Ruth Ann Cooper, DPM v. Neilmed Pharmaceuticals, Inc.
Filing
77
OPINION AND ORDER denying 59 Dr. Cooper's Motion for Class Certification. Signed by Judge Douglas R. Cole on 8/9/22. (sct)
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UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF OHIO
WESTERN DIVISION
RUTH ANN COOPER, D.P.M., on
behalf of herself and all others
similarly situated,
Case No. 1:16-cv-945
JUDGE DOUGLAS R. COLE
Plaintiff,
v.
NEILMED PHARMACEUTICALS,
INC.,
Defendant.
OPINION AND ORDER
Plaintiff
Dr.
Ruth
Ann
Cooper
contends
that
Defendant
NeilMed
Pharmaceuticals, Inc., violated the Junk Fax Prevention Act of 2005 when it sent a
fax offering product samples to over 50,000 recipients, including her. Seeking to
vindicate her own rights, as well as the rights of all others who received the same
fax, Dr. Cooper now moves the Court to certify this matter as a class action under
Federal Rule of Civil Procedure 23. (See Mot. for Class Certification, Doc. 59). For
the reasons explained more fully below, the Court finds that Dr. Cooper has failed
to show predominance, and thus the Court DENIES Dr. Cooper’s Motion for Class
Certification (Doc. 59).
BACKGROUND
The factual underpinnings of this dispute are straightforward. NeilMed
Pharmaceuticals, Inc. (“NeilMed”) is a purveyor of sinus rinses and other first-aid
products. NeilMed sent a fax (the “P3990 Fax”) to some 54,000 unique fax
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numbers—numbers belonging mostly to physicians and physicians’ offices—
between August 24 and 25, 2016.1 (Mot. for Class Certification (“Mot.”), Doc. 59,
#495–96). The P3990 Fax told recipients that NeilMed wanted to send them
“product samples,” and asked recipients to “verify [their] address and confirmation
for samples” by filling in their contact information and faxing the form back to
NeilMed. (See NeilMed Fax, Compl. Ex A, Doc. 1-1, #16). It also invited recipients to
opt out of future faxes by checking a “remove my name” box and returning the fax.
(Id.).
Less than a month after receiving the P3990 Fax, Dr. Cooper initiated this
putative class action, alleging that NeilMed’s transmission of the fax violated the
Telephone Consumer Protection Act of 1991, as amended by the Junk Fax
Prevention Act of 2005, 47 U.S.C. § 227 (“TCPA”).2 In broad terms—and as
discussed more thoroughly below—that statute makes it unlawful “to send, to a
telephone facsimile machine, an unsolicited advertisement.” 47 U.S.C. § 227(C). Dr.
Cooper contends that the P3990 Fax is just such an “unsolicited advertisement”;
“unsolicited” because NeilMed did not obtain Dr. Cooper’s “prior express invitation
or permission” before sending it, and an “advertisement” because NeilMed directly
NeilMed sent a first fax on August 24 to approximately 53,042 recipients. After a NeilMed
employee realized the first fax contained an incorrect return fax number, NeilMed sent a
substantially identical follow-up fax the next day to approximately 53,711 recipients. Dr.
Cooper’s proposed expert compared the fax logs from both transmissions and determined
that, between the two, the P3990 Fax was successfully transmitted, in one version or
another, to 54,938 unique fax numbers—the number the Court recites above. NeilMed does
not dispute this method of calculating the putative class size, and thus the Court accepts it
for purposes of this Opinion.
1
Although this case focuses on the “Junk Fax” provisions of the TCPA added by
amendment in 2005, the Court will refer to the statute generally as the “TCPA” for
simplicity.
2
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sells and profits from the products mentioned in the P3990 Fax. (See Compl., Doc. 1,
#3–4); see also 47 U.S.C. § 227(a)(5) (defining “unsolicited advertisement”).
Shortly after the action was filed, NeilMed moved to dismiss the Complaint
for failure to state a claim. (See Doc. 14). The then-assigned Judge denied NeilMed’s
Motion in September 2017. (See Order, Doc. 27). That Judge then stayed the action
for about 8 months in 2019, awaiting the outcome of a potentially relevant Supreme
Court decision. After the court lifted that stay, Dr. Cooper filed this motion for class
certification, seeking to certify a class of “[a]ll persons/entities who successfully
received the P3990 Fax on August 24, 2016 or August 25, 2016 and have not signed
a NeilMed Declaration.” (Doc. 59, #512). NeilMed responded in opposition (Doc. 66)
on April 21, 2020, and Dr. Cooper replied in support (Doc. 70) on May 8, 2020. The
matter was transferred to the undersigned on November 20, 2020. The class
certification motion is now fully briefed and before the Court.
LEGAL STANDARD
The class action is a unique mechanism in civil litigation. It represents “an
exception to the usual rule that litigation is conducted by and on behalf of the
individual named parties only.” Wal-Mart Stores, Inc. v. Dukes, 564 U.S. 338, 348
(2011) (quoting Califano v. Yamasaki, 442 U.S. 682, 700–01 (1979)). To justify a
departure from the named-parties-only rule, though, a putative class representative
must make certain showings. Under Federal Rule of Civil Procedure 23(a), the
named plaintiff(s) must show that: (1) the class is so numerous that joinder of all
members is impracticable; (2) there are questions of law or fact common to the class;
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(3) the claims or defenses of the representative parties are typical of the claims or
defenses of the class; and (4) the representative parties will fairly and adequately
protect the interests of the class. Fed. R. Civ. P. 23(a). These requirements—
commonly known as numerosity, commonality, typicality, and adequacy—limit
abuse of the class action mechanism by ensuring, among other things, that the class
claims are “fairly encompassed by the named plaintiff’s claims.” Wal-Mart, 564 U.S.
at 349 (quoting Gen. Tel. Co. of Sw. v. Falcon, 457 U.S. 147, 156 (1982)).
