Robert B. LIENHART, et al.; Dinah J. Lienhart; Michael Smith; Joleen Smith; David P. Adams; Pamela M. Adams; Benjamin Braswell; Barbara W. Braswell, Respondents, v. DRYVIT SYSTEMS, INCORPORATED, Petitioner.
No. 00-908.
United States Court of Appeals, Fourth Circuit.
Argued Feb. 27, 2001. Decided June 26, 2001.
IV.
The WMATA compact does not waive the agency‘s Eleventh Amendment immunity from suit. And the FMLA does not validly abrogate a state‘s Eleventh Amendment immunity. Consequently, Lizzi‘s claims against WMATA must be dismissed for lack of subject matter jurisdiction. Similarly, Lizzi‘s claims against the individual supervisors at WMATA must be dismissed as well because these claims were in reality an action against the agency itself. The FMLA does not permit a plaintiff to evade the strictures of sovereign immunity by suing the individual defendants as the employer rather than the state. For the foregoing reasons, the judgment of the district court is affirmed in part, reversed in part, and remanded with directions to dismiss it.
AFFIRMED IN PART, REVERSED IN PART, AND REMANDED.
Before WIDENER, WILKINS, and WILLIAMS, Circuit Judges.
Vacated and remanded with instructions by published opinion. Judge WILLIAMS wrote the opinion, in which Judge WIDENER and Judge WILKINS joined.
OPINION
WILLIAMS, Circuit Judge:
Dryvit Systems, Inc. petitions for review, pursuant to
I.
A.
Fastrak is a stucco siding product that is installed on the exterior of a building in order to provide a water-resistant shield that protects the building from weather. Fastrak consists of several component parts: (a) a sheathing comprised of Georgia Pacific Corporation‘s “Dens Glass Gold” product; (b) Dryvit non-cementatious base coat (NCB); (c) reinforcing mesh; and (d) Dryvit finish coat. Dryvit sells the various components of the system to independent distributors and provides instructions and specifications to applicators, who buy the components from various suppliers and produce the final product. Applicators are usually hired by general contractors to install Fastrak on the exterior of a new building; responsibility for installing Fastrak and integrating it with other building components, such as windows, doors, flashing, and the roof is shared between applicators, general contractors, and subcontractors. Dryvit asserts that Fastrak can fail for various reasons related to the conduct of third parties, such as applicator error, use of incorrect materials, or improperly sealing Fastrak to other components of a building, such as windows or the roof.
Fastrak‘s design is based upon the premise that a properly face-sealed barrier can prevent the intrusion of water behind the siding product, eliminating the need for drainage between the siding and the wall of a structure. The plaintiff class argues that a face-sealed barrier of this sort cannot be installed correctly in the field and will inevitably lack water resistance and ability to resist applied loads.
B.
On July 25, 1999, plaintiff Robert E. Lienhart and others (collectively “Lienhart“) filed a complaint in the Superior Court for Wake County, North Carolina against defendant Dryvit, for themselves and on behalf of a class comprised of all entities in North Carolina whose buildings were constructed after January 1, 1992 using Fastrak. Lienhart alleged that Dryvit had committed negligence, gross negligence, negligent misrepresentation, fraud, and unfair and deceptive trade practices. Lienhart alleged that Fastrak caused damage to their structures by “trapping” water within each structure‘s walls. On July 22, 1999, Dryvit removed this action to the United States District Court for the Eastern District of North Carolina based on diversity of citizenship. On December 18, 2000, the district court certified the proposed class. Certification was limited to the issues of (1) whether Dryvit‘s product was defectively designed; and (2) whether Dryvit had breached a duty to warn homeowners of the hazards inherent in the use of its product.
Dryvit timely filed a Petition for Review pursuant to
II.
A.
