OPINION AND ORDER
“Given that the law of every jurisdiction in the United States and of every civilized nation, and the law of numerous international treaties, provide that corporations are responsible for their torts, it would create a bizarre anomaly to immunize corporations from liability for the conduct of their agents in lawsuits brought for shockingly egregious violations of universally recognized principles of international law.” — Judge Judith W. Rogers, D.C. Circuit
“It is neither surprising nor significant that corporate liability hasn’t figured in prosecutions of war criminals and other violators of customary international law. That doesn’t mean that corporations are exempt from that law.” — Judge Richard Posner, Seventh Circuit
I. INTRODUCTION
This case arises out of allegations that various corporations aided and abetted violations of customary international law committed by the South African apartheid regime.
II. BACKGROUND
On April 8, 2009, I granted several defendants’ motions to dismiss, but ruled that plaintiffs may proceed against the other defendants named above, as well as Rheimattal AG and Daimler AG (the “April 8 Opinion and Order”). On August 14, 2009, defendants sought a writ of mandamus in the United States Court of Appeals for the Second Circuit to obtain interlocutory review of certain issues in the April 8 Opinion and Order.
On February 28, 2012, the United States Supreme Court granted certiorari on the question of corporate liability under the ATS and heard oral arguments.
The present case remained unresolved in the Second Circuit while the Supreme Court’s decision in Kiobel II was pending. On April 19, 2013, two days after Kiobel II, the Second Circuit directed the parties in this case to provide supplemental briefing on the impact of the Supreme Court’s decision. On August 21, 2013, the court denied defendants’ request for a writ of mandamus and remanded to the district court. The court stated that because “[t]he opinion of the Supreme Court in Kiobel [II] plainly bar[red] common-law suits like this one, alleging violations of customary international law based solely on conduct occurring abroad, ... defendants will be able to obtain ... dismissal of all claims ... through a motion for judgment on the pleadings.”
Following denial of en banc review, the parties submitted several letters to this court.
On December 26, 2013, I dismissed the remaining foreign defendants — Rheimattal AG and Daimler AG — because “plaintiffs have failed to show that they could plausibly plead that the[ir] actions ... touch and concern the United States with sufficient force to rebut the presumption against the extraterritorial reach of the ATS.”
III. DISCUSSION
A. The Question of Corporate Liability for ATS Claims Remains Open in the Second Circuit
The Supreme Court did not reach the issue of corporate liability in Kiobel II. The parties strongly disagree about whether Kiobel I remains binding law. Plaintiffs argue that the Supreme Court’s decision in Kiobel II “directly conflicts” with and “casts serious doubts on the viability” of Kiobel 1.
Defendants disagree with plaintiffs’ argument that the Supreme Court decided extraterritoriality as a merits question. In sum, defendants contend that “[t]he Supreme Court’s express refusal to reach [the] issue [of corporate liability] cannot cast doubt on the lower court’s ruling on that issue.”
1. Kiobel II
Although the Supreme Court initially granted certiorari and heard oral argument on the issue of corporate liability, Kiobel II makes no mention of the issue. Rather, the Court “conelude[d] that the presumption against extraterritorial] [ap
2. Subsequent Case Law
a. Supreme Court
On January 14, 2014, the Supreme Court issued an opinion in Daimler AG v. Bauman, an ATS case arising from allegations that Daimler “collaborated with state security forces to kidnap, detain, torture, and kill” plaintiffs or plaintiffs’ families during Argentina’s “Dirty War” of the late 1970s and early 1980s.
b. Second Circuit
The Second Circuit has addressed Kio-bel IFs impact on corporate liability under the ATS on two occasions. On October 18, 2013, Judge Robert Sack noted in Licci ex rel. Licci v. Lebanese Canadian Bank, SAL that the court had anticipated ‘“affirming] the dismissal of [plaintiffs’] ATS claims’ based on our conclusion in Kiobel [I] that the ATS does not provide subject matter jurisdiction over corporate defendants for violations of customary international law.”
On February 10, 2014, the Second Circuit issued a decision in Chowdhury v. Worldtel Bangladesh Holding, Ltd. dismissing plaintiffs’ ATS claims against the defendant corporation because “the claims alleged ... involve[d] conduct that took place entirely in Bangladesh.”
c. Other Federal Courts
Prior to Kiobel II, the Seventh, Ninth, Eleventh and D.C. Circuits had each held that corporations can be found liable under the ATS.
