IN RE: JOANN PATENAUDE, et al.
No. 99-1540
UNITED STATES COURT OF APPEALS FOR THE THIRD CIRCUIT
April 11, 2000
210 F.3d 135
BEFORE: GREENBERG, ROTH and STAPLETON, Circuit Judges
On Petition for Writ of Mandamus from Order Denying Motion to Remand of the Judicial Panel on Multidistrict Litigation (Related to D.C. No. MDL 875). Argued January 28, 2000.
Baron & Budd
3102 Oak Lawn Avenue
The Centrum, Suite 1100
Dallas, TX 75219
and
Jeffrey S. Mutnick
Landye, Bennett, Blumstein
3500 Wells Fargo Center
1300 S.W. Fifth Avenue
Portland, OR 97201
Attorneys for Petitioners
Danaher, Tedford, Lagnese & Neal
21 Oak Street
Suite 700, Capitol Place
Hartford, CT 06016
and
James J. Restivo, Jr.
Reed, Smith, Shaw & McClay
435 Sixth Avenue
Pittsburgh, PA 15219-1886
and
Andrew J. Trevelise
Reed, Smith, Shaw & McClay
1650 Market Street
2500 One Liberty Place
Philadelphia, PA 19103-7301
Attorneys for Respondent
Pittsburgh Corning Corporation
Elizabeth R. Geise (Argued)
John D. Aldock
Shea & Gardner
1800 Massachusetts Avenue, N.W.
Washington, D.C. 20036-1872
Attorneys for Respondents
Armstrong World Ind., Asbestos Claims Mgt., Flexitallic Inc., Gaf Corp., Pfizer Inc., T&N PLC, US Gypsum Co.
Robert H. Riley (Argued)
Schiff, Hardin & Waite
6600 Sears Tower
Chicago, IL 60606
Attorney for Respondent
Owens Illinois, Inc.
OPINION OF THE COURT
STAPLETON, Circuit Judge:
Petitioners are three groups of plaintiffs seeking damages for personal injury and wrongful death as a result of exposure to asbestos. Respondents are some of the defendants in some of the cases brought by the plaintiffs. The plaintiffs’ claims were initially filed in the Northern District of New York (the “New York plaintiffs“), the Northern District of Georgia (the “Georgia plaintiffs“) and the District of Oregon (the “Oregon plaintiffs“). Pursuant to
At various times during the past seven years, some of the Oregon plaintiffs have filed motions for suggestion of remand with the transferee court. The last such motion was filed in May 1997. Receiving no response, in May 1998 counsel for the Oregon plaintiffs appeared before the JPML to seek remand. On May 20, 1998, the JPML denied the Oregon plaintiffs’ motion to remand.
Some, but not all, of the New York plaintiffs filed motions for a suggestion of remand with the transferee court in March 1998. By October 1998, the transferee court still had not acted on the motions, and ten of the New York plaintiffs filed a motion for remand with the JPML. In December, the New York plaintiffs filed a motion to clarify explaining that the prior motion to remand sought remand of all claims of all the New York plaintiffs, and not just the ten who had originally filed.
Some, but not all, of the Georgia plaintiffs filed motions for a suggestion of remand with the transferee court in April and May of 1998. In September 1998, the transferee court still had not acted on the motions for suggestion of remand, and all of the Georgia plaintiffs filed a motion for remand with the JPML. On February 5, 1999, the JPML
On June 29, 1999, all of the plaintiffs filed a petition for writ of mandamus asking this Court to order the JPML to remand their cases. We will deny the petition.
The parties have submitted affidavits that establish the following undisputed facts. The New York and Georgia plaintiffs’ injuries range from the invariably fatal cancer mesothelioma, for which asbestos exposure is the only known cause, to pleural disease, a non-malignant scarring of the lining of the lung. Many have died from asbestos-related injuries, a good number of them during the pendency of MDL 875. The Oregon plaintiffs’ injuries include malignancies and non-malignancies.
