Snead v. CoreCivic of Tennessee, LLC
Filing
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MEMORANDUM OPINION OF THE COURT. Signed by District Judge Aleta A. Trauger on 6/27/2018. (DOCKET TEXT SUMMARY ONLY-ATTORNEYS MUST OPEN THE PDF AND READ THE ORDER.)(jw)
IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF TENNESSEE
NASHVILLE DIVISION
WENDY SNEAD and EDWARD
MOREDOCK, individually and on
behalf of all others similarly situated,
Plaintiffs,
v.
CORECIVIC OF TENNESSEE, LLC
f/k/a CORRECTIONS
CORPORATION OF AMERICA,
Defendant.
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Case No. 3:17-cv-0949
(Consolidated with 3:17-cv-0958)
Judge Aleta A. Trauger
MEMORANDUM
Before the court is the plaintiffs’ Motion for Class Certification. (Doc. No. 19.) The
motion has been fully briefed and is ripe for review. For the reasons set forth herein, the motion
will be granted in part and denied in part.
I.
Factual and Procedural Background
The original Class Action Complaint (Doc. No. 1) initiating this lawsuit was filed by
plaintiff Wendy Snead on June 16, 2017. Named plaintiffs Wendy Snead and Edward Moredock
filed the First Amended Class Action Complaint (“Amended Complaint”) (Doc. No. 15) on
October 27, 2017. The Amended Complaint asserts claims against defendant CoreCivic of
Tennessee, LLC, formerly known as Corrections Corporation of America (“CoreCivic”), under
42 U.S.C. § 1983, based on the defendant’s alleged deliberate indifference to the serious medical
needs of current and former inmates while they were incarcerated at the Metro-Davidson County
Detention Facility (“MDCDF”) in Davidson County, Tennessee, a facility operated by
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CoreCivic, in violation of the inmates’ rights under the Eighth and Fourteenth Amendments to
the United States Constitution.
The plaintiffs seek to certify three subclasses, defined in their Motion for Class
Certification as follows:
The Scabies Class: All current and former inmates who had a skin rash consistent
with a scabies infestation who were denied treatment, or whose delayed treatment
by the Defendant caused the inmate’s condition to worsen, since October 1, 2016.
The Denied Prescriptions Class: All current and former inmates who were
prescribed medication that was not administered as prescribed, or whose
prescribed plan of treatment was interrupted or delayed by the Defendant, since
October 1, 2016.
The Denied Medical Attention Class: All current and former inmates who
requested, but were denied medical attention or treatment since October 1, 2016.
(Doc. No. 19, at 1.)
According to the allegations in the Amended Complaint, CoreCivic is a for-profit prison
company that operates MDCDF, a 1,300-bed facility that houses male and female pretrial
detainees and convicted prisoners serving sentences. There is no distinction between the
detainees’ and prisoners’ conditions of confinement. Both Snead and Moredock are former
prisoners of MDCDF, having already served their sentences prior to filing this lawsuit.
The Amended Complaint asserts that CoreCivic has repeatedly and intentionally failed
and refused to provide healthcare to inmates, including by denying them access to doctors and
necessary medication. The pleading contains numerous allegations regarding CoreCivic’s
specific failures, including that, despite a contractual obligation to respond to sick call requests
within twenty-four hours, CoreCivic’s medical staff typically takes two to four weeks to respond
to a sick-call request by allowing an inmate to see a nurse. “Referrals to doctors take months.”
(Doc. No. 15 ¶ 13(a).) Despite a contractual obligation to employ staff to oversee infection
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control, CoreCivic has not employed anyone in those positions for at least one and possibly four
years, and it does not use any procedure for screening inmates for scabies or other parasitic
infections during intake. And, despite a contractual obligation to do so, it does not procure or
review the medical records of inmates transferred to the facility who have special health care
needs. It routinely runs out of mental health medications and fails to refill prescriptions for
weeks, which poses a serious risk to inmates due to the abrupt cessation of necessary medication.
It falsifies medical charts to cover the failure to provide prescribed medication to inmates as
prescribed and systemically and intentionally fails to provide necessary medical treatment and
medication to inmates. It is chronically understaffed and retaliates against inmates for
complaining about their lack of access to adequate care.
The condition called scabies is caused by an infestation by a parasitic mite, Sarcoptes
scabiei. The mites easily hop from one person to another by skin-to-skin contact but can also live
from two to five days away from a host on clothing, bedding, carpets, and furniture. The mites
burrow under the outer layer of a person’s skin, ingesting tissue as they burrow. (Am. Compl. ¶
19.) Female mites lay eggs at the end of the burrowed tunnels, and the larvae hatch in two to
three days. The newly hatched larvae soon crawl away to excavate their own tunnels, crawling at
a rate of up to an inch per minute. Any person who has direct skin contact with someone who has
scabies, however brief, is at risk of an infestation. (Id.)
The scabies mites cause a skin rash that is readily identifiable as a result of the “track-like
burrows in the skin” (id. ¶ 21) and is accompanied by intense, nearly unbearable itching,
especially at night. The itching may make sleep impossible, giving rise to a whole host of other
problems, particularly for persons with preexisting mental health conditions. The associated
scratching facilitates re-infestation and skin eruptions that then make it easier for the mites to
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transfer to a new host. It also typically results in scales, blisters, bleeding, open sores, and a
resulting risk of secondary infections, such as life-threatening Staph infections. A scabies
infestation can only effectively be treated with prescription medications, including often multiple
rounds of ivermectin pills and permethrin cream applied to the entire body. (Id. ¶ 22.)
The plaintiffs allege that CoreCivic knew that scabies outbreaks are common in crowded
jail facilities and that implementation of an infection-control policy was necessary in such a
setting, but it failed and refused to implement and follow an effective infection-control policy
prior to, during, or after the scabies outbreak at the facility.
A scabies infestation began spreading among the male inmate population of MDCDF in
July 2016. Moredock was sent to MDCDF beginning in August 2016 to serve a sentence for a
DUI conviction. He was placed in a living area for older inmates and those with physical and
mental disabilities. His pod housed approximately 140 inmates in cramped quarters. Despite
attempts to avoid contact with other inmates with an obvious rash, Moredock contracted scabies
in October 2016, accompanied by intense and painful itching.
Although Moredock did not receive a health screening or tuberculosis test upon entry,
when he was appointed to a prison job as a “trustee” a few months after his arrival, he was
required to have a health screening. He was screened for the first time ninety days after his
arrival, at which time he complained about the rash that had spread over his body. He was falsely
informed that he had “contact dermatitis” or a reaction to “something in the laundry.” (Doc. No.
15, ¶ 29.)
The infestation spread to the female inmate population by October 2016. Meanwhile,
male inmates continued to submit sick call requests for treatment, which were ignored. Some
inmates were placed in solitary confinement solely in retaliation for filing grievances related to
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the lack of medical treatment for the condition.
By November 2016, the scabies infestation at MDCDF was widespread. The defendant
was allegedly aware that the rash symptoms exhibited by a large number of inmates were
consistent with scabies but continued to falsely inform the inmates that they did not have scabies.
Moredock’s initial request for treatment was ignored, so he submitted a second sick-call
request in November 2016, describing symptoms that were obviously consistent with scabies.
Because the defendant refused to adequately address his medical needs, Moredock submitted a
printed copy of the “WebMD” internet page discussing scabies to the defendant, which
continued to ignore his complaints.
Moredock began working as a trustee in December 2016, which meant that he was
responsible for assisting with the maintenance and repairs at MDCDF. In the course of his work,
he traveled among housing units (“pods”) for both male and female inmates and personally saw
that inmates in every pod were suffering with a rash consistent with scabies and were openly
complaining about it.
Moredock filed another sick-call request on December 4, 2016, stating affirmatively that
he had scabies. At that point, at least forty other inmates in his pod also had scabies. Many of
these were disabled inmates who were particularly vulnerable to infestation and also not capable
of voicing their own needs or seeking medical attention. CoreCivic refused to provide treatment
for these inmates’ scabies infestations.
Following numerous complaints, the assistant warden came and spoke with the inmates,
affirming that he would “get with medical” to address the situation, but he never did. (Am.
Compl. ¶ 35.) Moredock and other inmates feared retaliation for requesting medical assistance
related to their condition.
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By the end of December 2016, Moredock had been suffering from scabies for over three
months and had not received treatment. Finally, he pointed out that he was doing maintenance
work in the warden’s office and risked spreading scabies to the warden. At that point, in January
2017, Moredock received treatment.
In January 2017, an employee of the state of Tennessee tested the water at the facility.
Despite no finding of contamination, the defendant continued to falsely claim that the inmates’
rashes were caused by the water rather than by scabies. However, around the same time, the
defendant finally admitted that some of the male prisoners had scabies. Some were provided oral
medication but none were quarantined. The defendant refused to acknowledge obvious scabies
symptoms in other inmates and retaliated against some for requesting treatment for scabies by
placing them in solitary confinement. Inmates who spoke on the phone to outsiders complaining
about scabies lost their phone privileges.