Two other district courts have recently weighed in on this issue. On August 28, 2013, before the Second Circuit’s decisions in Lied and Chowdhury, a court in the Southern District of New York dismissed plaintiffs’ ATS claims against a Ukrainian bank, citing Kiobel I as binding law.
3. Impact of Intervening Case Law
Lower courts are bound by Second Circuit precedent “unless it is expressly or implicitly overruled” by the Supreme Court or an en banc panel of the Second Circuit.
The Supreme Court’s opinions in Kiobel II and Daimler directly undermine the central holding of Kiobel I — that corporations cannot be held liable for claims brought under the ATS. The opinions explicitly recognize that corporate presence alone is insufficient to overcome the presumption against extraterritoriality or to permit a court to exercise personal jurisdiction over a defendant in an ATS case, respectively. By necessity, that recognition implies that corporate presence plus additional factors can suffice under either holding.
The standards laid out in Kiobel and Daimler for overcoming the presumption against territoriality and exercising personal jurisdiction under a long-arm statute are stringent. They may be difficult to meet in all but the most extraordinary cases.
The Second Circuit panel in Lied and Judge Pooler’s concurrence in Chowdhury recognized the possibility that Kiobel II has left the issue of corporate liability open in the Second Circuit. Defendants argue that the Lied court remanded the question of corporate liability “because the issue had not been briefed on appeal, and because dismissing the ATS claim would not have disposed of the case ... since other non-ATS claims would remain.”
While the district court in Tymoshenko treated Kiobel I as binding law, that decision was reached before Lied and before Judge Pooler’s concurrence in Chowdhury suggested that the Supreme Court has
B. Corporations Are Liable Under the ATS
In my April 8 Opinion and Order, I concluded that “corporations are liable in the same manner as natural persons for torts in violation of the law of nations” based on the fact that “[o]n at least nine separate occasions, the Second Circuit has addressed AT[S] cases against corporations without ever hinting — much less holding — that such cases are barred.”
Nonetheless, and despite the unbroken line of controlling precedent, the Second Circuit reached the opposite conclusion just eighteen months later in Kio-bel I. But Kiobel I is a stark outlier. It is the only opinion by a federal court of appeals, before and after Kiobel II, to determine that there is no corporate liability under the ATS. As discussed above, Kiobel II either implicitly accepts corporate liability under the ATS or, at the very least, undercuts Kiobel I’s rationale and re-opens the question in this Circuit. For the following reasons, I find that corporations may be held liable for claims brought under the ATS.
The ATS, enacted as part of the Judiciary Act of 1789, confers federal jurisdiction over “any civil action by an alien for a tort only, committed in violation of the law of nations or a treaty of the United States.” “[B]y its terms [the ATS] does not distinguish among classes of defendants.”
In Sosa v. Alvarez-Machain, the Supreme Court set forth the standard by which federal courts should analyze whether to exercise jurisdiction over a potential claim under the ATS:
*462 [F]ederal courts should not recognize private claims under federal common law for violations of any international law norm with less definite content and acceptance among civilized nations than the historical paradigms familiar when [the ATS] was enacted.... ‘Actionable violations of international law must be of a norm that is specific, universal, and obligatory.’ And the determination whether a norm is sufficiently definite to support a cause of action should (and, indeed, inevitably must) involve an element of judgment about the practical consequences of making that cause available to litigants in the federal courts.”46
In Kiobel I, the Second Circuit concluded that because the ATS “does not specify who is liable ... for a ‘violation of the law of nations,’ it leaves the question of the nature and scope of liability — who is liable for what — to customary international law.”
But Kiobel I misses a key “distinction between a principle of [a] law ... and the means of enforcing it.”
