MEMORANDUM JUDGMENT & ORDER
Table of Contents
I. Introduction.262
II. Factual and Procedural History.262
TTL Preclusion . 263
A. Effect of Motion to Dismiss. Oí (
B. Privity of a Non-Party. Oí
1. Privity with State under Parens Patriae Doctrine. Oí
2. Privity between Governmental Entities Generally. Oí
3. Privity between New York State and New York City. Oí
a. Development of the Legal Status of Cities. Oí
b. Modern Law of Municipal Corporations .... Oí
c. Home Rule in New York. —3
d. Relationship between New York State and New York City. «*3
e. Governmental Entity Analysis. •v]
IV. Statement of a Claim. Tíi tr-<N
A. Rule 12(b)(6) Standard and Scope. xí Cr-03
B. Stare Decisis and the Rule of Erie. lo <M
C. Stating a Public Nuisance Claim against the Firearms Industry. CD Er-<N!
1. Existence of a Public Nuisance. O» t> <M
2. Conduct of Defendants Creating, Contributing to, or Maintaining the Nuisance.
a. Conduct.
i. Standard of Liability.
ii. Intentional Conduct.
iii. Negligent Conduct.
iv. Otherwise Lawful Conduct.
b. Causation. 00
i. Factual Cause. 00
ii. Proximate Cause. 00
iii. Causation in Suits Against the Firearms Industry. 00
3. Statutory Nuisance Claim. 00
V. Commerce Clause and Due Process Clause. LO 00 03
A. Commerce Clause. LO 00 03
B. Due Process Clause . CO 00 03
VI. Conclusion 286
*262 I. Introduction
The City of New York sues manufacturers, importers and distributors of firearms for common law and statutory public nuisance. It asserts that the imprudent policies and practices of defendants in manufacturing, marketing, distributing, and selling guns substantially increase levels of gun use, crime, deaths, and injuries in New York City.
Defendants move to dismiss on the grounds that: (1) the City is precluded from bringing suit by the decision of the New York Supreme Court in
People v. Sturm, Ruger & Co., Inc.,
Index No. 402586/00 (Aug. 10, 2001),
aff'd,
II. Factual and Procedural History
The City of. New York brought this action against manufacturers and importers of handguns and other firearms in June 2000 seeking monetary and injunctive relief. An amended complaint was filed in September 2000. Because the terrorist attacks of September 11, 2001 prevented the City from accessing its files, the case was stayed. In January 2004, the stay was lifted and the City was granted leave to amend its complaint a second time.
City of New York v. B.L. Jennings, Inc.,
Defendants are manufacturers, importers and distributors of firearms that have allegedly been possessed or used illegally in New York City. The City asserts that, as a result of defendants’ failure to institute appropriate marketing and distribution practices, defendants’ guns are diverted into an illegal market catering to juveniles, criminals and other persons prohibited from owning guns. It alleges that defendants know or should know that a substantial number of their guns are diverted into the hands of criminals and that defendants could, but do not, take steps to reduce the harm occasioned by the use of these guns in New York to kill, maim, rob, and conduct other illegal activity, all to the great harm of the City.
The firearms market consists of primary and secondary tiers. The primary market is composed of transactions through which new firearms move from manufacturers and importers through wholesale distributors and retail dealers to a first retail purchaser. The secondary segment is characterized by the illegal sale and purchase of guns by non-federally licensed individuals. The City asserts that firearms move quickly from the legal primary market to the illegal secondary market, which is a significant source of firearms for criminals. It alleges that diversion from the primary, legal market to the secondary, illegal market is caused in large part by defendants’ marketing and distribution practices. Defendants have allegedly failed to prevent diversion to the illegal market by, inter alia, failing to (1) monitor corrupt retailers; (2) require retail sales only through storefront establishments; (3) limit sales made at gun shows; (4) *263 prohibit straw sales by retailers; (5) limit sales of multiple guns to the same person; and (6) limit sales to dealers in states with lax gun laws. Defendants’ inadequate oversight and supervision of the sale of their guns, it is claimed, results in many guns being transported into New York City where they are used criminally.
A unique serial number is stamped into every gun sold by a licensed manufacturer, which may not be obliterated. Each manufacturer, wholesaler and retailer keeps a record by serial number of every gun it sells and to whom it is sold. The Bureau of Alcohol, Tobacco, Firearms and Explosives (“ATF”) has the ability to trace a gun’s chain of sale using its serial number. Traces are initiated by requests from law enforcement agencies to ATF to determine the chain of sale of a firearm, usually one recovered in connection with a criminal investigation. Upon receipt of a trace request, ATF contacts the manufacturer identified by the gun’s serial number. Firearms distributors and retailers down the line in the primary market in turn receive requests for gun traces from ATF until the consumer to whom the gun was sold by the retailer is identified. The en-quiring law enforcement agency is informed of the results of the trace. Trace results are also recorded and retained by ATF in databases in the Federal Firearms Tracing System.