Following the creation of MDL 875, plaintiffs’ and defendants’ steering committees were organized that attempted to negotiate a global settlement of all asbestos claims. See Amchem Prods., Inc. v. Windsor, 521 U.S. 591, 599-600 (1997). These negotiations, however, eventually “fell apart.” Id. at 600. The Plaintiffs’ Steering Committee (PSC) has not met since 1993, and has been completely inactive.1 Subsequently, twenty defendants and certain former members of the PSC proposed the settlement class action that was at issue in Amchem. See id. at 600-01. The Supreme Court, however, rejected the class certification “[g]iven the greater number of questions peculiar to the several categories of class members, and to individuals within each category, and the significance of those uncommon questions.” Id. at 624.
The affidavits assert that during the seven year pendency of MDL 875, “no common or global discovery has been sought or conducted by either Plaintiffs or Defendants in
Since the creation of MDL 875, the New York and Georgia plaintiffs have supplemented their answers to discovery on several occasions including as recently as April 1998, when they provided “updated information regarding their work history and exposures to Defendants’ asbestos-containing products, and any new information regarding their medical status.”2 (A. 61). Their claims have also “been the subject of numerous settlement conferences conducted by the transferee court.” (A. 61). Counsel for the New York and Georgia plaintiffs have submitted sworn affidavits stating that “with the exception of settlements of some plaintiffs’ cases with some defendants, the settlement discussions have not resolved the cases.” (A. 61). They further state that “in many instances, Defendants have failed to generate any monetary offer to settle Plaintiffs’ cases; and in remaining cases, the Defendants have failed to offer settlement amounts that approach historical settlement values for similar claims.” (A. 61).
Summaries of the New York docket sheets, however, reflect that individual plaintiffs have settled with anywhere from one to eleven defendants for amounts ranging from $3,500 to $739,136. The plaintiffs respond with an affidavit explaining that these settlement figures are inaccurate, in that they reflect gross amounts of settlement with the Johns Manville bankruptcy trust, even though plaintiffs will receive only ten per cent of that money, and in that they occasionally reflect double counting of settlements. The plaintiffs do not provide settlement information of their own, however, and, even accounting for these inaccuracies, the number and amount of settlements have in many cases
Neither party has provided information regarding the settlement status of the Georgia or Oregon plaintiffs’ individual claims. The plaintiffs do indicate that the Georgia docket sheets show between one to five defendants remaining on each individual claim. Also, counsel for the Oregon plaintiffs indicates that prior to the establishment of MDL 875 the average length of time for resolution of an Oregon case was less than one year, whereas in MDL 875 the average exceeds five years. Although settlement conferences were held regarding the Oregon cases in 1995, 1996 and either 1998 or 1999, plaintiffs’ efforts at settlement have been “to little avail.” (A. 115-16).
The transferee court has stated, although not in the context of the plaintiffs’ particular claims, that among its “overriding objectives” “[t]hroughout the course of the multidistrict litigation” is the court‘s “considered judicial opinion that the sick and dying, their widows and survivors should have their claims addressed first.” Carlough v. Amchem, No. 93-215, at 8 (E.D. Pa. Apr. 15, 1993) (Mem. Op.). The court explained that it “steadfastly resisted motions to remand cases back to transferor courts unless the claimant was seriously ill or dying and all avenues of settlement were exhausted.”3 Id. The court has also “advised counsel that motions to remand involving other
The transferee court‘s Administrative Order No. 3, which relates to all asbestos actions, reflects this policy. This Order establishes that in attempting to resolve cases through negotiation, cases of mesothelioma and lung cancer with asbestosis will be “address[ed] . . . on a priority basis.” (A. 47-48). However, the court cautioned that “special efforts to resolve hardship cases are not a substitute for broad-based negotiations designed to reduce docket the [sic] backlog.” (A. 47). The Order establishes the procedures for exchange of information and negotiation to be followed in MDL 875. If this process does not produce a resolution, “the Court shall determine whether the matter is appropriate for immediate remand of the plaintiff ‘s compensatory damages claims.” (A. 50). The Order states that only when all priority cases have been addressed will the court consider applying similar procedures to address cases of other malignant conditions and asbestosis and that “[a]s to cases that involve non-malignant conditions other than asbestosis, the Court intends to establish an inactive docket.” (A. 53).