But compliance with Rule 23(a) alone does not suffice to carry a case across
the class-certification finish line. Rather, beyond satisfying Rule 23(a), the putative
class must also comply with one of the provisions of Rule 23(b). Here, Dr. Cooper
seeks certification under Rule 23(b)(3). (Mot., Doc. 59, #497). Rule 23(b)(3) is
perhaps the most flexible of the 23(b) pathways, as it “allows class certification in a
much wider set of circumstances” than (b)(1) or (b)(2). Wal-Mart, 564 U.S. at 362.
This flexibility, however, is counterbalanced by “greater procedural protections.” Id.
These additional procedural protections are twofold.
First, under Rule 23(b)(3), the court must “find[] that the questions of law or
fact common to class members predominate over any questions affecting only
individual members.” This “predominance” inquiry is similar to, though “more
stringent” than, Rule 23(a)(2)’s “commonality” requirement, with the former (i.e.,
predominance) said to “subsume[]” or “supersede[]” the latter (i.e., commonality).
Amchem Prods., Inc. v. Windsor, 521 U.S. 591, 609 (1997). In other words, “Rule
23(b)(3)’s predominance criterion is even more demanding than Rule 23(a)[‘s
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commonality requirement].” Comcast Corp. v. Behrend, 569 U.S. 27, 34 (2013)
(citing Amchem, 521 U.S. at 623–24).
Second, the court must find that “a class action is superior to other available
methods for fairly and efficiently adjudicating the controversy.” Fed. R. Civ. P.
23(b)(3). This “superiority” requirement aims to “achieve economies of time, effort,
and expense, and promote ... uniformity of decision as to persons similarly situated,
without sacrificing procedural fairness or bringing about other undesirable results.”
Amchem, 521 U.S. at 615 (quoting Fed. R. Civ. P. 23 adv. comm. n. to 1966 amend.).
Rule
23(b)(3)
lists
four
non-exhaustive
factors
“pertinent”
to
the
“predominance” and “superiority” analyses. Two are potentially relevant here—“the
likely difficulties in managing a class action” and “the class members’ interests in
individually controlling the prosecution or defense of separate actions.” See Fed. R.
Civ. P. 23(b)(3)(A)–(D).
Importantly, the question of whether a class may be appropriately certified is
separate from whether the putative class, as defined, will succeed on the merits.
That said, “it may be necessary for the court to probe behind the pleadings before
coming to rest on the certification question.” Comcast, 569 U.S. at 33 (quoting WalMart, 564 U.S. at 350). Indeed, the Supreme Court has directed courts to undertake
a “rigorous analysis” before certifying a class—an analysis that “frequently entail[s]
‘overlap with the merits of the plaintiff’s underlying claim.’” Id. at 33–34 (quoting
Wal-Mart, 564 U.S. at 350). While this “rigorous analysis” might involve some
consideration of the merits, though, courts do not have “license to engage in free-
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ranging merits inquiries at the certification stage.” Amgen Inc. v. Conn. Ret. Plans
& Tr. Funds, 568 U.S. 455, 466 (2013).
At bottom, a “district court has broad discretion to decide whether to certify a
class. [The Sixth Circuit] has described its appellate review of a class certification
decision as ‘narrow,’ and as ‘very limited.’” Glazer v. Whirlpool Corp. (In re
Whirlpool Corp. Front-Loading Washer Prods. Liab. Litig.), 722 F.3d 838, 850 (6th
Cir. 2013) (citations omitted).
LAW AND ANALYSIS
As described above, Dr. Cooper must clear six hurdles to succeed in her
motion
for
class
certification:
Rule
23(a)’s
requirements
of
numerosity,
commonality, adequacy, and typicality, as well as Rule 23(b)(3)’s requirements of
predominance and superiority.3 Of these, NeilMed meaningfully contests only three:
adequacy and typicality under Rule 23(a), and predominance under Rule 23(b)(3).
Because the Court concludes that the predominance inquiry is dispositive, it begins
and ends its analysis there.
Rule 23(b)(3) also contains an “implied ascertainability” requirement. See Sandusky
Wellness Ctr., LLC v. ASD Specialty Healthcare, Inc., 863 F.3d 460, 471 (6th Cir. 2017) (“[A]
‘class definition must be sufficiently definite so that it is administratively feasible for the
court to determine whether a particular individual is a member of the proposed class.’”
(quoting Young v. Nationwide Mut. Ins. Co., 693 F.3d 532, 537–38 (6th Cir. 2012)). In the
Junk Fax context, the Sixth Circuit has generally considered fax logs listing transmission
recipients—which are available in this case—to satisfy the requirement. See id.
3
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A.
Dr. Cooper Has Failed To Demonstrate That Common Issues Of Fact
Or Law Would Predominate Were This Case To Proceed To Trial As A
Class Action.
Predominance “tests whether proposed classes are sufficiently cohesive to
warrant adjudication by representation.” Amchem, 521 U.S. at 623. “To meet the
predominance requirement, a plaintiff must establish that issues subject to
generalized proof and applicable to the class as a whole predominate over those
issues that are subject to only individualized proof.” Young v. Nationwide Mut. Ins.
Co., 693 F.3d 532, 544 (6th Cir. 2012) (quoting Randleman v. Fid. Nat. Title Ins.