See generally Report of the Special Master Regarding Certain Data Maintained by the Bureau of Alcohol, Tobacco and Firearms, NAACP v. Acusport Corp.,
The City cites data indicating that, in the period from August 1, 1997 to July 31, 1998, ATF traced 8,437 guns used in crimes in New York City. These guns were used in the commission of 433 robberies, 309 assaults, 278 homicides, 143 narcotics crimes, 101 burglaries, thefts or frauds, and 7,123 other firearms-related offenses. The complaint asserts that, when receiving ATF trace requests, defendants learn that guns sold .by them have probably been involved in criminal activity, information they could use to support more prudent marketing practices, such as closing off the flow of guns to specific retailers or first purchasers connected to a disproportionate number of traces. ATF trace data,.the City contends, can be used by defendants to reduce the illegal flow of weapons into New York City without interfering with ongoing criminal investigations.
The City alleges that, by acting to create, supply and maintain the illegal market for guns, defendants have created a public nuisance in New York City. Defendants’ conduct, it is claimed, has caused loss to the City itself as a municipal entity; deprived its residents of the peaceful use of public streets, sidewalks and parks; interfered with commerce and travel in New York City; and' endangered the property, health and safety of New Yorkers.
The City requests an injunction enjoining the public nuisance by requiring defendants to adopt a variety of prudent marketing practices including the monitoring and supervision of distributors and retailers with whom defendants do business.
III. Preclusion
Contrary to defendants’ contention, the City’s claim is not barred.as a matter of
res judicata
by the decision of the New York Supreme Court in
Sturm, Ruger,
Index No. 402586/00, or by the affirmation of that decision by the Appellate Division,
There is an additional independent reason for denying preclusion in the instant case. The substantial degree of autonomy historically enjoyed by New York City to act on matters of local concern, as well as the proper delineation of authority between the Corporation Counsel of the City of New York and the Attorney General of the State of New York, require that the City not be characterized as a privy of the State for res judicata purposes.
Federal courts are mandated to give preclusive effect to a state court decision where such an effect would be given by the courts of that state.
Allen v. McCurry,
A. Effect of Motion to Dismiss
“A judgment dismissing a cause of action before the close of the proponent’s evidence is not a dismissal on the merits unless it specifies otherwise, but a judgment dismissing a cause of action after the close of the proponent’s evidence is a dismissal on the merits unless it specifies otherwise.” N.Y. CPLR 5013. The disposition need not contain the words “on the merits” if it appears from the judgment that the dismissal was on the merits.
Strange v. Montefiore Hospital and Medical Ctr.,
A granted motion to dismiss is generally not
res judicata
of the entire merits of a case, but only of the point actually decided.
Plattsburgh Quarries, Inc. v. Palcon Indus., Inc.,
The New York Supreme Court’s dismissal of the complaint in Sturm, Ruger does not constitute a judgment on the merits which would bar the City’s public *265 nuisance claim. The allegations in the instant suit are not identical to those in the state case. Rather, the City’s complaint corrects the defects and omissions in pleading identified by the court in Sturm, Ruger. See Part IV.C, infra.
B. Privity of a Non-Party
A judgment on the merits in a pri- or action is binding not only on the parties to that action, but on those in privity with them.
Green v. Santa Fe Indus., Inc.,
To establish privity of a nonparty with a party to an earlier litigation, “the connection between the parties must be such that the interests of the nonparty can be said to have been represented in the prior proceeding.”
Green,
1. Privity with State under Parens Patriae Doctrine
The doctrine of
parens patriae
grants standing to a state to sue on behalf of its citizens.
See Alfred L. Snapp & Son, Inc. v. Puerto Rico,
It is presumed that a state suing in its
parens patriae
capacity will adequately represent the position of its citizens.
Alaska Sport Fishing Ass’n v. Exxon Corp.,
Analysis of public versus private rights in the context of parens patriae litigation has largely been limited to the federal courts and confined to consideration of successive government and citizen actions. Courts have engaged in a different analysis when considering successive governmental litigation:
[Successive governmental litigation is most likely to require determination of the relative authority of different government agencies ... Successive government and citizen actions, on the other hand, ordinarily focus on distinctions between public and private rights and potential conflicts of interest; the relative authority of different government agencies is not often a problem.
18A C. Wright, A. Miller, & E. Cooper, Federal Practice and Procedure: Jurisdiction § 4458 at 552 (2d ed.2002).
The issue of whether a prior case brought by New York State in its parens patriae capacity will bar the City of New York or other sub-state entities from subsequently bringing suit on the same cause of action has apparently never been decided by New York state courts. Defendants argue that the City of New York should be precluded from bringing this action because it seeks to vindicate the same interest on behalf of the same citizens bound by the decision of the New York Supreme Court in Sturm, Ruger.
The City is not precluded under the doctrine of res judicata, however, simply because its residents, if suing as private plaintiffs, might be barred from bringing suit. The City’s interest cannot be characterized as coterminous with that of its inhabitants’; it has a municipal interest that is separate and distinct from, and not duplicative of, the interests of individual New Yorkers. Given that the instant case involves a subsequent suit by a sub-state governmental body, not a private citizen, it is appropriate to examine New York law governing the relative authority of governmental entities, particularly the relationship between the State and City of New York. See Parts III.B.2 & 3, infra.
2. Privity between Governmental Entities Generally
Under some circumstances, a final decision on the merits that is binding on one governmental agency or official may not be binding on another agency or official.
See
*267
Juan C. v. Cortines,
If the second action involves an agency or official whose functions and responsibilities are so distinct from those of the agency or official in the first action that applying preclusion would interfere with the proper allocation of authority between them, the earlier judgment should not be given preclusive effect in the second action.
