Plaintiff John Giordano appeals from a judgment of the United States District Court for the Southern District of New York (Jed S. Rakoff,
Judge)
in a personal injury action filed by Giordano against defendants Market America, Inc., and The Chemins Company, Inc. Giordano alleges that dietary supplements containing the substance ephedra that the defendants supplied caused his March 1999 cerebral aneurism and subsequent medical events. On April 10, 2006, the district court granted summary judgment for the defendants on the grounds that Giordano’s lawsuit, filed on July 28, 2003, was barred by the three-year statute of limitations set forth in N.Y. C.P.L.R. § 214.
See In re Ephedra Prods. Liab. Litig.,
Nos. 04 M.D. 1598, 05 Civ. 1018,
The plaintiff appealed from the district court’s judgment and we heard oral argument on November 8, 2007. On August 18, 2008, we remanded for the limited purpose of asking the district comb to determine whether a genuine issue of material fact existed as to whether an additional requirement of N.Y. C.P.L.R. § 214-c(4) had been met, namely that Giordano “allege and prove that technical, scientific or medical knowledge and information sufficient to ascertain the cause of his injury had not been discovered, identified or determined” prior to the expiration of the otherwise applicable three-year statute of limitations.
See Giordano v. Mkt. Am., Inc.,
The applicability of N.Y. C.P.L.R. § 214 — c(4) to Giordano’s claims is now before this Court again. The resolution of this issue requires us to answer three separate questions of New York law: (1) Are the provisions of N.Y. C.P.L.R. § 214-c(4) providing for an extension of the statute of limitations in certain circumstances limited to actions for injuries caused by the latent effects of exposure to a substance?; (2) Can an injury that occurs within 24 to 48 hours of exposure to a substance be considered “latent” for these purposes?; (3) What standards should be applied to determine whether a genuine issue of material fact exists for resolution by a trier of fact as to whether “technical, scientific or medical knowledge and information sufficient to ascertain the cause of [the plaintiffs] injury” was “discovered, identified or determined” for N.Y. C.P.L.R. § 214-e(4) purposes? Resolving the third question requires us to decide both the level of certainty required for knowledge to be deemed “sufficient to ascertain” the cause of an injury, and the community that must possess this knowledge — that is, whether the knowledge must be reasonably available to a plaintiff and his or her lawyers, or whether it must be reasonably available to the scientific, technical, or medical community.
In this instance, the district court found that “some studies suggesting a possible connection between ephedra and injuries similar to Giordano’s were published in reputable scientific journals that were publicly available” during the three-year period after discovery of Giordano’s injury, but that there was “a lack of awareness of the risks by even the most interested members of the public” during that time.
Ephedra III,
The three questions of statutory interpretation raised by this appeal have not been answered conclusively by New York courts. They, in turn, implicate questions of public policy pertaining to how the New York Legislature intended to balance the rights of those suffering personal injuries with the rights of defendants and with the need for judicial economy. New York courts are better situated to answer these questions than are we. We therefore certify them to the New York Court of Appeals.
BACKGROUND
Pursuant to an order of the Judicial Panel on Multidistriet Litigation,
see
28 U.S.C. § 1407, the district court that decided this case is charged with managing some 500 civil actions, including this one, involving claims of “personal injury or wrongful death caused by dietary supplements containing ephedra.”
In re Ephedra Prods. Liab. Litig.,
The Food, Drug, and Cosmetic Act (“FDCA”) prohibits “[t]he introduction or delivery for introduction into interstate commerce of any food ... that is adulterated. ...” 21 U.S.C. § 331(a). Section 402 of the FDCA provides that a “food shall be deemed to be adulterated ... [i]f it is a dietary supplement or contains a dietary ingredient that ... presents a significant or unreasonable risk of illness or inju
ry____” Id.
§ 342(f)(1)(A). On February 11, 2004, the United States Food and Drug Administration (“FDA”) effectively banned ephedra by declaring dietary supplements
The district court’s opinion in
Ephedra I
granting in part and denying in part motions to exclude expert testimony pursuant to Rule 702 of the Federal Rules of Evidence and
Daubert v. Merrell Dow Pharms., Inc.,
According to the consolidated plaintiffs’ experts:
[Ejphedra can cause injury in susceptible people by increasing their blood pressure and heart rate.... [A]n individual’s blood pressure and heart rate normally vary over the course of a day, week and season, and ... the effects of ephedra in an individual also vary over the course of the day in relation to when it was ingested and the individual’s metabolism. If ephedra can sometimes be a contributing cause of heart attack, stroke, or sudden death in susceptible people, the injury might be triggered by the coincidence of peak events, such as transient peak blood pressure due to other causes occurring at the same time as peak ephedrine blood level. The longer the duration of repeated exposure, the more likely such coincidence will occur.