The Amended Complaint mentions several specific inmates, by their initials, who
suffered scabies and did not receive proper treatment. Even those inmates who did receive
treatment were subject to re-infestation, because the defendant made no effort to quarantine
affected inmates or to properly treat their clothing and bedding to insure that the mites were not
spread to others.
Putative class member Jennifer King was sent to MDCDF as a pretrial detainee in
December 2016. After one month in “D Pod,” she began exhibiting symptoms of scabies and
was transferred to E Pod. By the end of March 2017, the majority of inmates housed in E Pod
had developed a rash consistent with a scabies infestation.
In February 2017, a pregnant female inmate was transferred to MDCDF. She specifically
informed the staff that she had been diagnosed with scabies, but the defendant made no effort to
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obtain her medical records, follow up with her treatment, or quarantine her from the general
population to insure that her scabies had cleared up prior to her transfer.
On March 10, 2017, Moredock submitted another sick-call request, inquiring why he had
not received the treatment prescribed for his scabies re-infestation, which had been ordered
several days previously. A member of the medical staff wrote on his chart, “Ivermectin
reordered. Had more but given last dose.” (Doc. No. 15 ¶ 52.) A few days later, someone crossed
out that notation and wrote in, “Benadryl & refer to MD.” (Id.)
In May 2017, Moredock was released from incarceration still suffering from scabies. He
was required to seek treatment outside at his own expense. He was unable to return to work until
it cleared up, in order to avoid infecting others, thus suffering lost wages.
In April 2017, the defendant provided a few inmates with medication to treat scabies but
denied medication to others. The selective treatment, lack of quarantine, and other ineffective
measures facilitated the continued spread of scabies throughout the facility.
On May 1, 2017, after the defendant’s repeated failure to treat or quarantine those
affected by the scabies infestation, approximately fifty female members of E Pod drafted a letter
to the Metro Health Department, describing the spread of the rash and the defendant’s failure to
treat inmates suffering from it. The letter was confiscated by facility officials and the inmates
were not allowed to send it.
On May 8, 2017, forty-nine female inmates housed in “Echo Pod” drafted another letter
to the Metro Health Department, requesting assistance with the infestation from which they were
suffering and detailing the history of the problem and their unsuccessful attempts to have it
addressed. Other inmates sent letters on their own, specifically referencing two pregnant inmates
who were taken to Meharry Hospital for checkups, where they were diagnosed with scabies. The
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Amended Complaint does not specify whether this letter was confiscated, but a declaration
attached to the pleading indicates that it was transmitted to the friend of an inmate, who then
mailed it to the Health Department. (B. Blanchard Decl., Doc. No. 28-4 ¶ 19.)
In May 2017, King was transferred from E Pod to A Pod, where plaintiff Snead was
housed. When she was transferred, King was covered with a visible rash but had been falsely
told by the defendant that her condition was not contagious. Up until that time, no one in A Pod
had contracted symptoms of scabies. King had repeatedly requested medical services and filed
numerous grievances related to the lack of medical care, all of which were ignored.
When King arrived in A Pod, one of the inmates there who had received some medical
training recognized that King had scabies. She informed the defendant of the problem but was
ignored. King was placed in an eight-person cell, in close proximity with Snead and other
inmates. The other inmates soon began developing their own rashes, and the defendant continued
to take no action in the face of the inmates’ mounting complaints. The inmates were threatened
with disciplinary action and solitary confinement if they complained about their condition or
mentioned the word “scabies.” If they complained to their families and others outside the prison,
their phone privileges were revoked in retaliation.
Snead developed a rash beginning just days after King’s transfer. She requested sick call
and was seen by a nurse, who told her to change the type of soap she was using. Snead requested
sick call a second time but was ignored. Thereafter, she began filing grievances due to the
defendant’s refusal to provide her access to medical treatment. Being unable to sleep, she
became physically ill, developing fever and chills, but was still refused medical treatment. From
May 9, 2017 until her departure in June, Snead filed seven grievances, none of which was ever
addressed by the defendant. Other inmates began filing daily grievances, all of which the
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defendant ignored.
Assistant Warden Hayes visited E Pod on May 15, 2017. She indicated she had heard that
the inmates were complaining about a rash and asked how many were having problems.
Approximately 100 women raised their hands. The plaintiffs allege that Assistant Warden Hayes
scoffed. One inmate protested loudly that the inmates were being “eaten alive” and that
something needed to be done. That inmate was handcuffed on the spot and placed in solitary for
two weeks. On the same day, the facility was placed on lockdown for forty-eight hours. On May
17, 2017, Snead was able to communicate with her family, and her family reported the situation
to the Metro Health Department and requested that it intervene.
Snead was transported to a dermatology clinic on May 19 after her family had made
numerous complaints to the Health Department. She was diagnosed with scabies and prescribed
a treatment regimen that included ivermectin tablets and two topical creams. In addition, the
defendant was specifically informed that every inmate in Snead’s pod required treatment. Upon
her return to MDCDF, the defendant told her that her prescriptions would not be filled. She was
sent to solitary confinement, where she was deprived of a shower for five days, denied clean
bedding and clothes, and was not allowed to contact her family.
Snead was released from custody a few weeks later. She immediately went to the ER to
obtain medical treatment. She incurred hundreds of dollars in medical and other expenses in
dealing with the scabies infestation upon her release.
The plaintiffs allege that, in May and June 2017, the defendant falsified, or had inmates
falsify, sick-call requests and grievance forms to remove reference to the term “scabies” or to
indicate that the inmates had received treatment when they had not. The defendant’s pharmacy
nurse was absent for two weeks at the end of May and beginning of June 2017, during which
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time medications were not ordered or re-ordered. Throughout June 2017, the defendant
continued to ignore sick-call requests from inmates requesting treatment for the rash caused by
scabies and continued to threaten them if they mentioned “scabies.”
In early July 2017, the defendant’s Health Administrator falsely informed the inmates
that no one at MDCDF had been diagnosed with scabies.
Finally, on or around July 17, 2017, the Health Department visited the facility. Twelve
inmates who had filed grievances about lack of medical treatment were placed in solitary before
the Health Department’s arrival and were unable to speak with Health Department
representatives while they were there.
The plaintiffs allege permanent scarring from their scabies infestation and that they are
still recovering. Some putative class members have been unable to return to work after release
due to the risk of spreading infection to others and have lost wages as a result.
The plaintiffs allege that the defendant, despite actual knowledge of the infestation
among the prison population and of the extremely contagious nature of the infestation, failed to
take reasonable steps to mitigate the problem, to quarantine those affected to prevent the spread
to others, or to effectively treat those affected. The spread of the contagion was reasonably
foreseeable, and the defendant failed to take reasonable steps to prevent or mitigate it. They
allege that, as a direct and proximate result of the defendant’s actions and inactions, the plaintiffs
and putative class members became infested and suffered the consequences of terrible itching,
pain, sleeplessness, and, after their release, quarantine, loss of wages, the costs of medical
treatment, and the costs of remediating scabies infestations within their own homes and among
family members.
Based on the factual allegations set forth in the Amended Complaint, the plaintiffs assert
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three causes of action under 42 U.S.C. § 1983: (1) a claim based on the defendant’s deliberate
indifference to the plaintiffs’ and putative class members’ serious medical needs, in violation of
the Eighth and/or Fourteenth Amendment (depending upon the inmates’ status as pretrial
detainees or prisoners); (2) a claim based on the inmates’ exposure to, and the defendant’s failure
to protect them from, a state-created danger, in violation of their rights under the Due Process
Clause of the Fourteenth Amendment; (3) a deliberate indifference claim under the Eighth and/or
Fourteenth Amendment, based on the defendant’s failure to train medical staff to address
inmates’ obvious need to access adequate medical care and medication or to recognize outbreaks
of contagious conditions including scabies, among other matters.
In support of their bid to bring a class action, the plaintiffs assert that the defendant has
acted or refused to act in a manner that applies generally to the class, such that the claims for
damages and injunctive relief on behalf of a class as a whole are appropriate; that questions of
law and fact are common to all class members; that the number of persons whose rights have
been violated is too numerous to join in the action; that the putative class members are readily
identifiable using records maintained by the defendant during its regular course of business; that
the plaintiffs have been injured by the defendant’s actions in the same way as the other members
of the proposed class; and that the plaintiffs will fairly and adequately protect the interests of the
class as a whole.
For relief, the plaintiffs seek monetary, compensatory, and punitive damages, as well as
equitable relief in the form of “a permanent injunction enjoining the Defendant, its agents, [and]
employees . . . from continuing to violate the Eighth and Fourteenth Amendments of the U.S.