Id. (quoting Restatement (Second) of Judgments, § 36, cmt. f). The source of authority of the governmental units is not dispositive of whether they are in privity for preclusion purposes. More compelling is their actual and statutory relationship and functions, which may be indicative of their relative independence. See id: (citations omitted).
In
Juan C. v. Cortines,
the New York Court of Appeals considered whether the doctrine of collateral estoppel applied to preclude education officials from separately determining the suspension and reassignment of a student found with a gun at school after the Family Court, in a juvenile delinquency proceeding, had suppressed the gun and dismissed the delinquency petition. In determining whether the education officials and the family court prosecutor could be considered in privity for purposes of preclusion, the court looked to the “nature, particular function, and purpose” of the two governmental entities.
Id.
at 1066,
In law, purpose and actual practice, the [educational official’s] procedures and wider educational community concerns are functionally and fundamentally discrete and independent from the [Corporation Counsel’s] uniquely delegated and described responsibility in a juvenile delinquency proceeding in Family Court.
Id.
at 1068,
New York courts have largely refused to find two functionally independent governmental entities in privity with each other for purposes of preclusion.
See, e.g., Brown v. City of New York,
*268 3. Privity between New York State and New York City
The law affords New York City a substantial degree of autonomy from the State. To understand why this is the case, it is helpful to examine the historical development of the law of municipal corporations and the struggle for the right to local self-government or “home rule.” See Parts III.B.3.a & b, infra. As a result of the home rule movement in New York, the state constitution now contains a bill of rights for local government and grants municipalities a wide latitude to legislate on matters of local concern such as the safety, health and well-being of their residents. See N.Y. Const., art. IX, discussed in greater detail in Part III.B.3.C, infra. One issue of particular local concern to New York City is the problem of gun-related violence. Although deaths and injuries due to firearms occur throughout the State, the prevalence and severity of the problem in the City means that its priorities are functionally and fundamentally discrete from those of the State. See Part III.B.3.d, infra. In light of the respect for local autonomy embodied in New York law, precluding the City from bringing a suit aimed at redressing the problem of gun-related violence would interfere with its authority to promote the safety and well-being of its inhabitants. Barring the City from litigating its public nuisance claim would also interfere with the proper delineation of authority between the Corporation Counsel and the Attorney General. See Part III.B.3.e, infra.
a. Development of the Legal Status of Cities
For most of recorded human history, cities have been a principal factor in the progress of civilization. 1 Eugene McQuillin,
The Law of Municipal Corporations
§ 1.01 at 3 (3d ed.1999) (hereinafter
Mun. Corp.); see also People v. Morris,
Originally formed as an economic association of merchants seeking protection from outside control, the medieval town is considered “the ancestor of the modern city.” See Gerald E. Frug, The City as a Legal Concept, 93 Harv. L.Rev. 1059, 1081, 1083 (1980). English merchants were able to establish a degree of autonomy from the King and the nobility which, in turn, fostered a strong sense of community within the town. Id. at 1083. Over time, the town began to emerge as a separate entity with rights and duties independent of, and often contrary to, those of its inhabitants. The first city charter was granted by King Henry VI in 1439. Id. at 1087.
The early English town was characterized by its relationship to the King. The liberty of towns and the protection of freehold interests had been established by the Magna Carta; even so, the King persistently sought control over the merchant class. Id. at 1091. In 1682, Charles II asserted the right to revoke the corporate status of the City of London. In his view, abrogation of a London’s charter for wrongdoing was integral to royal power. Id. at 1092-93. City officials, however, contended that its corporate charter was a *269 vested property right which could not be taken away. Id. at 1093. “The King’s victory in the London case ... established the legal tradition of royal control of the cities for a time.” Id. at 1094. With the demise of the Stuart reign in 1688, “the immunity of corporate charters from royal abrogation was reestablished.” Id. at 1094.
Most early American cities did not possess the formal corporate structure of their English counterparts. Prior to the Revolution, there were only about twenty incorporated cities in the colonies. Id. at 1096-97; cf. Mun. Corp. § 1.09 at 10 (“During the colonial period some twenty-four municipal corporations received charters as cities....”). Nevertheless, most colonial cities had rights and exercised power as distinct entities and were treated by the courts as if they were corporations. Frug, supra, at 1097-98. Under English law, they had the capacity to take and grant property, to sue and be sued, and to have a common seal. Mun. Corp. § 1.16 at 17. They also possessed limited authority to pass ordinances relating to matters of local concern. Id. § 1.14 at 14. Members of the council, the chief authority of the municipal corporation, were chosen by popular vote, the right to vote generally being limited to white male freeholders or taxpayers. Id. §§ 1.16, 1.18 at 17-18. After the Revolution, most municipal charters were confirmed by the legislature of the state in which the city was located. Id. § 1.09 at 10.
By the early nineteenth century, a distinction between public and private corporations was emerging. See Frug, supra, at 1099-100 (“The corporation as an entity that was simultaneously a rightholder and power wielder thus disappeared. In its place emerged the private corporation, which was an individual right holder, and the public corporation, an entity that was identified with the state.”). In 1819, the Supreme Court considered the status of cities under the rubric of the public-private distinction:
Another division of corporations is into public and private. Public corporations are generally esteemed such as exist for public political purposes only, such as towns, cities, parishes, and counties; and in many respects they are so, although they involve some private interests; but strictly speaking, public corporations are such only as are founded by the government for public purposes, where the whole interests belong also to the government.