Ephedra I,
According to the FDA:
People who use dietary supplements containing ephedrine alkaloids are at increased risk for serious adverse events, including heart attack, stroke, and death. Susceptible individuals (e.g., those with coronary artery disease or heart failure), many of whom may not know they have underlying illnesses, are at increased risk for adverse events because these products can cause abnormal heart rhythms (pro-arrhythmic effect), even when the product is ingested at recommended doses over a short course (one or a few doses). Over longer periods of use, the risk for adverse health effects to the general population, including susceptible individuals, increases further due to a sustained elevation in blood pressure.
FDA Final Rule, 69 Fed.Reg. at 6825.
Before the district court, all parties
agree[d] that a recommended dose of a product containing ephedra ... often raises the user’s blood pressure and/or heart rate during the first few hours after ingestion, and they agree[d] that any increase maintained over years in a person’s usual blood pressure or heart rate significantly increases the risk of cardiac injury and stroke.
Ephedra I,
The district court also noted in its decision granting summary judgment to the defendants here that “ephedra acts within a few hours to cause a transitory elevation of blood pressure and heart rate and a temporary constriction of certain blood vessels.”
Ephedra II,
For approximately two years, ending on March 15, 1999, Giordano used “ThermoChrome 5000,” a dietary supplement containing ephedra. Defendant-Appellee The Chemins Company, Inc., manufactured ThermoChrome 5000; defendant-appellee Market America, Inc., distributed it.
Nearly four years later, in February 2003, Giordano became aware of news reports that the sudden death of major-league baseball player Steve Bechler might have been linked to his use of an ephedra-based dietary supplement. According to Giordano’s affidavit, these news reports were his first indication that ThermoChrome 5000 may have been a cause of his aneurysm and strokes.
Some five months later, on July 28, 2003, Giordano instituted this action in New York State Supreme Court. The defendants removed it to the United States District Court for the Southern District of New York on the basis of diversity of citizenship.
See
28 U.S.C. §§ 1332, 1441. They subsequently moved for summary judgment on statute-of-limitations grounds. On April 10, 2006, the district court granted the summary judgment motions.
Ephedra II,
After hearing argument on November 8, 2007, we remanded pursuant to the procedures set forth in
United States v. Jacobson,
Although it expressed doubt as to what standard to apply, the district court answered this question in the affirmative under any standard.
Ephedra III,
The defendants now seek review of the district court’s findings with respect to the existence of sufficient technical, scientific or medical knowledge to ascertain the cause of injury, and also seek affirmance of the district court’s prior holding that N.Y. C.P.L.R. § 214-c(4) was inapplicable because ephedra did not cause any latent injuries. See Appellee Market America Ltr. Br. at 5-8 (filed Mar. 19, 2009); Appellee Chemins Co. Ltr. Br. at 1-5 (filed Mar. 20, 2009). In the alternative, the defendants seek certification of these issues to the New York Court of Appeals. See, e.g., Appellee Market America Ltr. Br. at 8.
Giordano, conversely, seeks affirmance of the district court’s findings with respect to the existence of sufficient knowledge of
DISCUSSION
New York Civil Practice Law and Rules § 214-c(4) extends the statute of limitations for filing a personal injury claim in specified circumstances if the cause of injury was not and could not reasonably have been discovered during the three-year period for filing a claim that is set forth in section 214(5). Applying section 214-c(4) to the facts at hand requires answering three separate questions, the first of which is whether section 214-c(4) is limited to injuries that are “latent.” Provided that the answer to that question is in the affirmative, the second question is whether injuries caused by ephedra, which are typically if not universally experienced within twenty-four hours of its ingestion, are or may be “latent” for section 214-c(4) purposes. If so, the third question is whether a genuine issue of material fact exists for the trier of fact as to whether technical, medical, or scientific knowledge sufficient to ascertain the cause of Giordano’s injury had been discovered, identified, or determined during the otherwise-applicable three-year period. Each of these questions involves an issue of law that has not previously been addressed by New York courts.