Constitution and to immediately cease intimidating, threatening, and retaliating against inmates
for demanding medical care for their serious medical needs and to immediately provide adequate
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oral and topical medication sufficient to fully treat all those diagnosed with scabies” and that the
defendant be required to “provide a full medical staff adequate to meet the needs of those
infested with scabies and capable of dispensing medication and monitoring their treatment until
completion.” (Doc. No. 15 ¶¶ 156–57.)
On September 25, 2017, this case was consolidated for all purposes with John Doe v.
CoreCivic of Tennessee, LLC, No. 3:17-cv-00958, also pending in this court, in which the
plaintiff purported to bring suit asserting claims on behalf of a putative class defined as inmates
and former inmates at MDCDF who contracted scabies and were denied adequate medical
attention by the defendant. John Doe, like Snead and Moredock, had already been released from
incarceration by the time he filed his class action. A First Amended Class Action Complaint was
filed on October 27, 2017, but it did not include John Doe as a “named” plaintiff.
The plaintiffs filed their Motion for Class Certification on December 20, 2017. (Doc. No.
19.) The motion proposes named plaintiffs Wendy Snead and Edward Moredock as
representatives for all three subclasses and asserts that the proposed class and subclasses meet
the numerosity, commonality, and typicality requirements of Rule 23(a) of the Federal Rules of
Civil Procedure; that Snead and Moredock are adequate class representatives; and that a class
should be certified under Rule 23(b)(1), (b)(2) and (b)(3). The plaintiffs filed a Supplemental
Memorandum along with a Notice of Filing, to which are attached excerpts from Snead’s and
Moredock’s depositions, along with the affidavits of seven putative class members and one
former CoreCivic nurse, and the Declaration of plaintiffs’ attorney Bryant Kroll, to which are
attached two grievances that were filed by a current CoreCivic nurse.
CoreCivic has filed a Memorandum of Law in Opposition to Plaintiffs’ Motion for Class
Certification (Doc. No. 31) (“Response”), arguing that none of the proposed subclasses meets the
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requirements for certification under Rule 23(a) or (b), as discussed in greater detail below. The
plaintiffs filed a Reply (Doc. No. 32) in further support of their certification motion.
II.
Legal Standards for Class Certification
“The class action is ‘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)). “A class representative
must be part of the class and possess the same interest and suffer the same injury as the class
members.” Id. (citation and internal quotation marks omitted). To be certified, a class must
satisfy the prerequisites set forth in Rule 23(a) of the Federal Rules of Civil Procedure: 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; (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); Young v. Nationwide Mut.
Ins. Co., 693 F.3d 532, 537 (6th Cir. 2012).
In addition to showing that a proposed class meets all of the above prerequisites, Amchem
Prods., Inc. v. Windsor, 521 U.S. 591, 614 (1997); Sprague v. Gen. Motors Corp., 133 F.3d 388,
397 (6th Cir. 1998), a motion to certify must establish that the proposed class meets one of the
prerequisites under Rule 23(b). Subsection (b) provides that class certification is appropriate,
assuming the 23(a) factors are met, if:
(1) prosecuting separate actions by or against individual class members would
create a risk of:
(A) inconsistent or varying adjudications with respect to individual class
members that would establish incompatible standards of conduct for the party
opposing the class; or
(B) adjudications with respect to individual class members that, as a practical
matter, would be dispositive of the interests of the other members not parties
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to the individual adjudications or would substantially impair or impede their
ability to protect their interests;
(2) the party opposing the class has acted or refused to act on grounds that apply
generally to the class, so that final injunctive relief or corresponding declaratory
relief is appropriate respecting the class as a whole; or
(3) the court finds that the questions of law or fact common to class members
predominate over any questions affecting only individual members, and that a
class action is superior to other available methods for fairly and efficiently
adjudicating the controversy.
Fed. R. Civ. P. 23(b). The party seeking class certification has the burden of proving the Rule 23
certification requirements. In re Am. Med. Sys., Inc., 75 F.3d 1069, 1079 (6th Cir. 1996).
“Rule 23 does not set forth a mere pleading standard. A party seeking class certification
must affirmatively demonstrate his compliance with the Rule.” Dukes, 564 U.S. at 350.
“[C]ertification is proper only if ‘the trial court is satisfied, after a rigorous analysis, that the
prerequisites of Rule 23(a) have been satisfied,’” which “sometimes” requires “the court to probe
beyond the pleadings.” Id. at 350–51 (quoting Gen. Tel. Co. of Sw. v. Falcon, 457 U.S. 147, 156
(1982)). “Frequently that ‘rigorous analysis’ will entail some overlap with the merits of the
plaintiff’s underlying claim. That cannot be helped. [T]he class determination generally involves
considerations that are enmeshed in the factual and legal issues comprising the plaintiff’s cause
of action.” Id. (internal citations and quotation marks omitted). In other words, this typically
“means that the class determination should be predicated on evidence presented by the parties
concerning the maintainability of the class action.” In re Whirlpool Corp. Front-Loading Washer
Prods. Liab. Litig., 722 F.3d 838, 851 (6th Cir. 2013).
The district court has broad discretion to decide whether to certify a class. Young, 693
F.3d at 536.
III.
Analysis
The defendant raises numerous objections to certification of each of the plaintiffs’
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proposed subclasses, asserting that the plaintiffs fail to satisfy many of the Rule 23(a) and any of
the Rule 23(b) requirements. Specifically, they argue that:
(1) the plaintiffs have failed to establish that any of the three proposed subclasses
are sufficiently numerous that joinder of the absent class members would be
impracticable;
(2) the named plaintiffs are not adequate class representatives, because
(a) two named plaintiffs are not enough to represent three proposed
subclasses;
(b) the fact that each plaintiff falls into multiple subclasses raises potential
conflicts of interest;
(c) the plaintiffs have not distinguished between those who have been actually
injured and those seeking only injunctive relief;
(d) the named plaintiffs’ claims for injunctive relief are moot; and
(e) the plaintiffs did not exhaust their administrative remedies;
(3) the plaintiffs cannot establish the typicality requirement, again because their
claims for injunctive relief are moot and they did not exhaust their administrative
remedies;
(4) the plaintiffs have failed to offer evidence sufficient to establish that they meet
the requirements of Rule 23(b)(1) or (b)(2);
(5) the plaintiffs fail to satisfy Rule 23(b)(3) because the subclasses are not
“ascertainable,” common issues do not predominate over individual issues, and a
class action is not superior to other methods of adjudication under the
circumstances presented here.
(See Doc. No. 31, at 1–2.)
The court will proceed to consider each requirement for certification in turn, in light of
the defendant’s objections.
A.
Rule 23(a)
1.
Adequate Representation
Rule 23(a)(4) allows a class to be certified only if “the representative parties will fairly
and adequately protect the interests of the class.” As set forth above, the defendant raises
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numerous arguments as to why the named plaintiffs fail to meet the adequacy of representation
factor. One of these factors, standing, is a threshold matter that the court must address first.
a. Mootness
“[A]ny analysis of class certification must begin with the issue of standing”; only once
the court finds that the named plaintiffs have standing may it consider whether they have
“representative capacity, as defined by Rule 23(a), to assert the rights of others.” Griffin v.
Dugger, 823 F.2d 1476, 1482 (11th Cir. 1987). To show Article III standing, the named plaintiffs
must show that they have been injured, that their injuries are fairly traceable to the defendants’
conduct, and that a judgment in their favor would likely redress their injuries. Lujan v. Defenders
of Wildlife, 504 U.S. 555, 560 (1992).
The court notes, as an initial matter, that both named plaintiffs are former inmates of
MDCDF, but the class and subclasses they propose to certify would be comprised of both current
and former inmates. In addition to damages for alleged past violations, they seek to permanently
enjoin the defendant and its agents from continuing to violate current inmates’ rights under the
Eighth and Fourteenth Amendments by denying them adequate medical care and by intimidating
and retaliating against those inmates who demand medical care. The plaintiffs also seek an
injunction requiring the defendant to provide a fully staffed medical department adequate to meet
prisoners’ medical needs. (Doc. No. 15 ¶ 154–55.)
The defendant argues that the named plaintiffs’ claims for injunctive relief are moot as a
result of their release from custody and that, accordingly, they cannot be deemed “adequate” to
represent any class seeking injunctive relief. The plaintiffs respond that defendants should not be
permitted to “endlessly circumvent Rule 23(b)(2)” by simply transferring each named plaintiff to
a different facility and then claiming that the individual’s claims have been rendered moot. (Doc.
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No. 32, at 6.)
Generally, a named plaintiff “must be a member of the class which he or she seeks to
represent at the time the class action is certified by the district court.” Sosna v. Iowa, 419 U.S.
393, 403 (1975). The Supreme Court has recognized that the “capable of repetition, yet evading
review” exception to this rule may apply to a class action brought by pretrial detainees, noting
that “[p]retrial detention is by nature temporary, and it is most unlikely that any given individual
could have his constitutional claim decided on appeal before he is either released or convicted.”