Trustees of Dartmouth College v. Woodward,
[Public corporations] are invested with subordinate legislative powers, to be exercised for local purposes connected with the public good; and such powers are subject to the control of the legislature of the state. They may also be empowered to take or hold private property for municipal uses; and such property is invested with the security of other private rights.
2 J. Kent, Commentaries on American Law *275 (footnote omitted). The concept of cities as public corporations became, and remains, the dominant view regarding the legal status of cities in the United States.
b. Modem Law of Municipal Corporations
By the close of the nineteenth century the assumption that cities were subject to state control, although within state consti
*270
tutional limits, was firmly entrenched.
See, e.g., Hunter v. City of Pittsburgh,
In the late 1800s a political challenge to state control of cities sprang up under the banner of “home rule.” Home rule in its broadest sense increased the power and independence of local self-government. The home rule movement called for the amendment of state constitutions to give municipalities more extensive authority. See id. at 1115-16. State legislation at that time included restrictions on state powers to pass “special” or local legislation as opposed to “general” legislation, and the grant of authority to cities to enact local laws without state authorization. Id. at 1116-17. The home rule movement represented an important shift in the law of municipal corporations:
Before home rule, it is often said, local governments generally lacked even the independent initiatory authority to perform the most mundane of functions— let alone immunity from state legislative attempts to dictate how those functions should be performed. After home rule, many local governments, particularly large ones, could adopt charters that set forth their own powers and enable them to appoint their own officers. They were no longer governed by the precise terms of express and specific state legislation. What once had been mere creatures of state legislatures were no longer so.
David J. Barron, Reclaiming Home Rule, 116 Harv. L.Rev. 2255, 2290 (2003).
As it has evolved over the years, home rule now embodies at least three ideas: “(1) the choice of the character of the municipal organization, that is, the selection of the charter; (2) the nature and scope of the municipal service; and (3) all local activity, whether in carrying out or enforcing state law or municipal regulations, in the hands of city or town officers, selected by the community.”
Mun. Corp.
§ 1.41 at 52. It is part of the law, in constitutional or statutory form, of all but two states. Barron,
supra,
at 2260. The Supreme Court has itself recognized the importance of local autonomy to the effectiveness of American government.
See, e.g., Avery v. Midland County,
*271 c. Home Rule in New York
As indicated by the foremost authority on New York home rule, former New York City Corporation Counsel W. Bernard Richland, the home rule provisions in the New York state constitution were influenced by a long history of abuses by the state legislature. See generally W. Bernard Richland, Constitutional City Home Rule in New York, 54 Colum. L.Rev. 311 (1954) [hereinafter Richland, Home Rule I ]. Beginning in the early nineteenth century, home rale sentiments were championed by public officials, judges and others in response to the disproportionately low representation of New York City in New York State government. See id. at 316-20. The notion of local self-government was vigorously opposed by those who felt it would foster the excesses and corruption of Tammany Hall, epitomized by Boss Tweed and his cohorts who presided over the City in the latter part of the 1800s by the use of threats, bribery and the plundering of public resources. See id. at 320-21; see also Edwin G. Burrows & Mike Wallace, Gotham: A History of New York City to 1898, at 837-41 (1999) (describing Republican reformers’ efforts to keep the City in cheek by shifting control of the metropolitan police force to the State, a move which led to chaos and rioting).
Home rule provisions were added to the constitution in 1894 and 1907, but the first significant grant of municipal power was contained in the 1924 Home Rule Amendment. See Richland, Home Rule I, supra, at 321, 323, 327. “In its constitutional home rale provisions, New York has consistently adopted the imperium in imper-io model; a limited sphere of power has been carved out in which local governments are to be autonomous, and, conversely, an attempt has been made to preclude legislative intrusion into purely local concerns.” W. Bernard Richland, Home Rule and the New York Constitution, 66 Colum. L.Rev. 1145, 1147 (1966) [hereinafter Richland, Home Rule II ]. The 1924 Home Rule Amendment expressed this policy. It endowed cities with the power to adopt and amend local laws not inconsistent with the laws of the State, and conditioned the authority of the state legislature to pass laws “relating to the property, affairs or government of cities, which shall be special or local either in its terms or in its effect” upon an emergency message from the Governor and a two-thirds vote of each legislative house. N.Y. Const., art. XII, §§ 2, 3 (1924). The 1938 home rule amendments retained the basic structure and content of the 1924 provision and extended home rule to counties. See Richland, Home Rule II, supra, at 1148; Richard Briffault, Local Government and the New York State Constitution, 1 Hofstra L. & Pol’y Symp. 79, 86 (1996).