The majority in Kiobel I relies heavily on footnote 20 of the Supreme Court’s opinion in Sosa as support for its conclusion that the Supreme Court intended the issue of corporate liability to be determined by customary international law. But that reliance is misplaced. Footnote 20 states in full:
A related consideration [to determining whether there is a viable cause of action under the ATS] is whether international law extends the scope of liability for a violation of a given norm to the perpetrator being sued, if the defendant is a private actor such as a corporation or individual. Compare Tel-Oren v. Libyan Arab Republic,726 F.2d 774 , 791-795 (D.C.Cir.1984) (Edwards, J., concurring) (insufficient consensus in 1984 that torture by private actors violates inter*463 national law), with Kadic v. Karadzíc,70 F.3d 232 , 239-241 (2d Cir.1995) (sufficient consensus in 1995 that genocide by private actors violates international law).53
At first glance, footnote 20 appears to suggest that corporate or individual liability is a substantive element of an international norm. But the citations in footnote 20 make clear that the Supreme Court is referring to the possibility that customary international law may consider some norms to be actionable only when violated by the state, as opposed to private actors. As Judge Pierre Leval noted in his concurring opinion in Kiobel /, “the Sosa footnote refers to the concern ... that some forms of noxious conduct are violations of the law of nations when done by or on behalf of a State, but not when done by a private actor independently of a state ...,”
“Sosa instructs that the substantive content of the common law causes of action that courts recognize in ATS cases must have its source in customary international law.”
The answer to that question is obvious. “[B]y 1789, corporate liability in tort was an accepted principle of tort law in the United States.”
Defendants concede that “corporations often are subject to tort liability under positive law and state common law,” but argue that “they are not subject to liability in the federal common law contexts] most analogous to implied ATS actions,” such as
First, the Supreme Court held in Correctional Services Corp. v. Malesko that corporations are not subject to Bivens liability because the core purpose of Bivens is to deter individual officers from committing constitutional violations.
Second, the text and history of the TVPA are relevant but do not support defendants’ position. The TVPA creates an express cause of action under the ATS against “an individual who, under actual or apparent authority, or color of law, of any foreign nation ... subjects an individual to torture [or extrajudicial killing] shall, in a civil action, be liable for damages .
Nothing in the text, history or purposes of the ATS indicates that corporations are immune from liability on the basis of federal common law. However, even if the majority in Kiobel I correctly held that the source of corporate liability must be found in customary international law, the court’s conclusion that customary international law does not recognize such liability is factually and legally incorrect.
As Judge Richard Posner of the Seventh Circuit noted, “the factual premise of the majority opinion in Kiobel [I]” — that no corporation has ever been held liable in a civil or criminal case for violations of customary international law norms — “is incorrect.”
Even if there have been few civil or criminal cases against corporations for violations of international norms since then, the conclusion that there is no norm establishing corporate liability for violations such as genocide or torture does not follow.
There could be many reasons for the lack of actions against corporations brought before international tribunals. By way of analogy, there are many criminal statutes under which corporations are rarely, if ever, prosecuted.
IV. CONCLUSION
For the foregoing reasons, plaintiffs’ motion for an order finding that corporations may be held liable under the ATS is GRANTED. Plaintiffs may move for leave to file an amended complaint against the remaining American defendants. In that motion plaintiffs must make a preliminary showing that they can plausibly plead that those defendants engaged in actions that “touch and concern” the United States with sufficient force to overcome the presumption against the extraterritorial reach of the ATS, and that those defendants acted not only with knowledge but with the purpose to aid and abet the South African regime’s tortious conduct as alleged in these complaints.
SO ORDERED.
Notes
. Doe v. Exxon Mobil Corp.,
. Flomo v. Firestone Natural Rubber Co.,
. The lengthy and complicated factual and procedural history of this action, which started with more than a dozen distinct cases of which two still remain, is summarized in In re South African Apartheid Litig.,
.28 U.S.C. § 1350.
. See
. See - U.S. -,
. — U.S. -,
. Kiobel v. Royal Dutch Petroleum Co., - U.S. -,
. Balintulo,
. These letters are summarized in In re South African Apartheid Litig., No. 02 MDL 1499,
. 11/26/13 Letter from Diane E. Sammons, counsel for plaintiffs to the Court, at 2 (quoting Kiobel II,
. See id. at 1-2.
. Id. at 2.
. See id.
. 1/24/14 Plaintiffs’ Memorandum of Law in Support of Plaintiffs' Motion for an Order Finding Corporate Liability Under the Alien Tort Statute ("PL Mem.”), at 5.
. Id.
. 2/28/14 Plaintiffs’ Reply Memorandum of Law in Support of Plaintiffs’ Motion for an Order Finding Corporate Liability Under the Alien Tort Statute, at 5.
. 2/14/14 Defendants’ Memorandum of Law in Opposition to Plaintiffs’ Motion for an Order Finding Corporate Liability Under the Alien Tort Statute ("Def. Opp.”), at 7.
