Shorraw v. Bell et al
Filing
16
ORDER granting 8 Motion to Remand to State Court. This action is remanded to the Court of Common Pleas for Horry County, South Carolina, for further proceedings and rulings on the remaining motions. The court denies Plain tiffs' request for costs and attorneys' fees related to this order. Clerk's Notice: Attorneys are responsible for supplementing the State Record with all documents filed in Federal Court. Signed by the Honorable J. Michelle Childs on 7/5/2016. (hcic, )
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF SOUTH CAROLINA
FLORENCE DIVISION
Georgette Shorraw,
)
)
Plaintiff,
)
)
v.
)
)
Frederick J. Bell;
)
St. Jude Medical S.C., Inc. d/b/a
)
Amplatzer Medical Sales Corporation;
)
Scott Kramer,
)
)
Defendants.
)
____________________________________)
Civil Action No. 4:15-cv-03998-JMC
ORDER AND OPINION
This matter is before the court on the Motion to Remand of Plaintiff Georgette Shorraw
(“Plaintiff Shorraw”) and Defendant and Cross-Plaintiff Frederick J. Bell (“Mr. Bell”)
(collectively, “Plaintiffs”). (ECF No. 8.) Defendant St. Jude Medical S.C., Inc. (“Defendant”)
opposes Plaintiffs’ Motion to Remand and asks the court to retain jurisdiction. (ECF No. 10.)
For the reasons set forth herein, the court GRANTS Plaintiffs’ Motion to Remand (ECF No. 8).
I. RELEVANT FACTUAL AND PROCEDURAL BACKGROUND
Plaintiff Shorraw, a South Carolina resident, initially filed this personal injury and
products liability action in the Circuit Court of Horry County, South Carolina, on April 3, 2013.
(See generally ECF No. 1-1 at 7–13.) Plaintiff Shorraw alleges that she sustained injuries in a
car accident where the driver, Mr. Bell, lost consciousness due to a defective condition in his
Riata Automatic Implantable Cardioverter-Defibrillator (“AICD”) Lead, and struck another
vehicle.
(Id. at 9.)
Plaintiff Shorraw further alleges that (1) Defendant was negligent in
manufacturing the Riata AICD Lead, (2) Defendant should be held strictly liable for violating
S.C. Code Ann. § 15-73-10 (2016), and (3) Defendant breached both an implied and express
1
warranty to Plaintiffs. (Id. at 7–13; see also ECF No. 1-3 at 2–8.) Plaintiff Shorraw also brings
a cause of action against Mr. Bell alleging that his gross negligence contributed to her injuries.
(ECF Nos. 1-1 at 10–11, 1-3 at 5–6.)
Plaintiff Shorraw originally filed this action in state court on April 3, 2013, naming
Defendant and Mr. Bell, a citizen of South Carolina, as Defendants. (ECF No. 1-1 at 7–13.)
Defendant removed the case to federal court and this court denied Plaintiffs’ Motions to Remand
in that action, concluding that Mr. Bell faced no financial liability, making him a nominal
defendant whose citizenship would not be considered for purposes of diversity jurisdiction. (See
ECF No. 1-4.)
Though this court denied Plaintiffs’ Motions to Remand, the court granted Plaintiff
Shorraw’s Motion to Amend her Complaint to add South Carolina Defendant, Scott Kramer.
(See generally No. 4:13-cv-01992-JMC at ECF Nos. 21, 40.) Plaintiff Shorraw’s Amended
Complaint asserted that claims should proceed against Defendant Kramer because he was
negligent in failing to either (1) properly conduct testing on Mr. Bell’s implanted St. Jude Atlas
II+ DR AICD and Riata AICD Leads or (2) warn Mr. Bell about the need to replace his AICD,
resulting in the AICD’s battery failure. (ECF No. 1-3 at 8–9.)
Defendant filed a Notice of Removal on September 25, 2015, claiming therein that
Plaintiffs’ recent depositions, as well as the depositions of Mr. Bell’s treating physicians,
demonstrate that adding Defendant Kramer was a sham to destroy diversity between the parties.
(See generally ECF No. 1.) Defendant asserts that removal is proper under the “safe-harbor”
provision of 28 U.S.C. § 1446(c)(1) (2012), which allows an action to be removed to federal
court more than one year after its commencement if a plaintiff acted in bad faith to prevent
removal. (See ECF No. 10 at 3–5.)