Co., 646 F.3d 347, 352–53 (6th Cir. 2011)). But “[a] plaintiff class need not prove
that each element of a claim can be established by classwide proof.” Whirlpool
Corp., 722 F.3d at 858 (citing Amgen, 568 U.S. at 468). Indeed, “[a] class may be
certified based on a predominant common issue even though other important
matters will have to be tried separately, such as damages or some affirmative
defenses peculiar to some individual class members.” Hicks v. State Farm Fire &
Cas. Co., 965 F.3d 452, 460 (6th Cir. 2020) (citation and internal quotation marks
omitted).
In deciding whether individual issues predominate over common questions, a
court cannot rely on mere “speculation and surmise” that individual issues may
arise. Bridging Cmtys. Inc. v. Top Flite Fin. Inc., 843 F.3d 1119, 1125 (6th Cir.
2016) (quoting Waste Mgmt. Holdings, Inc. v. Mowbray, 208 F.3d 288, 298 (1st Cir.
2000)). Instead, a court “should consider only those issues that would likely arise if
an individual class member’s claims were being adjudicated on the merits.” Bais
Yaakov of Spring Valley v. ACT, Inc., 12 F.4th 81, 89 (1st Cir. 2021) (emphasis
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added). “In so doing, a court considers ‘the probable course of the litigation’ so as to
‘formulate some prediction as to how specific issues will play out in order to
determine whether common or individual issues predominate.’ Id. (quoting
Mowbray, 208 F.3d at 298); see also Sandusky Wellness Ctr., LLC v. ASD Specialty
Healthcare, Inc., 863 F.3d 460, 468 (6th Cir. 2017) (“[T]he key is to ‘identify[] the
substantive issues that will control the outcome,’ in other words, courts should
‘consider how a trial on the merits would be conducted if a class were certified.’”
(quoting Gene & Gene, LLC v. BioPay, LLC, 541 F.3d 318, 326 (5th Cir. 2008)).
NeilMed argues Dr. Cooper has failed to establish the predominance required
by Rule 23(b)(3) for two reasons. First, it argues that many of the putative class
members have, in one way or another, consented to receiving faxes similar to and
including the P3990 Fax, thereby defeating any TCPA claim based on unsolicited
advertisement as to that putative class member. (Mem. in Opp’n to Mot. for Class
Certification (“Opp’n”), Doc. 66, #1546). In NeilMed’s view, identifying which
individuals gave permission on the facts here is an “inherently individualized”
inquiry, “essentially requir[ing] a mini-hearing on the merits of each case.” (See id.
at #1548). Second, NeilMed argues that “individual issues as to what type of
equipment class members used to receive faxes will predominate over common
issues.” (Id. at #1554). Identifying the equipment used by each putative class
member is critical, according to Neilmed, because “online fax service[s] that
effectively receive[] faxes ‘sent as email over the Internet’ … fall[] outside the scope
of the [TCPA’s] statutory prohibition.” (Id.). Because the Court concludes that
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NeilMed succeeds on the first of these two arguments, the Court declines to consider
the latter.
1.
NeilMed Has Adduced Sufficient Evidence Supporting Its
Affirmative Defense Of Prior Express Invitation Or Permission,
And Dr. Cooper Has Failed To Offer Generalized Proof To The
Contrary.
NeilMed argues mainly that the Court should deny class certification because
individual issues relating to consent will overwhelm issues common to the class.
That argument starts on strong legal footing, as consent is integral to
determining NeilMed’s TCPA liability. The TCPA, as amended by the Junk Fax
Prevention Act, makes it unlawful to “send … an unsolicited advertisement” unless
certain conditions are met. 47 U.S.C. § 227(b)(1)(C) (emphasis added). An
“unsolicited advertisement” is an advertisement “which is transmitted to any
person without that person’s prior express invitation or permission.” Id. § 227(a)(5).
Though the invitation or permission must be “express,” the Act explains that it may
be provided “in writing or otherwise,” id., which includes oral permission. See
Sawyer v. KRS Biotechnology, Inc., No. 1:16-CV-550, 2018 WL 2425780, at *11 (S.D.
Ohio May 30, 2018), report and recommendation adopted sub nom. Sawyer v. KRS
Glob. Biotechnology, Inc., No. 1:16-CV-550, 2018 WL 4214386 (S.D. Ohio Sept. 5,
2018) (“[P]ermission to send fax advertisements may be ‘granted in writing or
orally.’” (quoting Rules and Regulations Implementing the Telephone Consumer
Protection Act of 1991; Junk Fax Prevention Act of 2005, 71 Fed. Reg. 25967,
25971)). Thus, any person who expressly invited the P3990 Fax does not have a
viable TCPA claim against NeilMed, whether or not the fax was an “advertisement.”
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While consent is an important issue to liability, the question at the
certification stage is limited to whether the consent issue prevents Dr. Cooper from
showing predominance. The Court’s consideration of that issue begins with a
threshold matter—identifying which party bears the burden of proof at this stage of
litigation and then considering how that burden affects the predominance analysis.
The parties nominally disagree both on where to place the burden of proof
and the practical effect of that placement, but their disagreement is more in tone
than substance. Both parties ultimately agree (or at least do not seriously dispute)
two propositions. This first of these, is that, as the party seeking certification, Dr.