This process has resulted in numerous cases being resolved. As of late 1996, some 62,000 cases had been assigned to MDL 875 and approximately 40,000 had been resolved. See In re Asbestos Prods. Liab. Litig. (No. VI), 1996 U.S. Dist. LEXIS 13850, at *3 (E.D. Pa. Sept. 16, 1996) (Mem. Op.). The remaining 22,000 cases included thousands of cases that had been resolved but not yet dismissed. See id. As of January 1999, nearly 60,000 cases had been closed. See In re Asbestos Prods. Liab. Litig. (No. VI), No. 875, at 2 (JPML Feb. 5, 1999) (unpublished order denying remand). Thus, in 1997 and 1998, the transferee court closed nearly 10,000 cases a year.
This process has also resulted in approximately 1,000 actions or claims being remanded to the transferor courts. See id.
Plaintiffs’ claims are all diversity actions brought in federal district court under
I.
“Traditionally, the writ of mandamus has been used `to confine an inferior court to a lawful exercise of its prescribed jurisdiction or to compel it to exercise its authority when it is its duty to do so.’ ” E.g., In re Chambers Dev. Co., 148 F.3d 214, 223 (3d Cir. 1998) (quoting Will v. Calvert Fire Ins. Co., 437 U.S. 665, 661 (1978)). “The writ is a drastic remedy that `is seldom issued and its use is discouraged.’ ” Id. (quoting Lusardi v. Lechner, 855 F.2d 1062, 1069 (3d Cir. 1988)). The writ of mandamus should only be granted “in response to an act amounting to a judicial usurption of power.” Id. (quoting Hahnemann Univ. Hosp. v. Edgar, 74 F.3d 456, 462 (3d Cir. 1996)).
Two prerequisites for issuance of a writ are: “(1) that petitioner have no other adequate means to attain the desired relief, and (2) that petitioner meets its burden of showing that its right to the writ is clear and indisputable.” Id. (quoting Hahnemann Univ. Hosp., 74 F.3d at 462). The petitioners have the burden of proving these two prerequisites. See Mallard v. U.S. Dist. Court, 490 U.S. 296, 309 (1989). As to the first prong, where there are practical avenues for seeking relief that are untried, this Court will ordinarily deny a petition for mandamus. See Hahnemann Univ. Hosp., 74 F.3d at 461 (“[W]here interlocutory appeal seems a practical but untried avenue, we will ordinarily deny a petition for mandamus.“). However, formal exhaustion of futile remedies is not required. See id. at 462 (granting mandamus despite petitioner‘s failure to make a formal application for certification of an interlocutory appeal where an informal application had been made and not granted). As to the second prong, where a court
“Even when these requirements are met, issuance of the writ is largely discretionary . . . .” In re Chambers Dev. Co., 148 F.3d at 223. “[I]t is within a court‘s discretion to refrain from issuing the writ even when the requirements for mandamus are technically satisfied. The availability of the writ `does not compel its exercise.’ ” Id. (quoting Lusardi, 855 F.2d at 1070).
In the instant case, ordinary appeal is not available; section 1407(e) provides that “[n]o proceedings for review of the panel may be permitted except by extraordinary writ.”
The plaintiffs argue that there was no point in seeking a suggestion of remand from the transferee court, given that it had not issued such a suggestion for other plaintiffs grouped in their respective cause numbers who did seek such suggestions. They argue that the grounds for seeking remand were identical for all petitioners. However, a determination that coordinated or consolidated pretrial
Thus, only those plaintiffs who actually sought suggestion of remand from the transferee court have satisfied the first prong of the mandamus inquiry.
II.