2
In its Notice of Removal, Defendant specifically identifies “four demonstrably false
allegations and two sham affidavits” as evidence of Plaintiff Shorraw’s bad faith in adding
Defendant Kramer as a party to the instant action. (ECF No. 1 at 7–8.)
As to Plaintiff Shorraw’s first “demonstrably false allegation,” Defendant claims that
Plaintiff Shorraw’s deposition testimony directly contradicts her allegation that Mr. Bell
experienced previous syncopal episodes. (Id. at 8–10.) Defendant also notes that Mr. Bell’s
deposition testimony regarding his prior syncopal episodes includes numerous contradictory
statements. (Id. at 10–11.)
As to Plaintiff Shorraw’s second “demonstrably false allegation,” Defendant claims that
Plaintiff Shorraw’s Amended Complaint, stating that “Mr. Bell ‘fail[ed] to consult his doctor
about previous syncopal episodes and follow his recommendation,’” directly contradicts her
allegation that Mr. Bell notified Defendant Kramer of previous syncopal episodes. (Id. at 12
(quoting Am. Compl. ¶25(c)).) Defendant also claims that testimony from Mr. Bell’s treating
physician, Dr. John Ijem, supports that “Mr. Bell did not report experiencing syncopal episodes
or similar symptoms during [his October and November 2012] appointments,” thus contradicting
Plaintiff Shorraw’s allegation. (Id. at 12 (citing Dr. Ijem Dep. at 36–41).)
As to Plaintiff Shorraw’s third “demonstrably false allegation,” Defendant claims that
deposition testimony from Mr. Bell, Dr. Ijem, and Dr. Jason Goebel, a doctor who treated Mr.
Bell after his car accident, directly contradicts Plaintiff Shorraw’s allegation that Defendant
Kramer had decision-making power over replacing Mr. Bell’s AICD. (Id. at 13–14.) Both
doctors testified that the treating physician is ultimately responsible for all medical decisions
involving patients, not a technical representative such as Defendant Kramer. (Id.) Mr. Bell also
3
confirmed that he would only seek advice regarding questions or concerns about his AICD from
Dr. Ijem. (Id. at 13.)
As to Plaintiff Shorraw’s fourth “demonstrably false allegation,” Defendant claims that
Mr. Bell’s medical records and deposition testimony from both Dr. Ijem and Dr. Goebel
contradict Plaintiff Shorraw’s allegation that Mr. Bell was pacemaker dependent. (Id. at 15–16.)
Defendant argues that these allegations, contained in Plaintiff Shorraw’s Amended
Complaint and in her expert witness Robert Dismukes’s affidavits, acted as false predicates for
joining Defendant Kramer in the instant action; they thus demonstrate Plaintiff Shorraw’s bad
faith. (Id. at 8.) In their Motion to Remand, Plaintiffs argue that the allegations are insufficient
to establish bad faith because they (1) can be reasonably inferred from a review of the factual
record, (2) address key factual issues of this case that remain in dispute, or (3) are irrelevant to
Plaintiff Shorraw’s cause of action against Defendant Kramer. (ECF No. 8-1 at 7–8.)
The court considers Plaintiffs’ Motion to Remand (ECF No. 8) and Defendant’s
Response (ECF No. 10) below.
II. LEGAL STANDARDS
A. Removal and Diversity Jurisdiction
A party seeking to remove a case from state to federal court bears the burden of
demonstrating that jurisdiction is proper at the time it files its petition for removal. Caterpillar
Inc. v. Lewis, 519 U.S. 61, 73 (1996). If federal jurisdiction is doubtful, remand is necessary.
Mulcahey v. Columbia Organic Chems. Co., 29 F.3d 148, 151 (4th Cir. 1994); see also Marshall
v. Manville Sales Corp., 6 F.3d 229, 232 (4th Cir. 1993) (noting Congress’s “clear intention to
restrict removal and to resolve all doubts about the propriety of removal in favor of retained state
4
court jurisdiction”); Auto Ins. Agency, Inc. v. Interstate Agency, Inc., 525 F. Supp. 1104, 1106
(D.S.C. 1981) (citations omitted).