Cooper retains the burden of establishing that Rule 23(b)(3)’s requirements are
met—which includes the need to show that “questions of law or fact common to
class members predominate over” questions affecting only individuals. See
Sandusky Wellness, 863 F.3d at 466–67 (“It is the party seeking class certification
… that bears the burden of ‘affirmatively demonstrat[ing]’ compliance with Rule
23.” (quoting Wal-Mart, 564 U.S. at 350)). And the second is that, on the merits of
consent, NeilMed shoulders the burden of proving prior express invitation or
permission because consent is an affirmative defense to TCPA liability. True Health
Chiropractic, Inc. v. McKesson Corp., 896 F.3d 923, 931 (9th Cir. 2018) (“‘[E]xpress
consent’ is an affirmative defense to a claim brought under a provision of the TCPA
dealing with unsolicited telephone calls, and [] the defendant bears the burden of
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proving such consent.”).4 Given the absence of serious dispute, the Court allocates
these respective burdens as the parties suggest.5
So what are the practical implications of that conclusion? The parties again
appear to disagree on the answer to that question. But, again, the disagreement is
largely superficial. Dr. Cooper, citing the Ninth Circuit’s opinion in True Health,
asserts that, because NeilMed “has the burden of proof on the permission defense,
this Court must consider [only] the permission defenses for which NeilMed has
actually presented evidence.” (Reply, Doc. 70, #53324). For its part, NeilMed
contends that the burden of establishing prior express invitation or permission is
“irrelevant” to the class certification question, but then concedes that True Health
held that a defendant must “actually advance[]” a consent defense and present
“evidence supporting it.” (Opp’n, Doc. 66, #1553).
The upshot of all that is this: at the certification stage, the Court may only
consider theories of consent NeilMed “has actually advanced and for which it has
presented evidence,” which it may do “in various ways.” True Health, 896 F.3d at
931–32 (citing Sandusky Wellness, 863 F.3d at 468–70). Conversely, the Court may
not consider “consent defenses that [NeilMed] might advance or for which it has
presented no evidence.” Id. (emphasis added) (citing Top Flite, 843 F.3d at 1125).
NeilMed offhandedly suggests that categorizing prior express permission as an affirmative
defense is erroneous “under basic principles of statutory interpretation,” (Opp’n, Doc. 66,
#1552), but it does not develop that argument any further, and the Court declines to
entertain it for purposes of this Opinion.
4
The Court will refer to NeilMed’s affirmative defense variously as “consent” “permission”
and “prior express invitation or permission.”
5
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The parties needn’t have cited out-of-circuit precedent for that point, though,
as it follows directly from Sixth Circuit case law. Indeed, the Ninth Circuit’s True
Health decision, on which the parties rely, cites to Sixth Circuit precedent. See id.
In fact, the Sixth Circuit has considered this precise issue—whether and when
individualized questions of consent will preclude class certification in the TCPA
context—on two occasions. In one, it found class certification appropriate, and in the
other, it did not. In many ways, resolving the instant class certification motion
turns largely on determining which of those two cases is a better fit to the facts
here. Thus, the Court begins with a closer look at each.
First, in Bridging Communities Inc. v. Top Flite Financial Inc., 843 F.3d 1119
(6th Cir. 2016), the defendant, Top Flite, had paid a third-party “fax-blasting”
service to send advertisements to more than 4,000 fax numbers; the third party had
in turn purchased these fax numbers from yet another company. Id. at 1122. In
resisting class certification, the defendant argued that the affirmative defense of
consent would raise individualized factual inquiries that would overwhelm issues
common to the class—that is, the defendant argued that, because consent is an
individualized issue, plaintiff could not establish predominance as Rule 23(b)(3)
requires. But the defendant did not offer any evidence to support the argument that
resolving consent would require individualized determinations. Rather, it merely
“raised the possibility” that some “class members might have given consent.” Id. at
1125.
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The Sixth Circuit rejected that argument, noting that “mere mention of a
defense is not enough to defeat the predominance requirement of Rule 23(b)(3).” Id.
at 1126. Further, “speculation and surmise” about a possible consent defense did
not create a lack of predominance. Id. Rather, the court agreed with the plaintiff
that, on the facts at issue, the question of consent was subject to generalized proof.
In particular, because the “sender ‘obtained all of the fax recipients’ fax numbers
from a single purveyor of such information[,]’ there exist[ed] a ‘class-wide means of
establishing the lack of consent based on arguably applicable federal regulations.’”
Id. at 1126. Those regulations required the third-party sender to “take reasonable
steps to verify that the recipient agreed to make the number available for public
distribution.” Id. at 1125 (quoting 47 C.F.R. § 64.1200(a)(4)(ii)(B)). In light of those
regulations, the “common question” about prior consent was “whether the inclusion
of the recipients’ fax numbers in the purchased database indicated their consent to
receive fax advertisements.” Id. at 1126 (quoting Gene & Gene, 541 F.3d at 328).
Framed that way, “there [we]re … no questions of individual consent.’” Id.
A year after Top Flite, though, the Sixth Circuit held that “individualized
questions of consent” can “prevent[] common questions from predominating.”
Sandusky Wellness, 863 F.3d at 466. Although the Sandusky defendant had (like
the Top Flite defendant) purchased a list of contacts from a third-party data
provider, the Sandusky defendant later learned that some of the purchased contacts
“happened to be current or former customers.” Id. at 464–65. And in response to the
motion for class certification, the defendant produced 450,000 pages of various
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forms, some of which the district court found “would demonstrate that these
customers … had given the requisite consent … to receive the fax.” Id. at 468.
Faced with these facts, the Sixth Circuit reasoned that, if the “class were
certified, the district court would be tasked with filtering out those members to
whom [the defendant] was not liable—those individuals who solicited the … fax.”
Id. at 468. And, in distinguishing the case before it from Top Flite, the court noted
that, unlike the plaintiff in Top Flite, the Sandusky plaintiff had not advanced a
viable theory of generalized proof demonstrating the absence of consent. Id. at 469–
70. Rather, although the case involved some questions common to the class,
“identifying which individuals consented would undoubtedly [have been] the driver
of the litigation.” Id. at 468.