The remaining plaintiffs have not demonstrated a clear and indisputable right to remand. Section 1407(a) provides that:
When civil actions involving one or more common questions of fact are pending in different districts, such actions may be transferred to any district for coordinated or consolidated pretrial proceedings. Such transfers shall be made by the judicial panel on multidistrict litigation . . . upon its determination that transfers for such proceedings will be for the convenience of parties and witnesses and will promote the just and efficient conduct of such actions. Each action so transferred shall be remanded by the panel at or before the conclusion of such pretrial proceedings to the district from which it was transferred unless it shall have been previously terminated: Provided, however, that the panel may separate any claim, cross-claim, counter-claim, or third-party claim and remand any of such claims before the remainder of the action is remanded.
The Supreme Court‘s decision in Lexecon indicates that the phrase “coordinated or consolidated” is to be interpreted broadly. See id. at 33-34. Lexecon was a suit for malicious prosecution, abuse of process, tortious interference, commercial disparagement and defamation arising out of the defendant law firm‘s conduct as counsel in a prior class action brought against the plaintiff Lexecon and others for violations of securities laws. See id. at 28-29. The class action against Lexecon had been transferred for coordinated and consolidated pretrial proceedings under
share questions of fact with an as yet unapproved settlement involving Touche Ross, Lexecon, Inc. and the investor plaintiffs in the Lincoln Savings investor class actions in MDL-834 . . . [,] that . . . a massive document depository is located in the [transferee district] and . . . the Ninth Circuit has before it an appeal of an order . . . in MDL-834 which may be relevant to the Lexecon claims.
Id. at 30. Subsequently, however, the Ninth Circuit appeal was dismissed, the document depository was closed down, and the remaining parties to the Lincoln Savings litigation reached a final settlement on which final judgment was entered. See id. Lexecon then moved for suggestion of remand, which the law firm opposed because discovery was still incomplete. See id. The law firm filed a countermotion requesting that the transferee court “transfer” the case to itself for trial under
The Court framed the issue as “whether
This passage cannot be reconciled with the plaintiffs’ argument that “coordinated or consolidated pretrial proceedings” are concluded when the transferee court ceases to conduct proceedings that are common to all. To be coordinated, it is not necessary that common issues are being contemporaneously addressed. In the instant case, it seems probable that “much of the evidence,” at least regarding causation, is to be found in the transferee district. Id. Furthermore, overlapping issues “ha[ve] been considered“: the transferee court oversaw the initial attempts at global settlement and set forth procedures applicable to all regarding the mandatory exchange of information, the negotiation process, and the prioritizing of cases. Moreover, the transferee court continues to conduct discovery regarding the use of litigation screenings that
Furthermore, such proceedings are “pretrial.” “[P]retrial, as an adjective, means before trial-- . . . all judicial proceedings before trial are pretrial proceedings.” In re Plumbing Fixture Cases, 298 F. Supp. 484, 494 (JPML 1968); Wright et al.,
The legislative history of
By the term “pretrial proceedings” the committee has reference to the practice and procedure which precede trial of an action. These generally involve deposition and discovery, and, of course, are governed by the Federal Rules of Civil Procedure. Under the Federal rules the transferee district court would have authority to render summary judgment, to control and limit pretrial proceedings, and to impose sanctions for failure to make discovery or comply with pretrial orders.
H.R. Rep. No. 1130 (1968), reprinted in 1968 U.S.C.C.A.N. 1898, 1900; see also Multidistrict Litigation: Hearings Before the Subcommittee on Improvements in Judicial Machinery of the Committee of the Judiciary, 89th Cong.
The plaintiffs point to legislative history stating:
The objective of the legislation is to provide centralized management under court supervision of pretrial proceedings of multidistrict litigation to assure the “just and efficient conduct” of such actions. The committee believes that the possibility for conflict and duplication in discovery and other pretrial procedures in related cases can be avoided or minimized by such centralized management. To accomplish this objective the bill provides for the transfer of venue of an action for the limited purpose of conducting coordinated pretrial proceedings.
