-15
UPSTREAM END OF
UNDERGROUND PORTION
OF STREAM
MW-8A
1.0 U
PSB-14
MW-13C
!(
(
MW-13B !
(!
1.0 U
PSB-13
MW-13A
INGRAM DR
1.0 U
PSB-7
!
(
MW-22C
! MW-12C
(
!
(
SWB-2 !
(
( ! ! RW-12B
(
(
SWB-1 !
1.0 U
PSB-5
RW-10
!
(
! MW-22B
(
!
(
! MW-14B
!
(
(
! MW-14D
(
1.0 U
PSB-4
MW-14C
MW-14A
RW-8
MW-26
! MW-17B
(
! MW-17A
(
MW-10A
! MW-10B
(
!
(
MW-3B
SWB-5
MW-18B
!
(
! MW-6A !
(
(
MW-5B
! MW-5A
(
((
RW-6 !! MW-6B
!
(
!
(
!
(
MW-5C !
! SWB-4
(
RW-7
(
! RW-9
(
MW-6C
!
(
(
MW-7B !
SWB-3 !
(
SWB-6
CHENA
ULT C
T
!!
((
MW-21C
MW-4A
MW-4B
RW-4
100 U
MW-31B
!
(
!
(
MW-21B
MW-1A
MW-1B
SWB-9
Date Collected
! MW-28A PSB-9
(
!
(
!
(
!
(
!
(
!
(
! MW-31B
(
! MW-24A
(
PSB-5
MW-31A
! ! MW-29A
( (
!
(
PSB-13 !
(
MW-29B
(
PSB-3 !
!
(
! PSB-4
(
PSB-16
MW-19A !
( MW-27B
! MW-30A ! MW-30B MW-16A
(
(
!
(
!
(
PSB-15
!
(
!
(
!
(
! ! PSB-14 PSB-2 ! MW-16B
( (
(
!
( MW-16C
! MW-27A
(
MW-15A
!
(
Well
MW-28C
DR
37
140
!
(
CAROLYN
1.0 U
1.0 U
MW-25A
!
(
AVE
9/18/2017
11/10/2017
MW-25C
ATLANTIC
MW-5C
MW-6A
EL DR
TARHE
CITY:(KNOXVILLE) DIV/GROUP:(ENV/GIS) LD:(B.ALTOM) PIC:() PM:() TM:(M.WEBB)
PROJECT: B0007406.0000 PATH: Z:\GISPROJECTS\_ENV\AVX_RALEIGH\NC_RALEIGH\MAPDOCS\2018\SITE_INVESTIGATION\FA-1 PROPOSED REMEDY GW TCE_MAY2018.MXD SAVED: 5/18/2018 4:57:23 PM BY: LDRUM
MW-1A
1.0 U
5.0 UJ 3,200 DJ
25 U
280
PROJECTION: NAD 1983 StatePlane North Carolina FIPS 3200 Feet
AERIAL SOURCE: ESRI Online Imagery (NAIP, June 2014).
LEGEND
Property Line
Existing Building
Former Building
Perennial Stream
Intermittent Stream
Trichloroethene (TCE) Concentrations
Not Analyzed
!
(
!
(
!
(
!
(
!
(
!
(
!
(
Not Detected or <1.0 μg/L (MDL)
1.0 to 3.0 μg/L
3.0 to 30 μg/L
30 to 100 μg/L
100 to 1,000 μg/L
>1,000 μg/L
Focused treatment area - RLC
Focused treatment area - CC
Biobarrier
MW-23B
MW-23C
NOTES:
1. Results were classified according to the NCAC 2L
Groundwater Standards (2010).
The NCAC 2L Standard for TCE is 3.0 μg/L.
2. Minimum Detection Limit (MDL).
3. All results are shown in micrograms per liter (μg/L).
4. BOLD - Constituent detected at concentration exceeding
analytical method detection limit.
5. BOLD - Constituent detected at concentration exceeding
the NCAC 2L Groundwater Standard.
!
(
!
(
AVX CORPORATION, CORNING/AVX FACILITY
RALEIGH, NORTH CAROLINA
0
J - The presented value for the constituent is considered estimated.
U - The constituent was analyzed for but not detected.
The associated value is the compound quantitation limit.
150
SCALE IN FEET
PCE - Tetrachloroethene
TCE - Triclhoroethene
DCE - cis-1,2-Dichloroethene
VC - Vinyl Chloride
Case 5:15-cv-00543-FL Document 198 Filed 02/05/19 Page 365 of 506
300
Proposed Remedy Layout w/ Compiled GW
TCE Data (Arcadis 2016, AMEC 2017 & D&D
2017 Investigations)
FIGURE
A-1
Order Appendix 7
1438
Case 5:15-cv-00543-FL Document 199 Filed 02/05/19 Page 104 of 277
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