Reading the two cases together, then, the rule appears to be something along
these lines: A defendant’s bare assertion that some of the putative class members
may have consented does not preclude class certification. But if the defendant is
able to offer some evidence supporting a consent defense, especially if the defendant
can do so as to a significant number of putative class members, and the plaintiff
fails to offer a viable class-wide mechanism for resolving the issue, that can
preclude certification.
The problem in applying that rule here, though, lies in determining how
much evidence the defendant must produce regarding consent, and how large the
number of putative class members must be, for the defendant to take advantage of
that rule. And on that front, Top Flite and Sandusky Wellness offer little guidance,
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as they represent opposite extremes. In Top Flite, the defendant produced no
evidence of consent and relied on a single theory of showing consent that was
subject to generalized class-wide resolution, while the Sandusky Wellness defendant
produced hundreds of thousands of documents relating to consent that would have
necessitated thousands of individualized determinations about putative class
members. In short, neither case does much to identify the precise line where
consent becomes a sufficiently individualized issue to prevent class certification on
predominance grounds. And this is the true crux of the parties’ dispute here.
NeilMed contends it has “produced evidence” of consent. But Dr. Cooper argues that
NeilMed has produced none (or, at the very least, not enough).
NeilMed offers five methods by which it says it received prior express
invitation or permission from recipients before sending the P3990 Fax. Specifically,
it says it received consent from: (1) “hundreds of professionals known to its
founders”; (2) “in-person sales visits to doctors’ offices”; (3) “in-person interactions at
medical conventions”; (4) “direct inquiries from class members”; and (5) “return
faxes” sent by various physicians in response to product sample offers. (See Opp’n,
Doc. 66, #1546). The Court will consider in turn each category of evidence NeilMed
offers in support of these theories of consent.
In terms of evidentiary showing, the first four of these methods are
principally supported by NeilMed’s discovery responses6 and the deposition of
Although the discovery responses NeilMed relies on appear to be unsworn, Dr. Cooper
does not argue that the Court should not consider them for that reason at this juncture, and
the Court considers that argument waived. Moreover, the substance of the responses is
generally supported by the deposition testimony of Dr. Mehta.
6
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Doctor Ketan Mehta, NeilMed’s CEO and founder. (Id.). In its discovery responses,
NeilMed asserts that it “obtained consent to send faxes … in a variety of ways since
the company was started in 2000.” (Def. Suppl. Resp. to Pl. Interrogs., Jacobson
Decl. Ex. A, Doc. 66-2, #1597). For example, it says “[m]any customers,” such as the
founder’s “fellow medical practitioners and their referrals,” “consented to receive
faxes orally.” (Id.). It says that some of these practitioners also submitted consent
declarations (discussed more thoroughly below), thereby “demonstrating that they
previously provided Defendant with prior express invitation or permission to send
them faxes.” (Id.).
NeilMed writes that it also obtained consent from customers and potential
customers at “trade shows and medical conventions throughout the United States
and worldwide.” (Id.). NeilMed “employs several full-time staff members” that
represent NeilMed at these events, and reports that “[f]rom 2012 through 2016
alone, [NeilMed’s] employees attended 521 tradeshows worldwide, including 343
tradeshows in the United States.” (Id.). At these shows, attendees “provided their
contact information and consent to receive faxes” by, for example, scanning a badge
at NeilMed’s booth, which “provide[d] Defendant with the registered participant’s
name and contact information.” (Id.).
Other attendees, according to NeilMed, personally visited NeilMed’s booth
and “provided their contact information, including their fax numbers[,] … by filling
out a form, so that they could receive samples, educational brochures and other
information.” (Id. at 1598). Others, still, left their business cards, including fax
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numbers, “instead of taking the time to fill out a form by hand.” (Id.; see also Mehta
Dep., Doc. 61-1, #920 (testifying that NeilMed enters contact information into
NetSuite after a “doctor has given the business card for communication”)).
According to NeilMed, it is “standard practice within the medical professional
industry to expect a follow-up fax or email from a tradeshow exhibitor after a
medical professional has provided their name and contact information.” (Def. Suppl.
Resp. to Pl. Interrogs., Jacobson Decl. Ex. A, Doc. 66-2, #1598).
Dr. Mehta, NeilMed’s CEO, also provided further explanation on the topic.
Though he could not match any of the recipient fax numbers with a specific doctor,
Dr. Mehta insisted that he could do so if given names and photographs, as he knows
“thousands” of doctors. (Mehta Dep., Doc. 61-1, #934–35). In addition, although
Mehta did not know if one could determine from NetSuite (the software in which
the fax numbers are stored) when or how NeilMed obtained a fax number, Mehta
contends that at least some of the fax numbers were provided by doctors directly to
him, to his co-founder, or to other employees. (Id.). Mehta also testified that
NeilMed’s “salespeople over the years have confirmed [with doctors] that [it’s] okay
to communicate via fax.” (Id. at #917). Although he testified that he did not
personally obtain permission from all the P3990 Fax recipients, he “ha[s] no doubt”
that permission was received, because “that has been basically the practice for over
20 years.” (Id.).
These discovery responses and corroborating testimony from NeilMed’s
founder strongly suggest that NeilMed built its list of fax recipients organically over
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several years, and that thousands of individual physicians and/or their offices
provided their contact information in a variety of ways and in different settings. As
a result, factual and legal questions abound as to whether these individual putative
class members in fact consented. This evidence thus favors a finding of a lack of
predominance. See Sawyer, 2018 WL 4214386, at *4 (denying class certification
where defendant’s employees testified that it “[did] not purchase fax lists from third
party brokers” but instead “‘slowly built a collection of fax numbers of potential
customers’” by attending trade shows, arranging meetings, contacting physicians,
and the like).