Early on, however, in the seminal case of
Adler v. Deegan,
In 1963, the current version of New York’s home rule amendment was adopted. See N.Y. Const. art. IX. It retains the imperium in imperio model of the 1924 and 1938 amendments, but contains additional provisions intended to expand the scope of local self-government. See Rich-land, Home Rule II, supra, at 1148; Briffault, supra, at 90. Included in Article IX is an express declaration that “[ejffective local self-government and intergovernmental cooperation are purposes of the people of this state” and a bill of rights for local government. N.Y. Const, art. IX, § 1; see also 25 N.Y.Jur.2d, Counties, Towns, and Municipal Corporations § 81 (by providing in the state constitution for a bill of rights for local governments, New York recognizes the inherent right of municipalities to self-government). The provision expands local lawmaking powers to encompass both local laws not inconsistent with any general law relating to property, affairs or government, and laws with respect to ten enumerated subjects, whether or not they relate to property, affairs or government, most notably those laws traditionally viewed as falling under the police power. N.Y. Const, art. IX, § 2(c); cf. Jack B. Weinstein, A New York Constitution Meeting Today’s Needs and Tomorrow’s Challenges 141 (National Mun. League 1967) (“[I]t must be recognized that no formulation is likely to be successful in dividing matters which ought to be left entirely to local government and matters which should be left entirely to the state. It is difficult to conceive of any important subject of interest to local government which is not also properly of interest to the state as a whole.”). Article IX directs the legislature to enact a statute “granting to local governments powers including but not limited to those of local legislation and administration.” N.Y. Const, art IX, § 2(b)(1); see also N.Y. Mun. Home Rule Law (implementing art. IX, § 2(b)(1)). Section 3 repudiates Dillon’s Rule of strict construction by providing for a liberal construction of the “rights, powers, privileges and immunities granted to local governments.” Id. § 3(c).
“In short, Article IX provides local governments with a number of general and specific grants of power that together constitute a rather broad authorization to initiate local policy-making.” Briffault, supra, at 89; see also Jack B. Weinstein, Issues for the 1967 Constitutional Convention, at 10-12, Barbara A. Shapiro, Local Law Enforcement in New York State, Steven H. Steinglass, County Home Rule in New York State, Frank J. Macchiarola, Local Finances under the New York State Constitution, Frederick H. Dulles, Metropolitan Regional Problems, in Essays on the New York Constitution (Jack B. Wein-stein ed., Fred B. Rothman & Co.1966) (examining state-local relations in New York shortly after adoption of Article IX). Despite the apparent intent of Article IX to enlarge the scope of local self-government, however, home rule continued to be construed somewhat narrowly by New York courts. See Richland, Home Rule II, supra, at 1148-51; Cole, supra, at 715; Briffault, supra, at 89-90.
*273 d. Relationship between Neto York State and New York City
“The struggle for home rule in New York [S]tate is an aspect of the contest for power which has been going on for more than a century between New York City, dominated by one political party, and the rural areas of the [S]tate, dominated by the other.” Richland, Home Rule I, supra, at 316. In addition to disagreements about home rule, metropolis and countryside have clashed over issues such as agrarian and commercial interests, apportionment of the state legislature, regulation of the sale of alcohol, and allocation of state tax revenues, particularly to schools. See David Maldwyn Ellis, Neiu York: State and City 180-99 (1979). So acrimonious has the relationship been at times between the mostly Republic Northerners and the mostly Democratic New York City dwellers, that it is said to have led writer Norman Mailer to run for Mayor of New York in 1969 on a platform that would establish the City as the fifty-first state. Id. at 180.
One issue which currently divides New York City from most of the rest of the State is the regulation of firearms. Perhaps because of the disproportionate impact of gun violence on New York City, its attitude towards firearms regulation differs from that of much of the rest of the State. See, e.g., Shaila K. Dewan, Man is Shot for Cellphone on Busy Day of Mayhem, N.Y. Times, Apr. 12, 2004 (reporting that there were twelve shootings in New York City in 24-hour period and noting that there have been an average of 3.3. shooting victims a day this year). The voting records of the representatives of the State Assembly suggest this difference. In March of 2004, a bill intended to reduce illegal trafficking of guns was introduced in the New York State Assembly. Of the sixty-five assemblymembers from New York City, only one voted against the enactment; in contrast, over seventy percent of assemblymembers from upstate districts voted against the bill. See New York State Assembly, Bill Summary— A084-56, at http:// assembly.state.ny.us/leg/?bn=A08456 (summarizing Bill A.8456, a bill intended to “reduce gun trafficking by making it more difficult for criminals to obtain firearms” and listing votes of individual assemblymembers).
Stricter views on gun control have led New York City to promulgate a layer of firearms regulation on top of the framework established by the State. Licenses to keep a gun in one’s home or place of business must be renewed in the City every three years; upstate, licenses are valid for life. The Association of the Bar of the City of New York, Taking Aim: New York State’s Regulation of Firearms and Proposals for Reform, at 3^, available at http:// www.abcny.org/reports/index.php. While New York State does not require a license for the possession of rifles or shotguns, New York City does. Id. at 6. In addition, although the State allows juveniles to own a rifle or shotgun if they are in possession of a valid hunting license, the City will not issue a license to possess a rifle or shotgun to anyone younger than eighteen. Id. at 7-8.
e. Governmental Entity Analysis
Precluding the City from bringing suit aimed at redressing the problem of gun-related violence would interfere with the authority accorded it under New York’s home rule provisions. Consistent with Article IX of the state constitution, the City has the authority to take action on issues of local concern including those affecting the safety, health and well-being of its inhabitants.
See
N.Y. Const, art. IX, § 2(c). The New York Court of Appeals has recognized that, where the public
*274
health is a factor, a municipality’s right to bring “an action to restrain a public nuisance may be tantamount to its right of survival.”