Gerstein v. Pugh, 420 U.S. 103, 110 n.11 (1975). It appears that the plaintiffs are attempting to
invoke that exception here.
There is a distinction, however, between claims rendered moot by the passage of time
while a lawsuit is proceeding and claims that are already moot by the time a plaintiff files suit.
“Simply stated, a case is moot when the issues presented are no longer ‘live’ or the parties lack a
legally cognizable interest in the outcome.” UAW v. Dana Corp., 697 F.2d 718, 720–21 (6th Cir.
1983) (quoting Powell v. McCormack, 395 U.S. 486, 496 (1969)). In other words, the mootness
exception that applies in controversies that are “capable of repetition, yet evading review”
presumes that the controversy is “live” at the time suit was filed and at the time of class
certification. On the other hand, “if a plaintiff lacks standing at the time the action commences,
the fact that the dispute is capable of repetition yet evading review will not entitle the
complainant to a federal judicial forum.” Friends of the Earth, Inc. v. Laidlaw Envtl. Servs.
(TOC), Inc., 528 U.S. 167, 191 (2000); see also Steel Co. v. Citizens for a Better Env’t, 523 U.S.
83, 109 (1998) (“[T]he mootness exception for disputes capable of repetition yet evading review
. . . will not revive a dispute which became moot before the action commenced.” (quoting Renne
v. Geary, 501 U.S. 312, 320 (1991))). Because the named plaintiffs in this case had already been
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released from MDCDF at the time they filed suit, their claims for prospective injunctive relief
had already been rendered moot, and they therefore lacked standing from the outset to bring such
claims. As a result, the court lacks subject-matter jurisdiction to adjudicate the claims for
injunctive relief, and those claims are subject to dismissal on that basis.
Ipso facto, the named plaintiffs are not adequate representatives of current inmates who
might have valid claims for prospective injunctive relief. While former inmates and current
inmates might have common claims for damages to compensate them for past injuries, a claim
for injunctive relief would likely be a major component of the cause of action that would be
brought by putative plaintiffs who are still incarcerated. Moreover, as indicated above, the
adequacy inquiry frequently overlaps with the typicality requirement. The court finds that the
adequacy of the named plaintiffs to represent currently incarcerated individuals is further called
into question by the fact that the named plaintiffs’ claims are not typical of the types of claims
currently incarcerated individuals would bring.
In short, the court finds that, because the named plaintiffs’ claims for prospective
injunctive relief were moot before they filed suit, they lack standing to bring those claims. As a
result, they cannot adequately represent the interests of a class that includes currently
incarcerated inmates. The scope of the class the plaintiffs seek to represent must be narrowed to
encompass only claims for damages brought by former MDCDF inmates, whether pretrial
detainees or prisoners.
b. Exhaustion
The defendant next argues that the named plaintiffs are not adequate representatives on
the basis that they failed to exhaust their administrative remedies, as required by the Prison
Litigation Reform Act (“PLRA”). The defendant insists that, once it raises a lack of exhaustion,
19
the burden shifts to the inmates to demonstrate that they complied with the exhaustion
requirements. Napier v. Laurel Cty., 636 F.3d 218, 225 (6th Cir. 2011). The plaintiffs, in
response, argue that exhaustion is an affirmative defense that the defendant must plead and prove
and, therefore, that it is not an appropriate inquiry at the certification stage. They also maintain
that the question of whether the defendant’s administrative procedures were available for
purposes of the PLRA’s exhaustion requirement is common to all members of the proposed
class. (See Doc. No. 20, at 13.)
The court finds both parties’ arguments to be somewhat beside the point, at least with
respect to the named plaintiffs. “Ordinarily, plaintiffs pursuing civil rights claims under 42
U.S.C. § 1983 need not exhaust administrative remedies before filing suit in court.” Porter v.
Nussle, 534 U.S. 516, 523 (2002). Under the relevant provision of the PLRA, however, enacted
in 1996, “[n]o action shall be brought with respect to prison conditions . . . by a prisoner
confined in any jail, prison, or other correctional facility until such administrative remedies as
are available are exhausted. 42 U.S.C. § 1997e(a) (emphasis added). The term “prisoner” is
broadly defined to include “any person incarcerated or detained in any facility who is accused of,
convicted of, sentenced for, or adjudicated delinquent for, violations of criminal law or the terms
and conditions of parole, probation, pretrial release, or diversionary program.” Id. § 1997e)(h).
The named plaintiffs here, having already been released from incarceration at the time they filed
suit, are not subject to the exhaustion requirement, since they were not prisoners when they filed
suit. Accord Jackson v. Fong, 870 F.3d 928, 933 (9th Cir. 2017) (“The exhaustion requirement,
however, does not apply to non-prisoners.”); Witzke v. Femal, 376 F.3d 744, 750 (7th Cir. 2004)
(“In determining whether a plaintiff is a ‘prisoner confined in jail, we must look to the status of
the plaintiff at the time he brings his suit.” (collecting cases)).
20
The question of exhaustion is therefore not relevant to the claims brought by the named
plaintiffs as former inmates. This conclusion also strongly suggests that the named plaintiffs’
claims would not be “typical” of the claims that would be raised by current inmates, even
inmates at other facilities, with respect to each of whom the affirmative defense of exhaustion
would remain relevant and potentially dispositive.
c. Named Plaintiffs’ Adequacy as Class Representatives
Finally, Rule 23(a)(4) allows a class to be certified only if “the representative parties will
fairly and adequately protect the interests of the class.” This is an essential prerequisite for due
process, as a final judgment in a class action binds all class members. In re Am. Med. Sys., 75
F.3d at 1083 (citation omitted). The Sixth Circuit applies a two-part test for determining the
adequacy of representation. First, the named representatives “must have common interests with
the unnamed members of the class,” and second, it must be apparent that the named
representatives “will vigorously prosecute the interests of the class through qualified counsel.”
Senter v. Gen. Motors Corp., 532 F.2d 511, 525 (6th Cir. 1976). The “adequate representation
requirement overlaps with the typicality requirement because in the absence of typical claims,
the class representative has no incentives to pursue the claims of the other class members.” In re
Am. Med. Sys., 75 F.3d at 1083.
The defendant argues only that the plaintiffs have failed to present any evidence
regarding the named plaintiffs’ willingness to vigorously prosecute the interests of the class. But
the defendant misstates the law. The named plaintiffs have expressed their willingness to
prosecute this case by filing suit and beginning the discovery process. They have both been
deposed, so there is no risk that they have “so little knowledge of and involvement in the class
action that they would be unable or unwilling to protect the interests of the class against the
21
possible competing interests of the attorneys.” Ross v. Abercrombie & Fitch Co., 257 F.R.D.
435, 451 (S.D. Ohio 2009). They have also alleged facts and presented evidence that, if a jury
finds it to be true, would establish common interests with the unnamed members of a class
consisting of former inmates who suffered from untreated scabies as a result of the defendant’s
deliberate indifference to their serious medical needs. The defendant does not argue otherwise.
And the plaintiffs’ attorneys have shown themselves willing and able to vigorously represent the
interests of their clients.
d. Potential Conflicts of Interest
The defendant’s arguments that the two named plaintiffs have potential conflicts of
interest and that the plaintiffs have not made a distinction between putative plaintiffs who have
actually been injured and those who seek injunctive relief only have been mooted by the court’s
conclusion that the named plaintiffs have standing only to bring suit on behalf of a class of
former inmates who suffered actual injury as a result of the defendant’s practices. The
defendant’s argument that two named plaintiffs are not sufficient to represent three subclasses is
rendered moot by the court’s conclusion, discussed below, that the plaintiffs have not satisfied
the numerosity requirement except with respect to the Scabies Subclass.
2.
Numerosity
The first subdivision of Rule 23(a)(1) requires that the class be “so numerous that joinder
of all members is impracticable.” In re Am. Med. Sys., 75 F.3d at 1079. “There is no strict
numerical test for determining impracticability of joinder. Rather, [t]he numerosity requirement
requires examination of the specific facts of each case and imposes no absolute limitations.” Id.
(internal quotation marks and citations omitted). The Sixth Circuit has suggested that the
numerosity requirement is met when the class size reaches “substantial proportions.” Id. Some
22
courts have found that classes with more than one hundred plaintiffs presumptively satisfy the
numerosity requirement, because joinder of “hundreds of persons “would stretch the facilities
and abilities of this Court beyond their elastic limit.” Ludwig v. Pilkington N. Am., Inc., No. 03 C
1086, 2003 WL 22478842, at *2 (N.D. Ill. Nov. 4, 2003). This court has observed that as few as
forty class members may satisfy the numerosity requirement. See, e.g., City of Goodlettsville v.