H.R. Rep. 1130, 1968 U.S.C.C.A.N. at 1900. Centralized management of individual settlement negotiations is not inconsistent with the objective of providing “centralized management . . . to assure the `just and efficient conduct’ of . . . actions.” Id. Such centralized management avoids “the possibility of conflict and duplication” of, if nothing else, the judge‘s time and energy spent becoming familiar with the recurring issues of asbestos litigation, the major players and how best to facilitate settlement with particular defendants.
The plaintiffs also point to legislative history suggesting that Congress contemplated that additional discovery might be conducted following remand as evidence that such individual discovery is not appropriate for the transferee court. See Multidistrict Litigation: Hearings Before the Subcommittee on Improvements in Judicial Machinery of the Committee of the Judiciary, 89th Cong. 56 (1966); H.R. Rep. No. 1130, 1968 U.S.C.C.A.N. at 1901-02. The House
SENATOR TYDINGS: The intent of the coordinating committee, . . . apparently, is that the necessary additional discovery with regard to issues of fact not national or not common to other cases could be conducted once the case was remanded . . . . Do you agree that the intent of the bill is to allow additional discovery after remand . . . , and if so, is the language of the legislation sufficiently broad to permit that?
JUDGE MURRAH: Yes
Multidistrict Litigation: Hearings Before the Subcommittee on Improvements in Judicial Machinery of the Committee of the Judiciary, 89th Cong. 56 (1966).
All of these statements speak in discretionary terms: what “in most cases” is “desirable,” what the statute “allows,” and what the transferee court “could” do. Section 1407 expressly allows for remand “at or before the conclusion of . . . pretrial proceedings.”
For the same reason, the plaintiffs’ citation to Panel decisions remanding cases prior to the conclusion of all pretrial proceedings is unavailing. See In re Air Crash Disaster at Tenerife, 461 F. Supp. 671 (JPML 1978); In re Evergreen Valley Project Litig., 435 F. Supp. 923 (JPML 1977). In each of these cases, the Panel exercised its discretion to remand, based on its finding that remand “will
Lexecon suggests another limitation on the transferee court‘s authority in addition to the requirement that proceedings be both coordinated and pretrial. See Lexecon, 523 U.S. at 34-39. After concluding that the requirement of “coordinated or consolidated” proceedings did not preclude the court from ruling on the transfer motion at issue, the court stated that, “at first blush,” the requirement of pretrial proceedings suggests no reason why the court could not rule on such a motion. Id. at 34. Ultimately, however, the Court concluded that a
In conclusion, because individual settlement negotiations and conferences are ongoing in the plaintiffs’ individual cases, and because the transferee court is conducting discovery on overlapping issues that affect many asbestos cases, even if not the plaintiffs‘, coordinated pretrial
III.
At times the plaintiffs appear to be arguing that the JPML abdicated its statutory duty when it relied on the fact that the transferee court had declined to issue a suggestion of remand as one basis for its own decision to deny the motion to remand. This policy is embodied in JPML Rule 7.6(d), which states that “[t]he Panel is reluctant to order remand absent a suggestion of remand from the transferee district court.” JPML Rule 7.6(c). Deference is not abdication, however, and the presence or absence of a remand recommendation from the transferee judge as a factor in the Panel‘s decision-making process seems to us entirely reasonable. Moreover, if plaintiffs had shown an abdication of statutory duty on the part of the Panel, it would not satisfy their burden of showing that they have a clear and indisputable right to the relief they seek, which is remand. To do that, they must clearly and indisputably show that coordinated pretrial proceedings have concluded in their cases, and that they have not done.
IV.
For the foregoing reasons, the petition for writ of mandamus will be denied.
A True Copy:
Teste:
Clerk of the United States Court of Appeals for the Third Circuit
Notes
The petitioners’ second supplemental affidavit suggests that settlement negotiations in fact are not ongoing in that the remaining defendants have stated conclusively that they will not settle until the cases are set for trial. This affidavit, however, was not presented to either the transferee court or the JPML. Therefore, insofar as the petitioner‘s claims are based on this evidence, they have a practical and untried avenue for seeking relief and mandamus will not issue.