New York Trap Rock Corp. v. Town of Clarkstown,
Barring the City from litigating its public nuisance claim would also interfere with the proper delineation of authority, in theory and in practice, between the City Corporation Counsel and the State Attorney General. The Charter of the City of New York provides that the Corporation Counsel’s authority to conduct all the law business of the City of New York is “exclusive.”
See, e.g., Caruso v. New York City Police Dep’t Pension Funds,
In practice, the interests of the City and the State are often different. They are frequently in litigation against one another, with the Attorney General representing interests adverse to those of the City.
See, e.g., City of New York v. Wing,
In light of the substantial autonomy afforded New York City to deal with issues of local concern, and out of respect for the proper division of authority between the Corporation Counsel and the Attorney General to conduct the law business of the City and State respectively, it is appropriate to allow the City to continue with the instant suit notwithstanding the decision in Sturm, Ruger. The decision not to find the City in privity with the State is confined to the circumstances of this case. It does not stand for the proposition that the City may bring suit any time the State has not prevailed on a similar claim.
IV. Statement of a Claim
A. Rule 12(b)(6) Standard and Scope
Pursuant to Federal Rule of Civil Procedure 12(b)(6), a defendant may move to dismiss for “failure to state a claim upon which relief may be granted.” A defendant has the burden of proving “beyond doubt that the plaintiff can prove no set of facts in support of his claim [that] would entitle him to relief.”
Conley v. Gibson,
In reviewing a Rule 12(b)(6) motion, the task of the court “is merely to assess the legal feasibility of the complaint, not to assay the weight of the evidence which might be offered in support thereof.”
Geisler v. Petrocelli,
Although an examination of evidence is normally not useful in deciding a motion to dismiss, it is desirable to briefly review ATF crime-gun trace data and the marketing practices of the gun industry in evaluating the legal sufficiency of this plaintiffs claims. A comprehensive review of such information was conducted, following extensive discovery and expert analysis, in
NAACP v. Acusport, Inc.,
B. Stare Decisis and the Rule of Erie
Under the rule of
Erie,
New York common law governs this case.
See Erie R.R. Co. v. Tompkins,
This court is obliged to apply New York public nuisance law as announced and interpreted in the Appellate Division’s decision in
Sturm, Ruger
and in the many other public nuisance cases considered by the New York courts. The law should not be determined mechanically, but rather, in
*276
the context of “all relevant factors.”
See Strubbe v. Sonnenschein,
C. Stating a Public Nuisance Claim against the Firearms Industry
Under New York law, a claim for public nuisance may lie against members of the gun industry whose marketing and sales practice lead to the diversion of large numbers of firearms into the illegal secondary gun market.
See NAACP,
1. Existence of a Public Nuisance
A public nuisance “consists of conduct or omissions which offend, interfere with or cause damage to the public in the exercise of rights common to all, in a manner such as to offend public morals, interfere with the use by the public of a public place or endanger or injure the property, health, safety or comfort of a considerable number of persons.”
Copart Indus., Inc. v. Consol. Edison Co.,
The illegal possession and use of handguns in New York may constitute a public nuisance:
There can be no dispute that the unlawful use of handguns constitutes a public nuisance ... Moreover, the injuries and deaths that result from such activities clearly constitute a substantial interference with the exercise of a common right of the public, thereby offending public morals, interfering with the use by the public of a public place or endangering or injuring the property, health, safety or comfort of a considerable number of persons.
Sturm, Ruger, Index No. 402586/00, at 20; see also N.Y. Penal Law § 400.05(1) (“Any weapon specified ... when unlawfully possessed, manufactured, transported or disposed of, or when utilized in the commission of an offense, is hereby declared a nuisance.”).
2. Conduct of the Defendants Creating, Contributing to, or Maintaining the Nuisance
a. Conduct
i. Standard of Liability
In private nuisance cases, a plaintiff must prove fault by showing either intentional or negligent conduct on the part of the defendant or that the defendant engaged in ultrahazardous activity, justifying the imposition of strict liability. Restatement (Second) of Torts § 822. In public nuisance cases, in particular those brought by a public authority, allegations of fault have generally been found to be irrelevant under New York law.
See, e.g., State v. Show Realty Corp.,
Judicial and scholarly opinions do not always distinguish between public and private nuisance. As a result, the fault concepts in private nuisance actions are sometimes superimposed onto public nuisance actions.
See id.
at 367-68. In a classic
*278
public nuisance case,
Copart Indus. v. Consol. Edison Co.,
Because the law on public versus private nuisances is unclear and because the New York Court of Appeals has never spoken definitively on whether traditional fault concepts are applicable in public nuisance suits, the concepts of intentionality and negligence require examination.
ii. Intentional Conduct
A defendant acts intentionally if it acts for the purpose of causing an interference with a public right or knows that such interference was resulting or is substantially certain to result from its conduct.
See Copart Indus.,
The intentionality requirement in the context of the instant suit requires that a firearms “manufacturer, importer or distributor knows or is substantially certain that its marketing practices have a significant impact on the likelihood that a gun will be diverted into the illegal market and used in crime, and that substantial harm to the public will result.”