Priceline.com, Inc., 267 F.R.D. 523, 529, 2010 WL 1609964 (M.D. Tenn. 2010) (finding that the
plaintiff’s identification of 128 counties and municipalities as class members satisfied the
numerosity requirement, stating: “According to Newberg’s often-cited treatise, ‘the difficulty
inherent in joining as few as 40 class members should raise a presumption that joinder is
impracticable, and the plaintiff whose class is that large or larger should meet the test of Rule
23(a)(1) on that fact alone.’” (quoting 1 William B. Rubenstein, Alba Conte and Herbert B.
Newberg, Newberg on Class Actions § 3:5 (4th ed.)).
a. Scabies Subclass
The factual allegations in the Amended Complaint indicate that the numerosity
requirement for the Scabies Subclass is met. In addition, the plaintiffs have filed several
declarations from putative class members and excerpts from the named plaintiffs’ depositions.
The evidence submitted by the plaintiffs suggests that that nearly every member of plaintiff
Snead’s pod had symptoms of scabies at some point, and approximately fifty women signed two
different letters to the Metro Health Department, stating that the then-undiagnosed rash affected
eighty to one hundred women in the housing unit. (See Doc. No. 28-5 & Ex. A.) Similarly,
plaintiff Moredock testified in his deposition that he observed approximately forty inmates just
in his housing unit who appeared to have scabies and who were not receiving adequate treatment
for it. (Doc. No. 28-2, at 42.) Leighanne Shye’s declaration states that she saw at least sixty
23
women in her pod with the scabies rash (Doc. No. 28-6 ¶ 19), and Michael Quinn stated that
there were at least fifty inmates in his pod who had scabies in the fall of 2016 (Doc. No. 28-9 ¶
5). Billie Blanchard testified that 100 women in her pod had the rash. (Doc. No. 28-4 ¶ 16.)
In other words, the plaintiffs have identified several hundred individuals who were
denied adequate treatment for scabies during the relevant time frame. Courts have not required
evidence of exact class size to satisfy the numerosity requirement. Golden v. City of Columbus,
404 F.3d 950, 966 (6th Cir. 2005). Although the number is likely not so overwhelmingly large as
to be prohibitive of joinder, the number of potential plaintiffs in the Scabies Subclass does make
joinder impracticable. The court finds that the numerosity requirement has been met with respect
to the Scabies Subclass.
b. “Denied Prescriptions” and “Denied Medical Attention” Subclasses
The plaintiffs argue that the Declaration of Dawn Meyers, a former CoreCivic nurse who
worked at MDCDF, establishes that the defendant routinely ran out of mental health and high
blood pressure medication and would fail to refill prescriptions for those conditions for weeks.
Her testimony also indicates that pill call was not announced in a manner in which inmates could
hear it, thus depriving them of access to medication even when it was available. Similarly, the
grievances drafted by Kendra Killian, a nurse currently employed by CoreCivic, constitute
evidentiary support for the plaintiff’s claims regarding the defendant’s failure to train and failure
to provide adequate care. (See Doc. No. 28-11.) However, while this evidence strongly suggests
that the problems at CoreCivic are systemic and not isolated, the plaintiffs make no effort to
estimate the number of persons, whether current or former inmates, who would make up these
subclasses. They simply argue instead that “[t]he class action device is particularly well-suited in
actions brought by prisoners due to the fluid composition of the prison population” and that
24
“[c]lass actions . . . generally tend to be the norm in actions such as this.” (Doc. No. 32, at 3
(quoting Braggs v. Dunn, 317 F.R.D. 634, 654 (M.D. Ala. 2016)).)
Although, as stated above, there is no strict numerical test for determining
impracticability of joinder, and “the exact number of class members need not be pleaded or
proved,” Golden v. City of Columbus, 404 F.3d 950, 966 (6th Cir. 2005) (citation omitted), the
“impracticability of joinder must be positively shown, and cannot be speculative.” Id. (citation
omitted). Here, the plaintiffs have failed to provide even a vague estimate of the number of
inmates who would fall within these two subclasses, and they have presented no evidence to
support a conclusion that the individuals who would qualify as members of these proposed
subclasses are so numerous that joinder of each would be impracticable.
Courts have also recognized that other factors besides “hard numbers” may be relevant to
the numerosity inquiry, including “(1) judicial economy arising from the avoidance of a
multiplicity of actions; (2) the geographic dispersion of class members; (3) the financial
resources of class members; (4) the ability of claimants to institute individual lawsuits; (5) the
amount of each member’s individual claim; (6) knowledge of the names and existence of the
potential class members; and (7) whether potential class members have already joined other
actions.” Powell v. Tosh, 280 F.R.D. 296, 303 (W.D. Ky. 2012) (citation omitted), motion for
reconsideration granted on other grounds, No. 5:09-CV-121, 2012 WL 2601946 (W.D. Ky. July
5, 2012). Besides offering no “hard numbers,” the plaintiffs have not presented evidence or
discussed the potential impact of any of these other factors on the court’s analysis.
The court finds, therefore, that the plaintiffs have not offered sufficient evidence to meet
the numerosity requirement with respect to the proposed “Denied Prescriptions” and “Denied
Medical Attention” Subclasses. Because the plaintiffs bear the burden of showing that each of
25
the Rule 23(a) requirements is met with respect to each subclass, the court finds that the
plaintiffs have not carried their burden of establishing that certification of the latter two
subclasses is warranted. The court will consider the other factors only as they apply to a
proposed Scabies Subclass.
3.
Commonality and Typicality
In order for a class to be certified under Rule 23(a)(2), there must be “questions of law or
fact common to the class.” Traditionally, to satisfy the commonality requirement of Rule
23(a)(2), plaintiffs have to show only one single issue that is common to all members of the
class, not multiple issues. In re Am. Med. Sys., 75 F.3d at 1080; Alkire v. Irving, 330 F.3d 802,
820 (6th Cir. 2003) (“Although Rule 23(a)(2) refers to common questions of law or fact, in the
plural, there need only be one question common to the class—though that question must be a
‘common issue the resolution of which will advance the litigation.’” (quoting Sprague v. Gen.
Motors, 133 F.3d 388, 397 (6th Cir. 1998)). “Many courts have held that when the legality of the
defendant’s standardized conduct toward all members of the proposed class is at issue, the
commonality factor is ordinarily met.” Modern Holdings LLC v. Corning, Inc., No. 5:13-cv00405-GFVT, 2018 WL 1546355, at *6 n.5 (E.D. Ky. March 29, 2018) (citations omitted).
“Commonality and typicality tend to merge because both of them serve as guideposts for
determining whether under the particular circumstances maintenance of a class action is
economical and whether the plaintiff’s claim and the class claims are so interrelated that the
interests of the class members will be fairly and adequately protected in their absence.” Young v.
Nationwide Mut. Ins. Co., 693 F.3d 532, 542 (6th Cir. 2012) (internal quotation marks and
citations omitted). “Like the test for commonality, the test for typicality is not demanding and the
interests and claims of the various plaintiffs need not be identical.” Reese v. CNH Am., LLC, 227
26
F.R.D. 483, 487 (E.D. Mich. 2005).
The plaintiffs assert that they “readily satisfy the low standard for commonality” and that
there are “numerous questions of fact and law that are common to all of the members of the
proposed class.” (Doc. No. 20, at 14, 13.) These common questions include: (1) whether the
defendant was deliberately indifferent to the need to implement policies and hire and train staff
to prevent the spread of scabies at MDCDF; (2) whether the defendant was deliberately
indifferent to the serious medical needs of the individual members of the proposed class; (3)
whether the defendant had a policy or practice of failing and refusing to provide adequate
medical care to inmates and pretrial detainees; (4) whether the defendant was deliberately
indifferent to the need to adequately train its employees to handle the obvious medical needs of
inmates; and (5) whether the defendant knowingly or with deliberate indifference tolerated a
custom and practice of retaliating against inmates who requested medical care or a referral to
outside medical care.
The defendant does not argue that the plaintiffs have failed to satisfy the commonality or
typicality requirements, except to argue that “[t]here is no evidence of common conduct or a
common injury that would be susceptible of resolution via a single injunction.” (Doc. No. 31, at
16.) It is plain, as set forth above, that the named plaintiffs do not have standing to bring claims
for prospective injunctive relief, and the scope of the proposed class will be modified
accordingly. The court nonetheless finds, for purposes of the motion to certify, that the named
plaintiffs have satisfied the commonality and typicality requirements for the Scabies Subclass of
former inmates, consisting of former inmates who had a rash consistent with a scabies infestation
and who were denied treatment, or whose delayed treatment by the defendant caused the
inmate’s condition to worsen, since October 1, 2016.
27
B.
Rule 23(b)
Having concluded that the plaintiffs have met the Rule 23(a) requirements with respect to
a narrowed Scabies Subclass, the court must next consider whether class certification is
appropriate under Rule 23(b)(1), (b)(2), or (b)(3). The plaintiff argues that all three subsections
of Rule 23(b) apply. The defendant argues that none of them applies.