. Id.
. See Kiobel II,
. Id.
. Id.
. - U.S. -,
. Id. at 761 (quoting Goodyear Dunlop Tires Operations, S.A. v. Brown, - U.S. -,
. Id. at 763.
.
. Id.
.
. Id. at 49, n. 6 (citations omitted).
. Id. at 44, n. 2 (Pooler, J., concurring).
. Id. (citing Doe I v. Nestle U.S.A., Inc.,
. See Flomo,
. Nestle,
. Id.
. See Tymoshenko v. Firtash, No. 11 Civ. 2794,
. Id.
. Du Daobin v. Cisco Systems, Inc., No. 11 Civ. 1538,
. World Wrestling Entm’t Inc. v. Jakks Pac., Inc.,
. United States v. Agrawal,
. " 'The presumption against extraterritorial application would be a craven watchdog indeed if it retreated to its kennel whenever some domestic activity is involved in the case.’ " Kiobel II,
. Def. Mem. at 13.
. The issue has yet to be remanded to the district court because plaintiffs’ motions to sever claims against one of the defendants, and for en banc reconsideration of the Second Circuit’s holding on an unrelated choice of law question, remain pending in the Second Circuit.
.Plaintiffs have also argued that because the Supreme Court considered extraterritoriality a merits issue in Morrison, it must have considered extraterritoriality a merits issue in Kiobel II as well. Therefore, the Court must have accepted jurisdiction over the corporate defendants in order to reach the merits question of extraterritoriality. See PI. Mem. at 8-11. But the complex statutory scheme at issue in Morrison — the Securities Exchange Act of 1934 — is entirely different from the ATS, which merely confers federal jurisdiction over certain tort claims committed in violation of "the law of nations” or a "treaty of the United States." Nothing in Morrison suggests that the Supreme Court intended extraterritoriality to be a merits question in every statutory scheme, especially for statutes like the ATS which the Court has repeatedly characterized as “strictly jurisdictional.” Sosa v. Alvarez-Machain,
. In re South African Apartheid Litig.,
. Argentine Republic v. Amerada Hess Shipping Corp.,
. Sosa,
. Kiobel I,
. Id. at 125.
. Id. at 149.
. Flomo, 643 F.3d at 1019.
. Exxon,
.Flomo,
. Sosa,
. Kiobel I,
. Id. (emphasis in original).
. Exxon,
. See id. at 42 ("The fact that the law of nations provides no private right of action to sue corporations addresses the wrong question and does not demonstrate that corporations are immune from liability under the ATS. There is no right to sue under the law of nations; no right to sue natural persons, juridical entities, or states. There is no right to sue under the law of nations; no right to sue natural persons, juridical entities, or states.”)
. Id. at 41.
. Id. at 47 (collecting sources).
. Sarei,
. Flomo,
. Kiobel I,
.
. Def. Opp. at 16-19.
. See
. 28 U.S.C. § 1350, note § 2(a) (emphasis added).
. See Mohamad v. Palestinian Authority, - U.S. -,
. Sarei,
. Def. Opp. at 18-19.
. Id. at 19.
. Flomo,
. Id. (citing Control Council Law No. 2, "Providing for the Termination and Liquidation of the Nazi Organizations,” Oct. 10, 1945, reprinted in 1 Enactments and Approved Papers of the Control Council and Coordinating Committee 131 (1945); Control Council Law No. 9, "Providing for the Seizure of Property Owned by I.G. Farbenindus-trie and the Control Thereof,” Nov. 30, 1945, reprinted in 1 Enactments and Approved Papers of the Control Council and Coordinating
. Id. (quoting Control Council Law No. 9).
. See id. at 1017-18.
. Kiobel I,
. Sarei,
. Flomo,
. See, e.g., David M. Uhlmann, Deferred Prosecution and Non-Prosecution Agreements and the Erosion of Corporate Criminal Liability, 72 Md. L.Rev. 1295 (2013) (discussing lack of corporate prosecutions for work-place accidents and deaths); Pamela H. Buey, Why Punish? Trends in Corporate Criminal Prosecutions, 44 Am.Crim. L.Rev. 1287 (2007) (discussing increased use of deferred and non-prosecution agreements and civil fines as a response to perception that corporate indictments are "overkill”).
. Sarei,
. Id. at 784 (McKeown, J., concurring in part and dissenting in part).