NAACP,
The City asserts that the gun industry knows that the criminal market is fueled by its marketing and distribution practices. The complaint quotes the former Senior Vice President for Marketing and Sales for defendant Smith & Wesson:
The company and the industry as a whole are fully aware of the extent of the criminal misuse of firearms. The company and the industry are also aware that the black market in firearms is not simply the result of stolen guns but is due to the seepage of guns into the illicit market from multiple thousands of unsupervised federal firearms licensees. In spite of their knowledge, however, the industry’s position has consistently been to take no independent action to insure responsible distribution practices.
Another former industry insider is cited as testifying that ATF gun traces put the *279 industry on notice of problems with unsupervised dealers, but that such problems are not addressed because “if the industry took voluntary action, it would be admitting responsibility.” Such allegations are sufficient to satisfy the liberal pleading requirements of the federal rules. See Fed.R.CivJP. 8.
iii. Negligent Conduct
Negligent conduct may give rise to a public nuisance.
See Copart Indus. v. Consol. Edison Co.,
The New York Court of Appeals has not addressed the question whether gun manufacturers owe a duty to the public to exercise care in the marketing and distribution of their firearms. It has, however, considered whether gun companies owe a duty of care to individual victims of violence in the context of a negligence action.
See Hamilton,
The New York Court of Appeals in
Hamilton
held that persons killed by illegally obtained handguns are not owed a duty by handgun manufacturers to exercise reasonable care in the marketing and distribution of their handguns.
Id.
In
Sturm, Ruger,
the Appellate Division considered the concept of duty in the context of a public nuisance action.
Even if the City is required to plead a duty of care of the type developed in negligence actions and applied in Hamilton, it has done so. It alleges the existence of a corrupt group of firearms dealers with a disproportionate number of ATF crime-gun traces and other trafficking-related indicators. It contends that the defendant manufacturers, importers and distributors know or have reason to know about these problem dealers, but continue to do business with them, thus facilitating the flow of illegally possessed guns into New York City. These allegations are sufficient to create an inference of duty of the type suggested in Hamilton under a theory of negligent entrustment. The complaint also contains sufficient factual allegations to make a tangible showing that defendants are a direct link in the causal chain that results in the harm to the City and the public occasioned by illegal gun use and that defendants are in a position to substantially reduce such harm. See Part IV.C.2.b.iii, infra.
iv. Otherwise Lawful Conduct
The fact that a defendant’s conduct is otherwise lawful does not preclude liability for public nuisance.
See State v. Waterloo Stock Car Raceway, Inc.,
That the firearms industry is, in some respects, regulated at the federal, state and local level does not preclude the instant suit. Both federal and New York state firearms laws and regulations have expressly disavowed any preemptive effect on state common law.
See, e.g.,
18 U.S.C. § 927 (“No provision of this chapter [Chapter 44 — Firearms] shall be construed as indicating an intent on the part of Congress to occupy the field in which such provision operates to the exclusion of the law of any State on the same subject matter, unless there is direct and positive conflict between such provision and the law of the State so that the two cannot be reconciled or consistently stand together.”); N.Y. Penal Law § 5.10(3) (penal laws pertaining to licensing of firearms and criminal negligence do “not bar, suspend, or otherwise affect any right or liability to damages, penalty, forfeiture or other remedy authorized by law to be recovered or enforced in a civil action”). In fact, many of the marketing and distribution practices of which the City complains remain almost wholly unregulated.
NAACP,
The existence of a regulatory statutory scheme governing some aspects of the firearms industry does mean that the conduct alleged is fully authorized.
See Ileto v. dock,
b. Causation
i. Factual Cause
Satisfaction of the causation requirement for liability in public nuisance actions requires proof that a defendant, alone or with others, created, contributed to, or maintained the alleged interference with the public right.
See, e.g., Hine v. Aird-Don Co.,
Persons who join or participate in the creation or maintenance of a public nuisance are liable jointly and severally for the wrong and resulting injury.
See State v. Schenectady Chems. Inc.,
The tortious actions or omissions of a defendant or defendants need not be the immediate cause of injury to the public. If a defendant’s conduct “remains the dominant and relevant fact without which the public nuisance would not have resulted where and under the circumstances it did,”
United States v. Hooker Chems. & Plastics Corp.,
ii. Proximate Cause
Separate and apart
from
factual cause is the concept of proximate cause. Proximate cause embodies a policy requirement in some tort actions that a defendant’s tortious conduct be causally sufficiently close to the harm suffered that it is just or fair to hold the defendant liable for the con sequences of its actions.
See Laborers Local 17 Health & Benefit Fund v. Philip Morris, Inc.,
iii. Causation in Suits Against the Firearms Industry
The possibility that, under some set of circumstances, a causal connection between harm suffered by the public and the conduct of members of the gun industry might be shown has not been precluded by the New York courts. In
Sturm, Ruger
the trial court, while finding that the harm alleged was too remote from defendants’ conduct, explicitly left open the possibility that such a showing might be possible with advances in research and available data. Index No. 402586/00, at 26-27 (“In order to assert the broad liability suggested by the Complaint, plaintiffs must allege more facts which would demonstrate that defendants are somehow contributing to the handgun nuisance. This may become possible as further BATF investigations provide more information about the manufacture, sale and eventual unlawful use of handguns.”). The Appellate Division affirmed, finding it “inappropriate
at this juncture
to sustain this complaint.”