The right to remove a case from state to federal court derives solely from 28 U.S.C. §
1441 (2012), which provides that “any civil action brought in a State court of which the district
courts of the United States have original jurisdiction, may be removed by the defendant or the
defendants, to the district court of the United States for the district and division embracing the
place where such action is pending.” Absent jurisdiction based on the presentation of a federal
question, see 28 U.S.C. § 1331 (2012), a federal district court only has “original jurisdiction of
all civil actions where the matter in controversy exceeds the sum or value of $75,000, exclusive
of interest and costs, and is between . . . citizens of different States . . . .” 28 U.S.C. § 1332(a)
(2012). “[28 U.S.C. § 1332(a)] and its predecessors have consistently been held to require
complete diversity of citizenship. That is, diversity jurisdiction does not exist unless each
defendant is a citizen of a different State from each plaintiff.” Owen Equip. & Erection Co. v.
Kroger, 437 U.S. 365, 373 (1978) (emphasis in original) (footnote omitted); Crawford v. C.
Richard Dobson Builders, Inc., 597 F. Supp. 2d 605, 608 (D.S.C. 2009) (“The complete diversity
rule of § 1332 requires that the citizenship of each plaintiff be different from the citizenship of
each defendant.”). Moreover, a corporation is a “citizen” of the state in which it is incorporated.
28 U.S.C. § 1332(c)(1).
B. Removal Under 28 U.S.C. § 1446 (2012)
Where a case is not removable based on parties’ initial pleadings, 28 U.S.C. § 1446(b)(3)
governs when a defendant may file a notice of removal. Under § 1446(b)(3), “a notice of
removal may be filed within 30 days after receipt by the defendant, through service or otherwise,
of a copy of an amended pleading, motion, order, or other paper” that alerts the defendant to the
5
case’s ability to be removed. The “other paper” requirement is construed broadly to include
information received by defendants both formally and informally. Yarnevic v. Brink’s, Inc., 102
F.3d 753, 755 (4th Cir. 1996) (quoting Broderick v. Dellasandro, 859 F. Supp. 176, 178 (E.D.
Pa. 1994). Deposition testimony may be classified as an “other paper” under § 1446(b)(3).
Bethesda Chevy Chase Surgery Ctr., LLC v. Unitedhealthcare Ins. Co., No. 8:15-cv-03496, 2016
WL 3042957, at *4 (D. Md. May 27, 2016) (quoting Tolley v. Monsanto Co., 591 F. Supp. 2d
837, 845 (S.D.W. Va. 2008)); see also Breiding v. Wilson Appraisal Servs., Inc., No. 5:14-cv00124, 2016 WL 1175257, at *3 (N.D.W. Va. Mar. 23, 2016).
When removal under § 1446(b)(3) is based on parties’ diversity of citizenship under 28
U.S.C. § 1332(a), 28 U.S.C. § 1446(c)(1) further limits when a defendant may file a notice of
removal. Under § 1446(c)(1), a defendant seeking federal jurisdiction under § 1332 may not
remove a case “more than 1 year after commencement of the action, unless the district court
finds that the plaintiff has acted in bad faith in order to prevent a defendant from removing the
action.” 28 U.S.C. § 1446(c)(1) (2012).
III. ANALYSIS
The dispute before this court centers on whether Defendant timely removed the instant
action based on its allegation that Plaintiff Shorraw relied on sham testimony to amend her
complaint. Defendant contends that its removal should be considered timely because Plaintiff
Shorraw’s actions meet the bad faith exception for removal beyond the one-year removal time
limit imposed by 28 U.S.C. § 1446(c)(1).
A.
Plaintiffs’ Motion to Remand
Plaintiffs’ Motion to Remand asserts that (1) Defendant’s removal of this action was
improper based on its timing, (2) Defendant’s allegations of bad faith are insufficient to meet the
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§ 1446(c)(1) standard for an exception to the one-year time limit on removals, and (3) Defendant
has not shown that Defendant Kramer was fraudulently joined. 1 (See generally ECF No. 8-1.)
Plaintiffs contend that pursuing a claim against Defendant Kramer was a strategic
decision that Plaintiff Shorraw was entitled to make and is, thus, “not inherently bad faith.” (Id.
at 5–6 (citing Brazell v. Gen. Motors, LLC, No. 6:14-cv-04588, 2015 WL 1486932, at *4 (D.S.C.