1.
Rule 23(b)(1)
Although the plaintiffs cite to Rule 23(b)(1) generally, they apparently rely only on Rule
23(b)(1)(A), which authorizes certification of a class when “inconsistent or varying adjudications
with respect to individual class members . . . would establish incompatible standards of conduct
for the party opposing the class.” The rule “requires more than a risk that separate judgments
would oblige [the defendant] to pay damages to some class members but not to others or pay
them different amounts.” 7AA Charles A. Wright, Arthur R. Miller & Mary Kay Kane, Federal
Practice and Procedure: Civil 3d § 1773, at 13. In fact, some courts have held that Rule
23(b)(1)(A)is “not appropriate in an action for damages.” Zinser v. Accufix Research Inst., Inc.,
253 F.3d 1180, 1193 (9th Cir. 2001); see also Cohen v. Office Depot, Inc., 204 F.3d 1069, 1083
n.7 (11th Cir. 2000) (“Because Cohen’s class seeks compensatory damages, it cannot be certified
as a (b)(1)(A) class.”).
Here, in support of their claim that a class action is warranted under this rule, the
plaintiffs argue only that, in the absence of a class action, “this Court would face numerous pro
se complaints filed in forma pauperis. This is a waste of judicial resources that would inevitably
lead to the inconsistent or varying adjudications due to the lack of legal scholarship that
accompanies such lawsuits.” (Doc. No. 20, at 18.) In response, the defendant argues that the
waste of judicial resources is not a relevant criterion for considering whether class certification is
28
appropriate under Rule 23(b)(1)(A). It also points out that the plaintiffs do not address the more
critical factor—whether potentially inconsistent or varying adjudications “would establish
incompatible standards of conduct” for CoreCivic. (Doc. No. 31, at 15 (quoting Fed. R. Civ. P.
23(b)(1)(A)).) The plaintiffs do not address this argument in their Reply or attempt to offer any
additional support for class certification under this Rule.
The court finds that this rule does not justify class certification. The risk of varying
adjudications in this case appears to stem from the possibility that some class members will
suffer greater or lesser damages than others, and not from the possibility that different outcomes
would impose conflicting obligations on the defendant.
2.
Rule 23(b)(2)
This rule applies when “the party opposing the class has acted or refused to act on
grounds that apply generally to the class, so that final injunctive relief and corresponding
declaratory relief is appropriate respecting the class as a whole.” Fed. R. Civ. P. 23(b)(2). The
Supreme Court has expressly held that claims for monetary relief may not be certified under this
provision, “at least where (as here) the monetary relief is not incidental to the injunctive or
declaratory relief.” Wal–Mart Stores, Inc. v. Dukes, 564 U.S. 338, 360 (2011). Because neither
injunctive nor declaratory relief is available to the named plaintiffs, the plaintiffs cannot establish
that they are entitled to class certification under Rule 23(b)(2).
3.
Rule 23(b)(3)
The Supreme Court has recognized that Rule 24(b)(3) is “[f]ramed for situations in which
‘class-action treatment is not as clearly called for’ as it is in Rule 23(b)(1) and (b)(2) situations”
but “permits certification where class suit ‘may nevertheless be convenient and desirable.’”
Amchem Prods., Inc. v. Windsor, 521 U.S. 591, 615 (1997) (quoting Adv. Comm. Notes, 28
29
U.S.C. App. at 697). To qualify for class certification under Rule 23(b)(3), a class must meet two
requirements in addition to those set forth in Rule 23(a). They must show that: (1) common
questions of law or fact must “predominate over any questions affecting only individual
members”; and (2) a class action is superior to other available methods for fairly and efficiently
adjudicating the controversy.” Fed. R. Civ. P. 23(b)(3). “Subdivision (b)(3) parallels subdivision
(a)(2) in that both require that common questions exist, but subdivision (b)(3) contains the more
stringent requirement that common issues ‘predominate’ over individual issues. In re Am. Med.
Sys., 75 F.3d at 1084. In addition, courts have recognized that “class ascertainability” is “an
essential prerequisite of a class action, at least with respect to actions under Rule 23(b)(3).”
Marcus v. BMW of N. Am., LLC, 687 F.3d 583, 592 (3d Cir. 2012).
The defendant argues that certification under Rule 23(b)(3) is not appropriate because (1)
the class is not ascertainable; (2) common issues do not predominate over individual issues; and
(3) a class action is not superior in this case to individualized litigation.
a. Whether the Class Is Ascertainable
“[T]he class must be currently and readily ascertainable based on objective criteria.”
Marcus, 687 F.3d at 592–93 (citing cases). “If class members are impossible to identify without
extensive and individualized fact-finding or ‘mini-trials,’ then a class action is inappropriate.” Id.
at 593. Further, “[s]ome courts have held that where nothing in company databases shows or
could show whether individuals should be included in the proposed class, the class definition
fails.” Id. (citing cases). “A party seeking class certification must affirmatively demonstrate his
compliance with” Rule 23. Dukes, 564 U.S. at 350 (2011). That same rule applies to the question
of ascertainability. Carrera v. Bayer Corp., 727 F.3d 300, 306 (3d Cir. 2013).
The plaintiffs aver generally that “[m]embers of the proposed classes will be readily
30
identifiable and it will be fairly easy to provide notice of the pending action.” (Doc. No. 20, at
19–20.) They suggest that some class members can be identified through the defendant’s records
by reviewing sick-call requests and determining whether and, if so, when they were addressed by
the defendant. (See id. at 16 (referring to ascertainability of the “Denied Medical Access
Class”).) The defendant argues only that the class is not ascertainable because the plaintiff’s
definition of class shows that it is an impermissible fail-safe class.
A “fail-safe” class is one that is “defined in terms of success on the merits,” Mullins v.
Direct Digital, LLC, 795 F.3d 654, 660 (7th Cir. 2015), that is, “one that is defined so that
whether a person qualifies as a member depends on whether the person has a valid claim,”
Messner v. Northshore Univ. HealthSys., 669 F.3d 702, 825 (7th Cir. 2012). In other words, a
fail-safe class is one in which any class member either wins or, by virtue of losing, is defined out
of the class and is therefore not bound by the judgment.” Id. “Stated differently, for a class
definition to create a fail-safe class, the definition must be framed in terms of the defendant’s
ultimate liability or the central legal issue in the plaintiff’s claims.” Erin L. Geller, The Fail-Safe
Class As an Independent Bar to Class Certification, 81 Fordham L. Rev. 2769, 2782 (2013). For
example, “[c]ourts have held that a class definition is framed in terms of the defendant’s liability
and thus creates a fail-safe class when there is statutory language embedded in the class
definition, when the verdict is embedded in the class definition, or when there is a reference to a
legal right or entitlement.” Id. at 2782–83.
The class the plaintiffs seek to certify, as narrowed by the court’s discussion above, is
now effectively defined to include former MDCDF inmates who, since October 1, 2016, had a
skin rash consistent with a scabies infestation and who were denied treatment altogether or
whose delayed treatment by the defendant caused the inmate’s condition to worsen. The
31
proposed class would not be a fail-safe class, because the class definition does not reference the
defendant’s liability. Class members would fall within the definition if they suffered from a rash
that was not treated promptly or at all during the relevant time frame, but they can still lose if
they fail to establish that the delay in, or denial of, treatment arose from a policy or custom of the
defendant that amounted to deliberate indifference to a serious medical need.
Moreover, the members of the class should be objectively ascertainable based on the
defendant’s records—assuming the inmates submitted sick-call requests and assuming the
defendant maintained such sick-call requests among its records. Even if the defendant did not
keep adequate records of sick-call requests or if class members failed to submit sick-call requests
related to possible scabies in light of the apparent futility of doing so or a fear of retaliation, class
members could likely still be ascertained based on responses to questionnaires to former inmates.
b. Whether Individual Issues Predominate Over Common Issues
“To satisfy the predominance requirement in Rule 23(b)(3), a plaintiff must establish that
the issues in the class action that are subject to generalized proof, and thus applicable to the class
as a whole, . . . predominate over those issues that are subject only to individualized proof.”
Beattie v. CenturyTel, Inc., 511 F.3d 554, 564 (6th Cir. 2007) (internal quotation marks and
citations omitted). However, “the fact that a defense may arise and may affect different class
members differently does not compel a finding that individual issues predominate over common
ones.” Id. (internal quotation marks and citation omitted). Thus, for example, “[c]ommon issues
may predominate when liability can be determined on a class-wide basis, even when there are
some individualized damage issues.” Id.