In addressing the thud question, we must take into account that “some studies suggesting a possible connection between ephedra and injuries similar to Giordano’s were published in reputable scientific journals that were publicly available” during the three-year period after discovery of Giordano’s injury, but that there was “a lack of awareness of the risks by even the most interested members of the public” during that time.
Ephedra III,
The third question is further complicated by two ambiguities regarding the standard that should be used in answering it. First, it is unclear what level of certainty is required for knowledge to be “sufficient to ascertain” the cause of an injury. Second, it is unclear what relevant group must possess this knowledge, i.e., the plaintiff and his or her lawyers, or the scientific, technical, or medical community.
I. Standard of Review
“We review a district court’s grant of summary judgment de novo. Summary judgment is warranted only where, construing all the evidence in the light most favorable to the non-movant and drawing all reasonable inferences in that party’s favor, there is no genuine issue as to any material fact and the movant is entitled to judgment as a matter of law.”
McBride v. BIC Consumer Prods. Mfg. Co.,
II. New York’s Statute of Limitations
Because our subject-matter jurisdiction rests on diversity of citizenship and Giordano’s cause of action arose in New York, we apply New York’s substantive law and statute of limitations.
See Guaranty Trust Co. v. York,
New York Civil Practice Law and Rules § 214 sets forth the generally applicable limitations period for personal-injury claims: “[A]n action to recover damages for a personal injury,” N.Y. C.P.L.R. § 214(5), “must be commenced within three years,” id. § 214, “except as provided in[, inter alia,] section[] 214-e,” id. § 214(5).
Two provisions of section 214-c are relevant here. Section 214-c(2) provides:
Notwithstanding the provisions of section 214, the three year period within which an action to recover damages for personal injury or injury to property caused by the latent effects of exposure to any substance or combination of substances, in any form, upon or within the body or upon or within property must be commenced shall be computed from the date of discovery of the injury by the plaintiff or from the date when through the exercise of reasonable diligence such injury should have been discovered by the plaintiff, whichever is earlier.
Id. § 214-e(2). Section 214-c(4) provides:
Notwithstanding the provisions of subdivisions two and three [ 1 ] of this section, where the discovery of the cause of the injury is alleged to have occurred less than five years after discovery of the injury or when with reasonable diligence such injury should have been discovered, whichever is earlier, an action may be commenced or a claim filed within one year of such discovery of the cause of the injury; provided, however, if any such action is commenced or claim filed after the period in which it would otherwise have been authorized pursuant to subdivision two or three of this section the plaintiff or claimant shall be required to allege and prove that technical, scientific or medical knowledge and information sufficient to ascertain the cause of his injury had not been discovered, identified or determined prior to the expiration of the period within which the action or claim would have been authorized and that he has otherwise satisfied the requirements of subdivisions two and three of this section.
Id. § 214-c(4).
It is undisputed that Giordano did not commence litigation within three years of being exposed to ephedra, and that his suit was thus not commenced within the general limitations period provided by section 214. He ingested the product containing ephedra for two years up to and likely including March 15, 1999. He did not file suit, however, until July 28, 2003, more than three but less than five years later.
Moreover, Giordano’s claim is not covered by section 214-c(2) because he did not assert it within three years of discovering the injury alleged to have been caused by ephedra — the aneurysm, which occurred on March 15, 1999, and the strokes, which
Because section 214-c and its subsections provide exceptions to the general statute of limitations, Giordano bears the burden of showing that one of the exceptions applies to his claim.
See Bano v. Union Carbide Corp.,
III. The District Court’s Decisions
The district court granted summary judgment to the defendants based on its conclusion that the foregoing exceptions to New York’s three-year statute of limitations did not apply.
Ephedra II,
The court determined at the outset that New York courts do not allow equitable tolling of the three-year statute of limitations.
Id.,
The district court then noted that section 214-c(2), but not section 214-c(4), expressly applies only to injuries caused by the “latent effects” of exposure to a substance. Despite the absence of the term “latent effects” in section 214-e(4), the section governing discovery of the cause of injury more than three but less than five years after discovery of the injury, the district court concluded that that section is also limited to injuries caused by “latent effects.” The district court’s conclusion was based primarily on the several references in section 214-c(4) to section 214-c(2), the section containing the latent effects language.
Id.,
The district court then concluded as a matter of law, based on the undisputed evidence before it, that ephedra’s alleged effects on Giordano were not “latent.” First, the court observed that Giordano “discovered his stroke immediately upon its occurrence.”