Mar. 30, 2015).) In arguing that Plaintiff Shorraw’s addition of Defendant Kramer was not a bad
faith attempt to prevent removal, Plaintiffs point to Plaintiff Shorraw’s continued litigation of
claims against Defendant Kramer, including hiring an expert witness and surviving a motion to
dismiss in state court. (Id. at 9–10.) Plaintiffs assert that because Defendant fails to demonstrate
forum manipulation, rather than mere strategic action, Plaintiff Shorraw’s actions do not meet
the bad faith standard for an exception to the one-year time limit on removals. (Id. at 5–6.)
Thus, according to Plaintiffs, Defendant’s removal is untimely and this action should be
remanded. (Id. at 5.)
With regard to the four false allegations Defendant specifically describes as evidence of
bad faith in its Notice of Removal, 2 Plaintiffs argue in their Motion to Remand that these, too,
are insufficient to demonstrate forum manipulation. Specifically, Plaintiffs assert that whether or
not Mr. Bell’s episodes are labeled as syncopal, record evidence shows that Mr. Bell suffered
from dizziness prior to the accident. (Id. at 8.) And while Plaintiffs yield to the fact that Mr.
Bell was not pacemaker dependent, they allege that whether he was pacemaker dependent or not
is immaterial to Plaintiff Shorraw’s cause of action against Defendant Kramer. (Id. at 7.)
1
Because Plaintiff Shorraw is still pursuing claims against Defendant Kramer and because key factual
issues remain in dispute, Plaintiffs argue that Defendant Kramer was not fraudulently joined and therefore
his citizenship cannot be ignored in determining subject matter jurisdiction under 28 U.S.C. § 1332. (See
ECF No. 8-1 at 2–4.)
2
See discussion supra Part I.
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Finally, Plaintiffs contend that whether Defendant Kramer owed a “duty to inform the treating
physician and patient of recalls on St. Jude devices” and whether the treating physician relied on
Defendant Kramer are key disputed issues in this action that should be decided by a court with
jurisdiction, rather than on a notice of removal or motion to remand. (Id.)
B.
Defendant’s Opposition to Plaintiffs’ Motion to Remand
Defendant’s Opposition to Plaintiffs’ Motion to Remand, which incorporates arguments
made in Defendant’s Notice of Removal, asserts that (1) removal was timely filed under 28
U.S.C. § 1446(c)(1)’s bad faith exception and (2) Defendant Kramer’s fraudulent joinder should
preclude his citizenship from consideration in determining diversity jurisdiction. (See generally
ECF Nos. 1, 10.)
Defendant alleges that they learned that this action was removable on or about August 26,
2015 based on Plaintiff Shorraw’s deposition testimony, which established that the claims
against Defendant Kramer were false. (ECF No. 1 at 6.) Depositions of Mr. Bell and two
treating physicians related to this case were taken after Plaintiff Shorraw’s deposition. (Id.)
Defendant alleges that the testimony in those later depositions also support removal. (Id.)
Defendant removed this action on September 25, 2015, within 30 days of the earliest deposition.
(Id.) Defendant thus states that its removal was timely under 28 U.S.C. § 1446(b)(3) because it
was within 30 days of receiving notice that the case was removable. (Id.)
Defendant contends that to determine whether § 1446(c)(1)’s bad faith exception applies
to the one-year time limit on removals under § 1446(b)(3), this court must consider “whether
Plaintiffs intentionally took actions to prevent Defendant from removing the case to federal
court.” (ECF No. 10 at 4 (quoting Hiser v. Seay, No. 5:14-cv-00170, 2014 WL 6885433, at *4
(W.D. Ky. Dec. 5, 2014).) Defendant argues that despite continuing to pursue a cause of action
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against Defendant Kramer, Plaintiff Shorraw’s addition of Defendant Kramer to the litigation
was based on a sham affidavit and false allegations intended to destroy diversity. (ECF No. 1 at
7–8.) Defendant specifically identifies four false allegations that Plaintiff Shorraw relied on to
bring claims against Defendant Kramer. 3 Defendant argues that because deposition testimony
specifically refutes these four allegations, Defendant Kramer’s addition to this action
demonstrates Plaintiff Shorraw’s bad faith attempt to prevent Defendant from seeking a federal
venue. (ECF No. 10 at 5–15.)