Both the trial court and the Appellate Division in
Sturm, Ruger
relied in large measure on the decision of the New York Court of Appeals in
Hamilton,
There is now significantly more evidence available concerning (1) guns recovered by law enforcement agencies and traced by the ATF; (2) the marketing and distribution practices of members of the firearms industry and (3) the relationship of these marketing practices to crimes committed with guns in New York. In
NAACP,
extensive discovery and detailed expert testimony based upon ATF data and other material demonstrated that the defendant firearms manufacturers and distributors could be found to be a direct link in the causal chain resulting in injury to plaintiff, and that it might be found that defendants could, voluntarily and through easily implemented changes, substantially reduce the harm occasioned by the illegal use and possession of guns.
The flow of guns into criminal hands in New York would substantially decrease if manufacturers and distributors insisted that retail dealers who sell their guns *284 be responsible — e.g., that they not sell at guns shows, but sell from the equivalent of a store front with a supply of stocked guns; that they not sell under a variety of names; that they protect against theft; that they train and supervise employees to prevent straw sales (which are often notoriously obvious to the seller); and that they take other appropriate and available protective action.
Id. at 450.
The City’s complaint mirrors much of the evidence adduced at the NAACP trial. It alleges that defendants intentionally or negligently facilitate the diversion of substantial amounts of their guns into the criminal market. Diversion to criminals is allegedly accomplished as a result of, inter alia, defendants’ failure to (1) monitor corrupt retailers; (2) require retail sales only through storefront establishments; (3) limit sales made at gun shows; (4) prohibit straw sales by retailers; (5) limit multiple sales to the same person; and (6) limit sales to dealers in states with lax gun laws. The complaint cites recent analyses of ATF trace data indicating that the pace of a gun’s movement between the legal and illegal market is rapid. It further charges that defendants have failed to develop reasonable safeguards or to oversee and supervise their marketing and distribution schemes in order to prevent the foreseeable diversion of guns into criminals’ hands. Although the chain of causation involves at least the manufacturer, distributor and first retailer, the City maintains that defendants exercise control over these marketing and distribution systems so that the apparent multiple links in the causal chain constitute, in actuality, one single link. Such specific factual assertions, alleging both spatial and temporal proximity between defendants’ conduct and the illegal use and possession of firearms, are sufficient to survive a motion to dismiss on the pleadings.
It cannot be concluded, as a matter of law, that defendants’ marketing and distribution practices are too remote from the injury to the public caused by the illegal possession and use of firearms. Given the City’s assertion that defendants are a direct link in the causal chain resulting in the harm suffered by the public as a result of illegal gun use and that they are realistically in a position to prevent such harm, it is arguably appropriate to hold them accountable for their alleged tortious conduct.
See also, e.g., Ileto v. Glock,
3. Statutory Nuisance Claim
The City also asserts a claim for statutory nuisance on the basis of the New York Penal Law which provides, in relevant part: “Any weapon specified ... when unlawfully possessed, manufactured, transported or disposed of, or when utilized in the commission of an offense, is hereby declared a nuisance.” N.Y. Penal Law § 400.05(1). This statute “amount[s] to a legislative declaration that the conduct proscribed is an unreasonable interference with a public right” and, as such, there is “no need for a court finding of unreasonableness.” See Restatement (Second) of *285 Torts § 821B, cmt. c. The state trial court’s dismissal of a similar statutory nuisance claim in Sturm, Ruger, Index No. 402586/00, at 29, which was not challenged on appeal, provides no basis for dismissing the City’s claim in the instant suit. Dismissal in Sturm, Ruger was based on the complaint’s failure to “adequately allege that defendants are liable for creating or maintaining a common law public nuisance.” Id. Because the City has adequately pled a cause of action for common law public nuisance, its overlapping statutory claim need not be dismissed.
V. Commerce Clause and Due Process Clause
A. Commerce Clause
As a bar to this action, defendants rely on the Commerce Clause, U.S. Const, art. I, sec. 8, cl. 1-3 (“The Congress shall have Power ... To regulate Commerce with foreign Nations, and among the several States.... ”). They argue that the practical and inevitable effect of the City’s suit is to regulate commerce beyond the borders of New York City and State, thus placing an impermissible burden on interstate commerce in violation of the Constitution.
The Commerce Clause impliedly limits the power of the states to interfere with or impose burdens on interstate commerce. W.
& S. Life Ins. Co. v. State Bd. of Equalization of California,
The applicability of the Commerce Clause to state common law actions is unsettled.
See BMW of North America, Inc. v. Gore,
“Congress has expressly recognized that state regulation of the sale, possession, and use of guns are necessary complements to federal regulation of firearms.”
NAACP,
The City seeks to abate the allegedly tortious practices of the defendants in the marketing and distribution of their handguns which have an injurious effect on itself and its citizens. As a general matter, any burden placed on interstate commerce is outweighed by the substantial public interest in the regulation of the sale of firearms to protect the health and safety of New York City and its people.
NAACP,
B. Due Process Clause
Defendants assert that the injunctive relief sought by the City would violate the Due Process Clause by attempting to regulate conduct outside its borders. According to the principle established in
BMW of North America, Inc. v. Gore,
VI. Conclusion
The motion to dismiss is denied.
SO ORDERED.