Id.,
Rather than decide the latency question unnecessarily, we remanded with instruction to the district court to determine “whether there is a genuine issue of material fact as to whether sufficient scientific or medical knowledge was available to Giordano such that he could have ascertained the cause of his injury prior to the expiration of the three-year limitations period provided by section 214-c(2).”
Giordano,
In answering this question in the affirmative, the district court recognized two separate ambiguities in the statute and, as noted, suggested that certification to the New York Court of Appeals — an approach not available to the district court — might
First, the court viewed the statute as ambiguous as to whether sufficient knowledge to “ascertain” the cause of an injury requires certainty as to the cause, as suggested by the dictionary definition of the term, or requires “something akin to finding a probable connection,” which the court understood to be the way in which, the New York Appellate Division, Third Department, had construed the term. Id. at 536.
Second, the district court viewed the statute to be ambiguous as to “precisely who has to know what before § 214-c applies.” Id. at 537 n. 1. The court was unable to determine from the face of the statute whether the knowledge of the cause of injury needed to be reasonably available to the scientific and medical communities or reasonably available to the plaintiff. Id. The court recognized that some studies did exist linking ephedra to injuries similar to Giordano’s as early as 1996, but also observed that most lawsuits related to these studies were not filed until after 2002, “suggesting, at least, a lack of awareness of the risks by even the most interested members of the public prior to that time.” Id.
Despite these problematic aspects of the statute, the district court found a genuine issue of material fact as to whether the requisite knowledge existed because “there are genuine issues of material fact remaining to be resolved on virtually any view one takes of the meaning of § 214-c(4).” Id. at 537.
IV. Analysis
A. “Latent Effects”
1. The Presence of a Latency Requirement in Section 21I-c(L).
We find insufficient guidance in the text of section 214-c(4), its legislative history, and the New York State case law interpreting it to decide whether there is an implied requirement that injuries be latent in order for the provision to apply.
There is indeed support for the district court’s conclusion that section 214-c(4) is limited to injuries caused by the “latent effects” of exposure even though that subsection does not expressly use those words. The proviso clause of section 214-c(4) permits an action to be brought if it is “commenced ... after the period in which it would otherwise have been authorized pursuant to [section 214-e(2) ]” and requires the plaintiff to demonstrate that “he has otherwise satisfied the requirements of [section 214~c(2) ].” N.Y. C.P.L.R. § 214-e(4). If Giordano’s injuries were not “caused by the latent effects of exposure” to ephedra, N.Y. C.P.L.R. § 214 — c(2), then the terms of section 214 — e(2) were never applicable to him: His action would not “otherwise have been authorized pursuant to [section 214-e(2) ]” and he cannot be said to have “otherwise satisfied the requirements [of section 214-c(2) ].” Id. § 214-c(4).
But there are persuasive arguments to the contrary. Latency was expressly made a requirement in section 214-c(2) but omitted from section 214-c(4). As these sections are drafted in largely parallel fashions, with the first relating to discovery of an injury and the second relating to discovery of the cause of an injury, we find it plausible that this omission was intentional.
The notion that the. legislature intentionally omitted this requirement is consistent with the differing purposes of the subsections. Section 214 — c(2) governs injuries that are not discovered until after the three-year statute of limitations. A requirement of latency serves a limiting pur
Section 214-c(4), on the other hand, governs injuries whose causes could not have been reasonably known during the otherwise-applicable three-year time period for filing a claim. In these cases, a requirement of latency does not promote the diligent prosecution of claims. The question under section 214 — c(4) is whether sufficient information was available regarding the cause of an injury to reasonably expect the plaintiff to have taken timely legal action. Whether the injury was latent or patent is irrelevant to the answer. In contrast to the latency requirement of section 214-c(2), which prods plaintiffs to be diligent in discovering injuries, a latency requirement would have little effect on the purposes of section 214-c(4) inasmuch as it has little impact on the diligence with which plaintiffs make themselves aware of scientific information concerning the cause of an injury.
The New York Court of Appeals is, in our view, the appropriate judicial body to decide, if it chooses to do so, whether there is an implicit latency requirement in section 214 — c(4), because the decision requires an analysis of the legislative history, intent of the legislature, and broader purposes of that section.