Defendant avers that because Defendant Kramer was joined under the pretense of “false
allegations propped up by sham affidavits,” this court should find that Defendant Kramer was
fraudulently joined, and thus his citizenship should not be considered in determining diversity
jurisdiction. (ECF No. 1 at 16–17.)
C.
Court’s Review
Upon review of the record, this court finds that removal was untimely, and thus remand is
necessary.
1. Defendant’s Removal Was Appropriate Under § 1446(b)(3)
Deposition testimony may be construed to fall within the “other paper” designation in 28
U.S.C. § 1446(b)(3), which allows defendants to remove actions when they become aware after
parties’ initial pleadings that a case is removable. Defendant filed its Notice of Removal within
thirty days of the first deposition testimony that indicated that this action was removable.
However, this case is beyond the one-year time period that limits removals under § 1446(b)(3)
where the basis of jurisdiction is 28 U.S.C. § 1332.
Neither party disputes these facts.
Therefore, this court must consider whether removal was timely under 28 U.S.C. § 1446(c)(1)’s
bad faith exception.
3
See discussion supra Part I.
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2. Defendant’s Removal Fails to Meet the Bad Faith Exception for Removals
Beyond the One-Year Time Limit Under § 1446(c)(1)
Courts have not settled on a clear standard for determining bad faith under 28 U.S.C. §
1446(c)(1). Compare, e.g., Aguayo v. AMCO Ins. Co., 59 F. Supp. 3d 1225 (D.N.M. 2014)
(outlining a clear two-step process by which all removals within the district alleging bad faith
under § 1446(c)(1) should be evaluated), with Lawson v. Parker Hannifin Corp., No. 4:13-cv00923, 2014 WL 1158880, at *6 (N.D. Tex. Mar. 20, 2014) (stating that evidence of forum
manipulation may be treated as sufficient for a finding of bad faith under § 1446(c)(1)).
In the Court of Appeals for the Fourth Circuit, what constitutes bad faith under §
1446(c)(1) is a developing standard. See Johnson v. HCR Manorcare LLC, No. 1:15-cv-00189,
2015 WL 6511301, at *4 (N.D.W. Va. Oct. 28, 2015) (“The contours of the bad faith exception
are murky in the Fourth Circuit.”). Despite lacking a definitive test for bad faith, Fourth Circuit
district courts routinely evaluate bad faith under § 1446(c)(1) by determining whether plaintiffs
engaged in forum manipulation specifically to prevent removal. See, e.g., Johnson, No. 1:15-cv00189, 2015 WL 6511301, at *4 (quoting Ramirez v. Johnson & Johnson, No. 2:15-cv-09131,
2015 WL 4665809, at *3 (S.D.W. Va. Aug. 6, 2015)) (stating that to prove bad faith, a defendant
must “bear[] an arduous burden that requires evidence of forum manipulation”); see also White
v. Lexington Court Apartments, LLC, No. 8:16-cv-00427, 2016 WL 1558340, at *3–4 (D. Md.
Apr. 18, 2016) (ruling that removal was untimely because the plaintiffs’ alleged bad faith acts
were not taken to prevent removal); Mansilla-Gomez v. Mid-S. Erectors, Inc., No. 0:14-cv00308, 2014 WL 1347485, at *2 (D.S.C. Apr. 3, 2014) (finding that removal was untimely
because factors other than preventing removal may have motivated the plaintiff’s actions). This
court follows its fellow district courts and considers whether Plaintiff Shorraw’s actions
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demonstrate forum manipulation to determine if removal was timely under § 1446(c)(1)’s bad
faith exception.
Defendant argues that to determine whether Plaintiff Shorraw engaged in forum
manipulation, this court should look to “whether Plaintiff[] intentionally took actions to prevent
Defendants from removing the case to federal court.” (ECF No. 10 at 4 (quoting Hiser, No.
5:14-cv-00170, 2014 WL 6885433, at *4).) However, as Plaintiffs note in their Motion to
Remand, “it is not inherently bad faith to use strategy to defeat federal jurisdiction.” (ECF No.