The plaintiffs argue that they have all asserted that the defendant violated their
constitutional rights by being deliberately indifferent to their serious medical needs, specifically
32
with respect to the failure to prevent a scabies outbreak in the first place, to promptly recognize
and deal with an outbreak when it inevitably occurred, to prevent the spread of the infestation, or
to diagnose and adequately treat those inmates who contracted the condition. They argue that
their failure-to-train and state-created-danger claims similarly require the same proof regarding
the defendant’s failures to act and that the same legal standards will govern each case. The
defendant argues that the plaintiffs’ threadbare identification of the common legal issues does
not satisfy their burden, as “the predominance inquiry requires an in-depth examination of
Plaintiffs’ claims and an examination regarding how a trial on the merits would proceed.” (Doc.
No. 31, at 20.) The defendant also insists that individualized proof of proximate cause and injury
predominate over any common questions. 1
To establish a claim of deliberate indifference under 42 U.S.C. § 1983, whether under the
Eighth or Fourteenth Amendment, the plaintiffs must show that the defendant “kn[ew] of and
disregard[ed] an excessive risk to inmate health or safety.” Farmer v. Brennan, 511 U.S. 825,
837 (1994); Miller v. Calhoun Cty., 408 F.3d 803, 812 (6th Cir. 2005). And, because the
plaintiffs sue CoreCivic and not individual corrections officers and medical practitioners, they
must show that a CoreCivic “policy or custom” caused the alleged violation of their rights.
Braswell v. Corr. Corp. of Am., 419 F. App’x 622, 625 (6th Cir. 2011) (citing Monell v. Dept. of
Soc. Servs., 436 U.S. 658, 694 (1978)). In addition, each plaintiff would be required to establish
damages resulting from the defendant’s deliberate indifference.
In this case, the plaintiffs have presented the affidavits or declarations of seven putative
1
The defendant also argues that the Prison Litigation Reform Act (“PLRA”) governs this
action which, in and of itself, militates against a finding that common issues predominate.
Because the class as it now stands is defined as former prisoners only, the PLRA, which governs
civil rights actions brought by “prisoner[s] confined in a jail, prison, or other correctional
facility,” 42 U.S.C. § 1997e, is not applicable.
33
class members (Doc. Nos. 28-3 through 28-9), in addition to excerpts from Snead’s and
Moredock’s depositions (Doc. Nos. 28-1, 28-2). The individuals uniformly attest that they
experienced an infestation that they believe to have been scabies or which was actually
diagnosed as scabies. Their experiences vary widely with regard to the manner in which the
defendant’s staff responded to the condition. In some cases, the defendant never acknowledged
that the condition was scabies and never treated it; in other cases, the individual inmate received
partial treatment or treatment only after a substantial delay. Some experienced re-infestation;
some incurred substantial out-of-pocket expense to deal with treatment after release. Although
the individuals’ experiences vary substantially, these variations would primarily govern the type
and amount of damages that would be sufficient to compensate each plaintiff, assuming the
defendant’s liability is proven. Moreover, while the issue of damages would require
individualized proof, the question of liability would largely be determined by the common issues
identified above.
“To demonstrate commonality for the purposes of Rule 23(a)(2), . . . a prospective class
must show that its claims ‘depend upon a common contention . . . of such a nature that it is
capable of classwide resolution—which means that determination of its truth or falsity will
resolve an issue that is central to the validity of each one of the claims in one stroke.’” Phillips v.
Sheriff of Cook Cty., 828 F.3d 541, 550 (7th Cir. 2016), reh’g en banc denied (Aug. 3, 2016)
(quoting Dukes, 564 U.S. at 350). The Seventh Circuit has explained why, under Dukes, it found
that the plaintiffs had not identified a common question in a class action brought by students
against a public school district, alleging that the district delayed or denied disabled students’
entry into individualized education programs in violation of the Individuals with Disabilities
Education Act, 20 U.S.C. § 1440 et seq., as follows:
34
To illustrate the commonality problem in the certified class, consider two
hypothetical students within the class: one has a disability and would be eligible
for special education but has never been identified as being disabled nor gone
through the IEP process; another was identified as disabled and received a timely
IEP meeting, but the child’s parents did not attend the IEP meeting and were not
notified of their right to do so. Both scenarios involve violations of the IDEA, but
what common question can be answered that would assist the court in determining
[the district’s] liability for each? On the plaintiffs’ theory, that question is
something like this: Did [the district] fulfill its IDEA obligations to each child?
But while that generic question is surely a part of both children’s claims, it must
be answered separately for each child based on individualized questions of fact
and law, and the answers are unique to each child's particular situation.
Phillips, 828 F.3d at 551 (quoting Jamie S. v. Milwaukee Pub. Schs., 668 F.3d 481, 498 (7th Cir.
2012)); see also Suchanek v. Sturm Foods, Inc., 764 F.3d 750, 756 (7th Cir. 2014) (“Where the
defendant’s alleged injurious conduct differs from plaintiff to plaintiff, . . . no common answers
are likely to be found.”). The Seventh Circuit also noted, however, that “an illegal policy might
provide the ‘glue’ necessary to litigate otherwise highly individualized claims as a class,” but
found that the Jamie S. plaintiffs had failed to present proof of any such policy. Phillips, 828
F.3d at 551.
In Phillips, current and former pretrial jail detainees brought claims under § 1983 against
the county and county sheriff, alleging deliberate indifference to their need for dental care. The
district court initially certified two classes, one “(b)(2)” class seeking injunctive relief only,
consisting of “[a]ll persons presently confined at the Cook County Jail who are experiencing
dental pain and who have waited more than seven days after making a written request for
treatment of that pain without having been examined by a dentist,” and the other a “(b)(3)” class,
seeking damages, consisting of “[a]ll inmates housed at Cook County Department of Corrections
on or after January 1, 2007, who have made a written request for dental care because of acute
pain and who suffered prolonged and unnecessary pain because of lack of treatment.” Smentek v.
Sheriff of Cook Cty., No. 09 C 529, 2014 WL 7330792, at *1 (N.D. Ill. Dec. 22, 2014). After a
35
bench trial on injunctive relief, the court decertified the (b)(2) class, largely on the basis that the
original grounds for injunctive relief—which were also the basis for the court’s initial finding of
commonality—had been rendered moot by an intervening action against Cook County by the
Department of Justice, which resulted in a consent decree specifically requiring improved dental
care and adequate dentist staffing to avoid unreasonable delays in dental care. Phillips, 828 F.3d
at 545. Specifically, the common question of the inadequately low number of dentists no longer
existed, and the dental care provider had “implemented policies that aligned with national
standards.” Id. at 548. The district court granted the defendant’s motion to decertify on the
grounds that “there was no longer a single identifiable remedy that could help all class
members.” Id. at 549. 2 Without a certifiable class, the court also denied as moot the motion for a
permanent injunction. The Seventh Circuit affirmed, finding that the district court had not abused
its discretion in decertifying the (b)(2) class.
The court also rejected the plaintiffs’ alternative proposed “common” questions, which
were whether the jail’s failure to require a face-to-face evaluation with a nurse within twenty
four hours of a written complaint of dental pain result in gratuitous pain, and whether the jail’s
failure to provide timely “return to clinic” appointments result in gratuitous pain, both of which
concerned delays in medical treatment. The Seventh Circuit observed that it had previously held
that
when assessing deliberate indifference claims, a delay in medical treatment is not
a factor that is either always, or never, significant. Instead, the length of delay that
is tolerable depends on the seriousness of the condition and the ease of providing
treatment. The more significant the dental pain, the more immediate is the need
for treatment. In determining whether such complaints can be characterized
appropriately as presenting a common question susceptible to class resolution,
2
The court modified the (b)(3) class to encompass only those detainees whose claims
arose when the jail had only one dentist. The Seventh Circuit noted that that class’s claims
remained pending.
36
careful examination of the context is crucial.
Id. at 555 (internal citations and quotation marks omitted). The court found that the delays in
question in that case were inherently contextual. That is, “simply establishing that detainees at
the Jail consistently wait more than twenty-four hours does not advance materially any
individuals’ claim of deliberate indifference.” Id. at 556 Likewise, the question of whether a
return-to-clinic visit was “timely” would depend on the precise nature of the individual
detainee’s dental problem. In light of the inherently contextual nature of the questions, the court
held that “the district court did not abuse its discretion in concluding that the questions the
detainees present about the length of delay in medical treatment are incapable of being solved on
a classwide basis.” Id. at 556.
On the other hand, the court distinguished cases in which the plaintiffs were able to
“present classwide evidence that a prison is engaging in a policy or practice which rises to the
level of a systemic indifference,” in which courts were able to identify “‘conduct common to
members of the class’ which advances the litigation.” Id. at 557 (quoting Suchanek, 764 F.3d at
756, and citing Parsons v. Ryan, 754 F.3d 657, 679–80, 683 (9th Cir. 2014) (finding a “common
question” in a lawsuit brought by prison inmates who alleged, and presented proof, that the
prison severely understaffed medical facilities and had a practice of placing inmates in isolation
with insufficient nutrition, noting that the “class members are as one in their exposure to a
particular and sufficiently well-defined set of allegedly illegal policies and practices, rather than
only in their advancement of a general Eighth Amendment legal theory”); Cleveland-Perdue v.