2. The Latency of Ephedra.
Even were there a latency requirement, we are not entirely persuaded that the purported effects of ephedra are not “latent” within the meaning of section 214-c. The district court relied upon our comment in
Bano
that “[sjection 214-c modifies § 214 with respect to a claimed injury that was not discoverable immediately upon its occurrence,”
Bano,
[R]esearchers in a study of ephedra and stroke admitted into evidence during the Daubert hearings did not consider stroke patients to have been relevantly exposed to ephedra unless they used it within three days before their stroke; indeed, because of ephedra’s short-acting properties, the researchers studied strokes that occurred within 24 hours after using ephedra.
Ephedra II,
But nothing in the text of section 214-c suggests to us that a relatively short period of latency, such as the likely period of time between Giordano’s exposure to the ephedra that allegedly caused his injury and the manifestation of the injury itself, is insufficient to invoke section 214 — c(4). The statute, we assume for this purpose, requires that Giordano’s injury be caused by the “latent effects” of exposure to ephedra, but says nothing about the time period that must elapse between exposure and manifestation of injury in order for the effects of exposure to be considered “latent.”
Dictionary definitions of “latent” are, not surprisingly, many and various. 3 In substance, however, they seem uniformly to treat “latent” as a term referring to a thing or condition that is present but not evident or manifest. Although the period of time between exposure and the manifestation of injury was relatively short in Giordano’s case, it was nonetheless a period of time in which ephedra was present in Giordano’s body, but its effects were not evident or manifest. The language of the statute thus suggests that the purported effects of ephedra may, at least, be “latent,” and that section 214-c may therefore be applicable.
Looking to the legislative purpose for the enactment of section 214-c as part of New York’s 1986 tort reform package, the New York Court of Appeals has observed that one “goal of the Legislature in adopting CPLR 214-c was to provide relief to injured New Yorkers whose claims would otherwise be dismissed for untimeliness simply because they were unaware of the latent injuries until after the limitations period had expired.”
N.Y. County DES Litig.,
Thus, it appears likely to us that by enacting section 214-e, the New York legislature sought to address both situations in which injury is not evident immediately upon exposure to a harmful substance and situations in which the cause of physical symptoms cannot be discovered within the otherwise-applicable limitations period. In light of these dual goals, we see no reason why Giordano is not entitled to prove that his injury was caused by the “latent effects” of his exposure to ephedra such that he may invoke section 214-e(4)’s one-year limitation period running from his alleged discovery that ephedra was its cause.
Rather than make a definitive decision on this difficult issue of New York law, however, we certify it to the New York Court of Appeals.
B. Technical, Scientific, or Medical Knoioledge Requirement
Even if Giordano surmounts whatever “latency” barriers his invocation of section 214-c(4) may face, to withstand the motion for summary judgment, he must also establish a genuine issue of material fact for the trier of fact to decide as to whether “technical, scientific or medical knowledge and information sufficient to ascertain the cause of his injury had not been discovered, identified or determined” prior to the expiration of the three-year limitations period that would otherwise run from the date of discovery of his injury as provided in section 214-c(4). The district court found this requirement satisfied even though it expressed serious doubt as to what standard it should use in evaluating whether the knowledge or information in question was “sufficient to ascertain” the cause of the injury. That is, the district court expressed its doubt as to both what level of certainty the knowledge or information had to be established, and who was required to possess the knowledge or information.
Ephedra III,
Discussing the level of certainty required by the statute, the district court observed an ambiguity as to whether sufficient knowledge to “ascertain” the cause of an injury requires certainty as to cause, as suggested by the dictionary definition of the term, or, alternatively, “something akin to finding a probable connection,” which the court understood to be the way in which the New York Appellate Division, Third Department, had construed the tei'm.
Id.
at 536 (citing
Pompa v. Burroughs Wellcome Co.,
The district court made two findings that render the standard applied relevant to the outcome of the question of sufficient knowledge. On the one hand, the court found that some studies did exist linking ephedra to injuries similar to Giordano’s as early as 1996.
Id.
at 537 n. 1. On the other hand, it noted that most lawsuits related to these studies were not filed until after 2002, “suggesting, at least, a lack of awareness of the risks by even the most interested members of the public prior to that
With regard to who must possess the knowledge, if the statute requires that knowledge of causation must be reasonably available to the scientific community, then sufficient knowledge may have been available as early as 1996, rendering section 214-c(4) inapplicable to Giordano. If, however, the standard is that knowledge of causation be reasonably available to the plaintiff and his or her lawyers, then the district court’s finding that most related lawsuits were filed after 2002 may create a genuine issue of fact as to whether the knowledge in question was reasonably available during the three-year period following injury and section 214 — c(4) may apply.