8-1 at 5–6 (quoting Brazell, No. 6:14-cv-04588, 2015 WL 1486932, at *4)); see also Johnson,
No. 1:15-cv-00189, 2015 WL 6511301, at *4 (quoting Ramirez, No. 2:15–cv–09131, 2015 WL
4665809, at *3) (“The use of strategy to defeat jurisdiction does not constitute bad faith.”).
In determining the boundary between forum manipulation and litigation strategy, this
court considers other cases that contemplate forum manipulation. In Tedford v. Warner-Lambert
Co., for example, a pre-cursor to the bad faith exception now codified at § 1446(c)(1), the Court
of Appeals for the Fifth Circuit found that the plaintiffs engaged in forum manipulation where,
despite signing a Notice of Nonsuit for a nondiverse defendant prior to the expiration of the oneyear anniversary of the action’s commencement, the plaintiffs failed to timely notify the
defendants or the court of the nonsuit, thereby denying the defendants the opportunity to remove
the action. 327 F.3d 423, 427–28 (5th Cir. 2003). Similarly, other courts considering whether a
party acted in bad faith to prevent removal evaluate whether the plaintiff’s actions specifically
consider the one-year limit on removal. See, e.g., Hiser, No. 5:14-cv-00170, 2014 WL 6885433,
at *4 (denying remand where the plaintiff intentionally chose to delay accepting a settlement
offer with a nondiverse defendant until after the one-year time period elapsed); Brown v. WalMart Stores, Inc., No. 5:13-cv-00081, 2014 WL 60044, at *2 (W.D. Va. Jan. 7, 2014) (collecting
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cases where the plaintiffs’ actions in delaying disclosure of the amount in controversy until after
the one-year time period were found to be in bad faith).
The facts in the instant action do not rise to the same degree of bad faith forum
manipulation as in these cases. Here, Plaintiff Shorraw moved to include Defendant Kramer as a
defendant in this case prior to Defendant’s first removal of this case (ECF No. 1-1 at 114), and
continues to prosecute claims against Defendant Kramer. (ECF No. 8 at 9–10.) For example,
Plaintiff Shorraw hired an expert in Defendant Kramer’s field, to review Mr. Bell’s medical
records and provide information regarding industry standards for checking the battery voltage on
an AICD (ECF No. 8-6 at 2, 5), and defended against a motion to dismiss. (ECF No. 8-1 at 9–
10.) Such actions indicate to this court that, even if Defendant Kramer’s joinder was convenient
for defeating federal diversity jurisdiction, Plaintiff Shorraw believes she has a cause of action
against Defendant Kramer and that she intends to pursue it sincerely. Indeed, at least one court
considers active litigation of a claim, including “[a]ny non-token amount of discovery,”
sufficient to create a rebuttable presumption of good faith when evaluating bad faith under §
1446(c)(1). Aguayo v. AMCO Ins. Co., 59 F. Supp. 3d 1225, (D.N.M. 2014). While this court
does not go so far as to extend Plaintiff Shorraw a rebuttable presumption of good faith, it does
assign significant weight to her continued litigation against Defendant Kramer in its analysis of
bad faith.
Plaintiffs characterize the allegedly false statements that Defendant relies on for its bad
faith argument as statements that can be reasonably inferred from facts in the record, 4 material
4
Defendant’s Notice of Removal (ECF No. 1 at 2–3) and Opposition to Remand (ECF No. 10 at 5–6) both
acknowledge that dizziness is among the symptoms of syncopal episodes. Plaintiffs allege that dizziness is a
symptom found in Mr. Bell’s medical records. (ECF No. 8-1 at 8.) Therefore, Defendant’s claims regarding
Plaintiff Shorraw’s first and second allegedly false statements ((1) that Mr. Bell experienced syncopal episodes and
(2) that Defendant Kramer knew of those episodes), could be reasonably inferred by Plaintiff Shorraw from the
record.
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disputes that should be litigated by a court with jurisdiction, 5 or statements irrelevant to the claim
against Defendant Kramer. 6 This court agrees with Plaintiffs’ characterization that its actions do
not rise to the standard of bad faith forum manipulation. 7 Therefore, Defendant’s removal must
be deemed untimely under § 1446(c)(1).