Brutsche, 881 F.2d 427, 430 (7th Cir. 1989) (finding that the plaintiff stated a claim of systemic
deliberate indifference where a prison allegedly had failed to make any changes to its procedures
following the death of an inmate who had been prescribed medicine over the phone); Wellman v.
37
Faulkner, 715 F.2d 269, 272–74 (7th Cir. 1983) (finding that the plaintiff alleged systemic
deficiencies at a prison where two out of three physicians could not communicate effectively
with patients because of a language barrier, a staff psychiatrist position had been unfilled for two
years, prisoners had been denied vital surgeries for two to five years, and medical supplies were
being reused because they had not been restocked)). Likewise, where the plaintiffs asserted class
claims of fraudulent misrepresentation against a seller of pharmaceuticals, the Seventh Circuit
found that a “common question” existed as to whether the seller had made fraudulent statements
that its product has been “clinically tested and “scientifically formulated.” Mullins v. Direct Dig.,
LLC, 795 F.3d 654, 673 (7th Cir. 2015). The court found in that case that the plaintiffs’ claims
hinged, not on whether individuals received health benefits from the product, but on whether the
defendant’s representations were deceptive, which could be answered “in one stroke.” Id.
(quoting Dukes, 564 U.S. at 350).
In Phillips, the court also reinforced the principal that the common question “need not
resolve every issue in the case” and that it is “routine in class actions to have a final phase in
which individualized proof be submitted.” Phillips, 828 F.3d at 551 (quoting Suchanek, 764 F.3d
at 756). Thus, for example, in McReynolds v. Merrill Lynch, Pierce, Fenner & Smith, Inc., 672
F.3d 482 (7th Cir. 2012), the court certified a class based on the presentation of a common
question of whether the defendant employer had implemented employment policies that
potentially had a discriminatory impact. Id. at 488–89. The court found that, if the plaintiffs
prevailed on their claim of a disparate impact, “hundreds of separate trials may be necessary to
determine which class members were actually adversely affected. . . . But at least it wouldn’t be
necessary in each of those trials to determine whether the challenged practices were unlawful.”
Id. at 491. In short, a common question generally requires “conduct common to members of the
38
class,’” Suchanek, 764 F.3d at 756 (emphasis in original), and the common question must “drive
the resolution of the litigation.” Dukes, 564 U.S. at 350 (internal quotation marks omitted).
Based on these principles, the court finds that the plaintiffs have presented a common
question based on allegedly unconstitutional policies and customs of the defendant. Further, it
appears to the court, at this juncture, that the common question of whether the defendant was
deliberately indifferent at the corporate level predominates over individual questions of the
amount and type of damages each individual plaintiff might have suffered as a result of such
policies.
c. Whether a Class Action Is Superior to Individual Actions
Rule 23(b)(3) identifies factors that are relevant to a determination of whether a class
action is superior to individual actions, including “class members’ interests in individually
controlling the prosecution . . . of separate actions,” “the extent and nature of any litigation
concerning the controversy already begun by . . . class members,” “the desirability . . . of
concentrating the litigation . . . in the particular forum, and “the likely difficulties in managing a
class action.” Id. “While the text of Rule 23(b)(3) does not exclude from certification cases in
which individual damages run high,” it does contemplate the “vindication of the rights of groups
of people who individually would be without effective strength to bring their opponents into
court at all.” Amchem Prods., 521 U.S. at 616 (internal quotation marks and citation omitted).
The Supreme Court, in fact, has recognized that “[t]he policy at the very core of the class action
mechanism is to overcome the problem that small recoveries do not provide incentive for any
individual to bring a solo action prosecuting his or her rights. A class action solves this problem
by aggregating the relatively paltry potential recoveries into something worth someone’s (usually
an attorney’s) labor.” Id. (quoting Mace v. Van Ru Credit Corp., 109 F.3d 338, 344 (7th Cir.
39
1997)).
The plaintiffs here argue that the individual class members’ interest in controlling the
prosecution of separate actions is low and suggest, without actual evidence, that “[t]his case has
been highly publicized and Plaintiffs’ counsel have been contacted by numerous members of the
proposed classes, none of [whom] have filed litigation or announced any intention to do so.”
(Doc. No. 20, at 19.) Second, they argue that this court is a “highly desirable forum” in which to
litigate, given that the defendant is organized here, venue for all similar claims is appropriate in
this court, and “it makes no sense to have dozens of simultaneous” and almost identical cases
pending in the same court. (Id.) Third, they argue that members of the class are readily
identifiable and that notice in the pending action should not pose substantial difficulty,
particularly, again, because nearly all of the class members will be found within this forum. And
finally, they claim, without reference to any actual evidence in the record, that the case involves
relatively small individual recoveries, “possibly under $250” for many of the individuals, as a
consequence of which individual plaintiffs would be discouraged from bringing individual
lawsuits. (Id. at 20.)
The defendant, on the other hand, argues that the need for individualized proof on the
elements of proximate cause and injury renders the proposed (b)(3) class “unmanageable”; that
the plaintiffs have “neglected to present the Court with a trial plan” regarding how they intend to
manage the litigation and prove their claims; that the plaintiffs have not provided actual proof
that each individual’s damages are low or that there is limited interest by individuals in pursuing
their claims outside of a class; and that the plaintiffs ignore the fact that at least eight detainees
have already filed individual actions in this court against CoreCivic relating to exposure to, or
contraction of, scabies. (Doc. No. 31, at 24–25.)
40
The court notes as an initial matter that, of the eight cases referenced by CoreCivic, 3 all
were filed pro se by plaintiffs who are, or were at the time they filed suit, still inmates at
MDCDF; four have already been dismissed for failure to exhaust; in one, a Report and
Recommendation is pending recommending dismissal for failure to prosecute; and in another, a
recently filed motion for summary judgment is pending. In the remaining two, dispositive
motions have not yet been filed but likely will be. Generally, the posture and disposition of these
cases together weigh in favor of a finding that a class action is appropriate: clearly, none of these
plaintiffs was individually able to enlist the aid of an attorney, and their attempts to pursue their
claims individually have been largely unsuccessful. Moreover, the fact that these individuals
were all still incarcerated at the time suit was filed removes them from a putative class of
already-released individuals seeking retrospective damages relief only, and the defendants have
not pointed to any scabies-related lawsuits filed by claimants after their release from MDCDF. In
other words, the class members do not appear to have a strong interest in individually controlling
the prosecution of separate actions.
Second, this court is a desirable forum for the reasons cited by the plaintiffs: the
defendant is located here and MDCDF is located here, meaning that most of the plaintiffs will
also be located here. Venue is clearly appropriate here, and all or nearly all discovery materials
should be located in this district as well. Regarding damages, though the plaintiffs have failed to
offer any actual proof of the value of any plaintiff’s claims, the court nonetheless finds their
assessment of the value of the majority of claims to be realistic in light of the types of damages
3
See Pearson v. CoreCivic, Inc., No. 3:17-cv-950; Whitsett v. CoreCivic, Inc., No. 3:17cv-1091; Hawkins v. Metro. Gov’t of Nashville, No. 3:17-cv-1127; Vaughn v. CoreCivic, Inc.,
No. 3:17-cv-1146; Norris v. CoreCivic, Inc., No. 3:17-cv-1150; Mass v. CoreCivic, Inc., No.
3:17-cv-1206; Hunter v. CoreCivic, Inc., No. 3:17-cv-1269; Vaughn v. CoreCivic, Inc., No. 3:17cv-1303.
41
sought.
And finally, regarding the management of the case, the court finds that the defendant’s
concerns are overwrought. The question of CoreCivic’s policies and customs pertaining to the
prevention, spread, and treatment of a highly communicable and common parasitic infestation
predominates in this case, and the court is aware that individual assessments of each individual’s
damages may ultimately be necessary. This factor alone does not override the conclusion that a
class action is superior to individual actions to determine the defendant’s liability.
IV.
Conclusion
For the reasons set forth herein, the plaintiffs’ Motion for Class Certification (Doc. No.
19) will be granted in part. The court will deny certification of the “Denied Prescriptions” and
“Denied Medical Attention” Subclasses and deny certification of any class under Rule 23(b)(1)
or (b)(2), because the named plaintiffs lack standing to bring claims for injunctive or declaratory
relief. The court will grant the motion insofar as it will conditionally certify a class defined as all
former inmates of MDCDF who are not currently incarcerated and who, while still incarcerated
at MDCDF, had a skin rash consistent with a scabies infestation and who were denied treatment,
or whose delayed treatment caused the condition to worsen, since October 1, 2016.
An appropriate Order is entered herewith.
ENTER this 27th day of June 2018.
____________________________________
ALETA A. TRAUGER
United States District Judge
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