As to the requisite standard of certainty, studies suggesting the relevant causal link between ephedra and the injuries it causes began to appear in 1996, the FDA banned it in 2004, and no study has yet confirmed that ephedra causes injuries similar to those suffered by Giordano.
See Ephedra I,
Although we have in the past attempted to interpret the intention of the New York Legislature in this regard, we have not done so definitively.
See, e.g., Freier v. Westinghouse Elec. Corp.,
V. Certification to the New York Court of Appeals
The local rules of the Second Circuit provide that “[i]f state law permits, the court may certify a question of state law to that state’s highest court.” 2d Cir. R. 27.2;
see also Prats v. Port Auth. of N.Y. & N.J.,
First, we have decided certification to be appropriate where the New York Court of Appeals has not spoken clearly on an issue and we are unable to predict, based on other decisions by New York courts, how the Court of Appeals would answer a certain question.
See Kuhne v. Cohen & Slamowitz, LLP,
Second, we have concluded that certification is appropriate where the “statute’s plain language does not indicate the answer.”
Riordan v. Nationwide Mut. Fire Ins. Co.,
Third, we have thought certification to be appropriate where the decision reflects value judgments and important public policy choices that the New York Court of Appeals is better situated than we are to make.
See Colavito,
The three questions certified are central to the outcome of this case, inasmuch as each is a hurdle that Giordano must overcome in order for section 214-c(4) to apply and his action to be timely, and resolution of each depends upon the guidance we now seek from the New York Court of Appeals.
The balance of these factors therefore militates in favor of certification in this case.
CONCLUSION
For the foregoing reasons, we certify the following three questions to the New York Court of Appeals:
1. Are the provisions of N.Y. C.P.L.R. § 214-c(4) providing for an extension of the statute of limitations in certain circumstances limited to actions for injuries caused by the latent effects of exposure to a substance?
2. Can an injury that occurs within 24 to 48 hours of exposure to a substance be considered “latent” for these purposes?
3. What standards should be applied to determine whether a genuine issue of material fact exists for resolution by a trier of fact as to whether “technical, scientific or medical knowledge and information sufficient to ascertain the cause of [the plaintiffs] injury” was “discovered, identified or determined” for N.Y. C.P.L.R. § 214-c(4) purposes?
With respect to the last question, we especially seek guidance that will enable us to answer the question of whether sufficient knowledge exists to ascertain a cause of injury where “some studies suggesting a possible connection between ephedra and injuries similar to [the plaintiffs] were published in reputable scientific journals that were publicly available” during the
In formulating three specific questions for certification we do not intend to limit the scope of the Court of Appeals’ analysis and we invite the Court of Appeals to expand upon or alter these questions as it should deem appropriate.
See Kirschner v. KPMG LLP,
Pursuant to New York Court of Appeals Rule 500.27 and United States Court of Appeals for the Second Circuit Rule 27.2, it is hereby ORDERED that the Clerk of this Court transmit to the Clerk of the Court of Appeals of the State of New York this opinion as our certifícate, together with a complete set of the briefs, appendix, and record filed in this Court by the parties. We direct the parties to bear equally any fees and costs that may be imposed by the New York Court of Appeals in connection with this certification. This panel will retain jurisdiction of the appeal after disposition of this certification by the New York Court of Appeals.
Notes
. Section 214-c(3) applies to claims, unlike this one, in which the law requires a "notice of claim [to] be filed or presented within a specified period.” N.Y. C.P.L.R. § 214-c(3). It is not relevant to this action.
. Under section 214-c, the term "injury” refers to the manifestation of the harmful effects of exposure to a substance, not the exposure itself.
See Sweeney v. Gen. Printing Inc.,
. They include "Concealed; dormant,” Black’s Law Dictionary 898 (8th ed.2004); "Present or potential but not evident or active,” The Amalean Heritage Dictionary of the English Language 961 (9th ed.2009); “Hidden, concealed ...; present or existing, but not manifest, exhibited, or developed,” 8 The Oxford English Dictionary 680-81 (2d ed.1989); and “[E]xisting in hidden, dormant, or repressed form but usually capable of being evoked, expressed, or brought to light: existing in posse: not manifest,” Webster’s Third New International Dictionary of the English Language Unabridged 1275 (2002).