3. Defendant Fails to Establish Federal Diversity Jurisdiction
Even if Defendant’s removal was timely, to remain in federal court Defendant would still
need to persuade this court to disregard Defendant Kramer’s citizenship to maintain party
diversity under 28 U.S.C. § 1332(a).
Although this court’s ruling renders unnecessary a
conclusion on this issue, it does not appear that Defendant successfully argued fraudulent joinder
or presented any other reasoning for why this court could disregard Defendant Kramer’s
citizenship and grant federal diversity jurisdiction under § 1332. 8
5
Plaintiffs do not explicitly refute Defendant’s claim regarding the third allegedly false statement (that Defendant
Kramer had decision-making power over replacing Mr. Bell’s AICD). Unfortunately, despite clear contradictions
between the Dismukes Affidavit and Dr. Ijem’s deposition testimony (see ECF No. 1 at 13–14), this court cannot
find bad faith under § 1446(c)(1) merely based on contradictions in the record, because these alleged contradictions
do not establish Plaintiff Shorraw’s intent to prevent removal. Core issues, including whether Defendant Kramer
owed Plaintiffs a duty and whether Defendant Kramer was negligent in performing the tests that Dr. Ijem relied on
when determining whether or not to replace Mr. Bell’s ICD, remain in material dispute. Where issues remain in
material dispute, this court cannot simply declare jurisdiction over an action with a nondiverse defendant by
deeming the plaintiff’s cause of action unviable. See, e.g., Doe v. OwenMcClelland LLC, No. 8:11-cv-01008, 2012
WL 667828, at *3–4 (D.S.C. Feb. 29, 2012) (remanding an action for lack of subject matter jurisdiction where a
viable claim remained against a nondiverse defendant, despite allegations that certain assertions by the plaintiff were
unsupported by the record).
6
Plaintiffs ceded Defendant’s claim regarding Plaintiff Shorraw’s fourth allegation (that Mr. Bell was pacemaker
dependent). (ECF No. 8-1 at 7.) Unfortunately, like the third allegation discussed in footnote 5, supra, the falseness
of this statement does not demonstrate a bad faith intent to bar removal. Moreover, material disputes regarding
Defendant Kramer’s duty and negligence to Plaintiffs prevent this court from offering Defendant relief in federal
court. See discussion supra n. 5.
7
See discussion supra nn. 4–6.
8
To use the fraudulent joinder doctrine, “the removing party must demonstrate either ‘outright fraud in the
plaintiff’s pleading of jurisdictional facts’ or that ‘there is no possibility that the plaintiff would be able to establish a
cause of action against the in-state defendant in state court.’” Hartley v. CSX Transp., Inc., 187 F.3d 422, 424 (4th
Cir. 1999) (quoting Marshall v. Manville Sales Corp., 6 F.3d 229, 232 (4th Cir. 1993) (emphasis in original)). “The
party alleging fraudulent joinder bears a heavy burden—it must show that the plaintiff cannot establish a claim even
after resolving all issues of law and fact in the plaintiff’s favor.” Id. Here, as noted in nn.5–6, supra, there are
several material disputes surrounding Plaintiff Shorraw’s claims against Defendant Kramer. If these disputes were
resolved in Plaintiff Shorraw’s favor, this court is not convinced that there would be no remaining negligence claim
in state court. For this reason, even if this action was timely removed, it seems that this action would likely still be
remanded to state court for final disposition because Defendant fails to establish fraudulent joinder.
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IV. CONCLUSION
Based on the aforementioned reasons, the court hereby GRANTS Plaintiffs’ Motion to
Remand (ECF No. 8) and REMANDS this action to the Court of Common Pleas for Horry
County, South Carolina, for further proceedings and rulings on the remaining motions. The
court denies Plaintiffs’ request for costs and attorneys’ fees related to this order. 9
IT IS SO ORDERED.
United States District Judge
July 5, 2016
Columbia, South Carolina
9
Under 28 U.S.C. § 1447(c) fees should be denied unless a removing party “lack[s] an objectively reasonable basis
for seeking removal.” Martin v. Franklin Capital Corp., 546 U.S. 132, 141 (2005). Determining whether a party
possesses “an objectively reasonable basis for seeking removal” is a matter of this court’s discretion. Id. In the
instant action this court finds that Defendant’s arguments were grounded in a reasonable perception of the factual
record and the applicable law. Therefore, fees are not appropriate.
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