Beyond that, NeilMed separately offers some documentary records that
purportedly evince prior express invitation or permission. First, NeilMed points to
25 fax-back forms returned by physicians and physicians’ offices in response to
offers for NeilMed product samples. (Fax Back Forms, Jacobson Decl. Ex. B, Doc.
66-3, #1606–31). Most of these forms, like the fax-in-suit, offer free samples of
NeilMed products, which physicians can request by selecting certain products,
filling in their contact information (including fax number), and faxing back to
NeilMed. (See, e.g., id. at #1606, 1607, 1609). NeilMed says these forms show the
senders’ ongoing consent to receive faxes like the one here because the senders
voluntarily provided their fax numbers. (Opp’n, Doc. 66, #1546). Finally, NeilMed
offers 104 identical post-hoc declarations, including some from recipients of the
challenged fax, whereby the declarants aver that their “office provided [NeilMed]
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with its … facsimile number,” understanding that “NeilMed would communicate”
via that number. (See, e.g., Consent Decl., Mot. Ex. G, Doc. 59-7, #677).
To be sure, these latter two forms of proving consent appear more susceptible
to generalized determinations; or, at least, it does not appear that they would lead
to an insurmountable number of individualized ones. Start with the faxback forms.
The samples provided all look at least generally similar. Thus, a determination that
a given form is, or is not, sufficient to provide consent may well apply across the
board, even if NeilMed could come up with more than the 25 such forms it has
provided to date. See McCurley v. Royal Seas Cruises, Inc., 331 F.R.D. 142, 174 (S.D.
Cal. 2019) (“Consent can be resolved on a classwide basis if consent was obtained in
an identical or substantially similar manner from class members ….”) (emphasis
added); Johansen v. One Planet Ops, Inc., No. 2:16-CV-00121, 2018 WL 1558263, at
*5 (S.D. Ohio Mar. 5, 2018) (“Consent was given, if at all, through an online form.
When a TCPA defendant obtains consent in a uniform manner such as an online
form, consent can be resolved on a class-wide basis.” (quoting Toney v. Quality Res.,
Inc., No. 13 C 42, 2018 WL 844424, at *15 (N.D. Ill. Feb. 12, 2018))) (internal
citation and quotation marks omitted).
That said, the faxback forms admittedly are akin to the evidence that the
Sixth Circuit considered probative on predominance in Sandusky Wellness. See 863
F.3d at 469 (finding that “[i]dentifying solicited fax recipients through a form-byform inquiry” was “sufficiently individualized to preclude class certification”). And
the reason it did so is also instructive—even though the form issue could perhaps be
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resolved conceptually on a class wide basis, the administrative difficulties involved
in implementing the decision still troubled the court. That is, even once the
determination was made as to the impact of the form, implementing that decision
would have required the parties (or the court) to “manually cross-check[] 450,000
potential consent forms against the 53,502 potential class members.” See id. at 465–
66.
Those same types of concerns could well arise here. NeilMed raises the
prospect that it has thousands of such forms, each of which presumably would need
to be “cross-checked” against the list of fax recipients—at least if such forms suffice
to show consent. And such a task becomes even more unwieldy if one takes NeilMed
at its word: that continued searching of its “thousands of return faxes” would yield
“additional tangible evidence of consent with respect to all those doctors, too.”
(Opp’n, Doc. 66, #1552). This is precisely the type of form-by-form inquiry the Sixth
Circuit found to preclude class certification. See Sandusky Wellness, 863 F.3d at
469. Thus, the faxback forms cut at least somewhat against a finding of
predominance here.
Now turn to the declarations. On their own, they likewise cut only marginally
in favor of a finding that individual questions will predominate over common ones.
To be sure, the declarations state that the signatory “specifically requested[] and
gave permission” for NeilMed to send faxes, and hold out the challenged fax as “an
example of the type of facsimile” that was “welcome and requested.” (Consent
Declaration, Jacobson Decl. Ex. D, Doc. 66-5, #1642–43). But the declarations are
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not a silver bullet for NeilMed because, beyond stating that the declarant provided
their fax number to NeilMed with the understanding that NeilMed would use it, the
declarations do not specify precisely how and when each declarant consented. The
language of the declarations (which are all identical) could encompass both a doctor
who gave her business card to Dr. Mehta in 2012 and a doctor who swiped her
badge at a NeilMed trade show booth in 2017. For that matter, any or all of the
declarants may have simply provided their fax number using a “fax back” form like
those discussed above, in which case the declarations become somewhat cumulative.
In short, the declarations provide the Court with little guidance either way on
whether the consent issue in this case interferes with a finding of predominance.
In the end, though, NeilMed has provided sufficient evidence for the Court to
conclude that it is at least likely that the consent issue here will be individualized.
As noted, NeilMed offered essentially unrebutted testimony that it grew its list
organically based on individualized interactions with potential clients. As a factual
matter, that creates almost a sort of presumption that the consent issue will be
individualized. Against that backdrop, it would be incumbent upon Dr. Cooper to
show why that is not the case. On that front, she offers nothing. She offers no
evidence, for example, that NeilMed in fact purchased the fax numbers, nor does
she have any meaningful basis to dispute NeilMed’s account that it gathered
numbers at some 571 trade shows, or through other individualized contacts.
Instead, Dr. Cooper seeks to raise doubt by pointing out what the evidence
does not include. For example, she correctly notes that NeilMed identified no
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salespeople who allegedly confirmed consent orally, nor does it provide any records
reflecting which doctors swiped their badges at trade shows, or other like evidence.
But the fact that NeilMed might have submitted more or different evidence
does not doom its opposition to certification. And, contrary to Dr. Cooper’s argument
that NeilMed has “no evidence” of permission, (Reply, Doc. 70, #3332), NeilMed has
marshalled at least some evidence that members of the putative class consented in
a variety of ways over several years, including by leaving their contact information
at trade shows, responding to sample offers, and giving their contact information
directly to NeilMed employees. NeilMed’s CEO testified that, although he did not
personally obtain consent from each fax recipient, he has “no doubt” that NeilMed’s
“salespeople over the years … confirmed that [it’s] okay to communicate via fax,
because fax is the main system via which doctors communicate.” (Mehta Dep., Doc.
61-1, #917). This, he says, “has been basically [NeilMed’s] practice for over 20
years.” (Id.). That testimony, by itself, is sufficient to raise at least a likelihood that
a substantial number of individualized inquiries will be necessary. And, absent
competing evidence, that suffices to defeat predominance.
Most of Dr. Cooper’s arguments to the contrary incorrectly focus on whether
NeilMed’s evidence of consent will hold up when measured against substantive
TCPA law. In response to Mehta’s testimony about NeilMed’s “practice” of
confirming that it’s “okay to fax,” for example, Dr. Cooper counters that “a longstanding practice of communicating with doctors via facsimile hardly amounts to
clear-and-convincing evidence that the doctors have given prior, express permission
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to receive [faxed] advertisements.” (Mot., Doc. 59, #507). Dr. Cooper likewise urges
that none of NeilMed’s fax-back forms nor consent declarations constitute prior
express permission for purposes of the TCPA because none of the documents
explicitly mention consenting to receive faxed advertisements. (Reply, Doc. 70,
#3326–27). Thus, Dr. Cooper says, none of the senders could have “underst[ood] that
by providing a fax number, [they were] agreeing to receive faxed advertisements.”
(Id. at #3326 (quoting In re Rules and Regulations Implementing the Telephone
Consumer Protection Act, 68 Fed. Reg. 44144, ¶¶ 135, 136 (July 25, 2003))).
To be sure, a defendant cannot defeat predominance by raising factual issues
having no bearing at all on the salient legal question. See, e.g., Brigadoon Fitness,
29 F.4th at 846–47 (explaining that, if the defendant’s “claim of permission were
based on a legally flawed definition, the company’s argument regarding
predominance would fail”). For example, even a mountain of documentary evidence
proving that every single putative class member unambiguously consented to
receive faxed advertisements could not carry the day for NeilMed if that evidence
showed they did so only after having received the challenged fax. In other words, if
the evidence that the defendant produces to support its claim that consent will
require an individualized determination is legally irrelevant to that issue, that
evidence would do little to interfere with a plaintiff’s showing of predominance.
The evidence NeilMed has submitted, however, is not per se irrelevant.
Indeed, contrary to Dr. Cooper’s argument, NeilMed’s longstanding practice of
communicating with doctors via fax very well might satisfy the definition of prior
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express permission as articulated by various courts. See Bais Yaakov of Spring
Valley v. ACT, Inc., 12 F.4th 81, 90 (1st Cir. 2021) (“FCC rules (unchallenged by
either side) provide that in gauging whether express permission was provided, we
consider the understanding of the recipient.” (citing In re Rules & Regulations
Implementing the Telephone Consumer Protection Act of 1991, 18 FCC Rcd. 14,014,
14,129 (2003) (“Express permission to receive a faxed ad requires that the consumer
understand that by providing a fax number, he or she is agreeing to receive faxed
advertisements.”))). To ultimately resolve that question, the Court would require
additional context about the circumstances in which each physician consented. And
there lies the rub—it is this very need for context that creates the predominance
hurdle Dr. Cooper stumbles on here. See id. at 92 (“In short, even if we assume that
these documents are advertisements, [defendant] would not incur liability if in the
context of a particular relationship a request for [defendant’s] publications was
clearly understood as an invitation to fax what was faxed.”); Gorss Motels, Inc. v.
Safemark Sys., LP, 931 F.3d 1094, 1100 (11th Cir. 2019) (“Although express
permission requires a ‘clear[] and unmistakabl[e] communicat[ion],’ it does not
require that a recipient state specifically that his permission includes faxed
advertisements.”); cf. Physicians Healthsource, Inc. v. Cephalon, Inc., 954 F.3d 615,
622 (3d Cir. 2020) (“The District Court was thus correct in finding that … [plaintiff]
provided business cards with its fax number to drug company representatives,
thereby giving express consent, invitation, and permission to receive related
information, and thus in finding that the two faxes were solicited.”); Robert W.
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Mauthe, M.D., P.C. v. Millennium Health LLC, No. CV 18-1903, 2020 WL 2793954,
at *7 (E.D. Pa. May 29, 2020) (considering first whether “the plaintiff gave the
defendant express consent to send the fax through ‘voluntary provision’ of the
plaintiff’s fax number” and, if so, whether the challenged fax “relate[d] to the reason
the number was provided”).
More broadly, the Court’s mandate at this juncture is not to prejudge the
success of NeilMed’s defense theories. Instead, “the office of a Rule 23(b)(3)
certification ruling is … to select the ‘metho[d]’ best suited to adjudication of the
controversy ‘fairly and efficiently.’” Amgen, 568 U.S. at 460. Thus, the Court’s duty
is only to determine whether the issue of consent is a common issue susceptible to
generalized proof, or an individualized issue incapable of efficient class-wide
resolution. “[I]t is not the final merits of the permission inquiry that matter for Rule
23(b)(3) purposes; it is the method of determining the answer and not the answer
itself that drives the predominance consideration ….” Brigadoon Fitness, 29 F.4th
at 845; see also Top Flite, 843 F.3d at 1124 (the predominance inquiry requires a
court to assess whether the pertinent legal and factual questions are “subject to
generalized proof, and thus applicable to the class as a whole”). In other words,
“[w]hat matters [at this stage] is the type of evidence that the parties will submit to
prove and disprove the defense.” Brown v. Electrolux Home Prods., Inc., 817 F.3d
1225 (11th Cir. 2016) (emphasis added). As noted above, here the evidence on
consent likely will consist of individualized information about context. That
counsels in favor of finding a lack of predominance.
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For similar reasons, Dr. Cooper is incorrect to suggest that a defendant at
this stage must “set[] forth specific evidence showing that a significant percentage
of the putative class consented.” (Reply, Doc. 70, #3337 (quoting Dr. Robert L.
Meinders D.C., Ltd. v. Emery Wilson Corp., No. 14-cv-596, 2016 U.S. Dist. LEXIS
80570, *19–*20 (S.D. Ill. 2016))). Dr. Cooper offers no appellate precedent (nor even
any in-circuit precedent) for this proposition. To the contrary, the Seventh Circuit
(which encompasses the district court on which Dr. Cooper relies) recently rejected
just such a requirement. Brigadoon Fitness, 29 F.4th at 848 (7th Cir. 2022)
(“[Plaintiff’s] reliance on district court cases to establish a rule that defendants
must present evidence of permission given by a ‘significant percentage’ of the
proposed class to defeat class certification reflects an over-reading of those cases.”).
That some, or even most, of NeilMed’s affirmative defenses may ultimately fail does
not make the case any more amenable to the class action treatment; rather, “courts
have acknowledged that the predominance-defeating evidence of consent presented
by the defendant ‘may not all hold up’ when reviewed on the merits.” Licari Fam.
Chiropractic Inc. v. eClinical Works, LLC, No. 8:16-CV-3461-MSS-JSS, 2019 WL
7423551, at *10 (M.D. Fla. Sept. 16, 2019) (citing, among others, Brodsky v.
HumanaDental Ins. Co., 910 F.3d 285, 292 (7th Cir. 2018)).
Thus, NeilMed need not “prove” consent at this preliminary stage (as Dr.
Cooper seems to suggest). It need only offer evidence sufficient to show that it is
likely that the consent issue here will require a substantial number of
individualized determinations. And the Court finds that it has done so by
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presenting “sufficient, non-speculative evidence that a bona fide issue of consent
exists.” Sawyer, 2018 WL 2425780, at *9. Thus, Dr. Cooper must, consistent with
her burden under Rule 23, “come up with something (whether argument or
evidence) to persuade th[e] Court that those individualized consent issues would not
drive this litigation.” Id. Dr. Cooper has failed to do so.
In a further effort to sustain her burden under Rule 23, Dr. Cooper argues
that there exists “class-wide evidence that NeilMed did not obtain prior express
invitation or permission from the 54,938 successful recipients of the P3990 Fax.”
(Mot., Doc. 59, #504). To support that argument, Dr. Cooper points to the
depositions of three NeilMed employees: Dr. Mehta, Srikanth Pai, and Jeffrey
Davis. According to Dr. Cooper, certain portions of these employees’ deposition
testimony show that NeilMed “did not attempt to … obtain [] permission” from
recipients of the P3990 Fax before transmitting it. (Id.). For example, Srikanth Pai,
NeilMed’s Director of Marketing, testified that he did not know whether, prior to
the P3990 broadcast, “anyone at NeilMed call[ed] any of the doctors seeking
permission to send” it. (Id. (quoting Pai Dep., Doc. 62-1, #1123)). And Jeffrey Davis,
part of the “graphics team,” testified that he was not “instructed to call [anyone]” to
obtain permission for the fax. (Id. (quoting Davis Dep., Doc. 60-1, #797)).
But Dr. Cooper over-reads these depositions. At best, these excerpts show
that none of the deposed employees themselves reached out to physicians or
physicians’ offices regarding the P3990 Fax. And, apart from failing to establish
that no one else at NeilMed reached out regarding the P3990 Fax specifically, these
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excerpts fail to consider that prior express permission, once given, can continue
until revoked. See Physicians Healthsource, Inc. v. A-S Medication Sols., LLC, 950
F.3d 959, 966 (7th Cir. 2020) (“Both CE Design and Travel 100 Grp., as well as the
FCC’s regulations, imply that a party may consent on an ongoing basis to faxed
advertisements. Given the impracticality of any other rule, we make our ruling
explicit: Provided a customer gives consent …, we will presume that the customer
has given permission on an ongoing basis to fax advertisements.”) (citations
omitted). Thus, the sender of a fax need not obtain permission for each fax
individually, and these depositions fail to constitute generalized proof of an absence
of consent.
In sum, the Court concludes based on the record here that individualized
factual determinations about if, when, and how certain putative class members (i.e.,
fax recipients) consented would likely become the “driver” of this litigation. Thus,
Dr. Cooper has failed to establish the predominance of common questions as
Federal Rule of Civil Procedure 23(b)(3) requires.
CONCLUSION
For the foregoing reasons, the Court DENIES Dr. Cooper’s Motion for Class
Certification (Doc. 59).
SO ORDERED.
August 9, 2022
DATE
DOUGLAS R. COLE
UNITED STATES DISTRICT JUDGE
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