This Circuit has not yet had occasion to consider the standards for granting a petition to appeal class certification under
A court of appeals may in its discretion permit an appeal from an order of a district court granting or denying class action certification under this rule if application is made to it within ten days after entry of the order. An appeal does not stay proceedings in the district court unless the district judge or the court of appeals so orders.
The advisory committee note to
The first federal court of appeals decision addressing the standards for granting a
The First Circuit, in Waste Management Holdings, Inc. v. Mowbray, 208 F.3d 288 (1st Cir. 2000), adopted several varia-
In Prado-Steiman v. Bush, 221 F.3d 1266 (11th Cir. 2000), the Eleventh Circuit further elaborated upon
In explaining the second factor, “substantial weakness in the class certification,” the Eleventh Circuit noted that “interlocutory review may be appropriate when it promises to spare the parties and the district court the expense and burden of litigating the matter to final judgment only to have it inevitably reversed on an appeal.” Id. at 1274-75. The Eleventh Circuit held that this factor is to be viewed “on a sliding scale” with the other factors, such that the stronger the case that class certification was a clear abuse of discretion, the weaker a showing is needed on the other factors to gain review. Id. at 1274-75. As to the third factor, the court noted that the impact of the questions at issue to related actions involving the same or similarly-situated parties is an appropriate part of the inquiry relative to this prong. Id. at 1275. The Eleventh Circuit explained its fifth factor, the “likelihood that future events may make appellate review more or less appropriate,” by reference to issues such as the prospect of imminent settlement negotiations or the status of an action as the first-litigated of a number of similar claims. Id.
Dryvit reads Prado-Steiman to suggest that a sufficient showing of “substantial weakness,” the third factor, alone can constitute grounds for granting a
We do not believe that Prado-Steiman limited Mowbray; to the contrary, by adding the weakness of the district court‘s certification decision as an independent factor supporting review and noting that the impact of a question raised in a
Where a district court‘s certification decision is manifestly erroneous and virtually certain to be reversed on appeal, the issues involved need not be of general importance, nor must the certification decision constitute a “death knell” for the litigation. Such a rule would waste, rather than conserve, judicial resources, because self-evidently defective classes would proceed through trial to final judgment, only to face certain decertification on appeal and a requirement that the process begin again from square one. The weakness of the district court‘s certification, viewed in terms of the likelihood of reversal under an abuse of discretion standard, operates on a “sliding scale” in conjunction with the other factors enumerated by the Eleventh Circuit in Prado-Steiman. In extreme cases, where decertification is a functional certainty, the weakness of the certification order may alone suffice to permit the Court of Appeals to grant review. Conversely, when the weakness of the district court‘s certification is less substantial (or insubstantial), a commensurately stronger showing on the other factors is necessary to support review. We thus adopt the Eleventh Circuit‘s five-factor Prado-Steiman test for judging the appropriateness of granting a petition for review under
B.
Having adopted, with some elaboration, the five-factor Prado-Steiman test for determining when to grant a
C.
A district court “has broad discretion in deciding whether to certify a class, but that discretion must be exercised within the framework of
In reviewing the
In contrast to actions under
In Broussard, we addressed the predominance, commonality and typicality difficulties that arise under
Lienhart argues that proof of individual damages is unnecessary because the theory of this case is that publicity surrounding problems with the Fastrak product has caused “stigma damage” in the form of a diminished market value for homes clad with Fastrak, independent of whether these homes have in fact suffered any tangible damage. It also appears, however, that the complaint alleges compensable damages deriving from the actual failure of Fastrak and resultant physical damage to the homes of some plaintiff class members. The district court suggested that damages subclasses might be necessary at a later date.
The district court placed great emphasis on the fact that Lienhart does not assert
The difficulty with this holding is that under North Carolina law, the failure of a product user to follow express and adequate instructions or warnings absolutely precludes liability in a products liability action.
Thus, if third parties contributed to the failure of Fastrak and Dryvit did not contract to provide instruction to these parties and assist them in installing Fastrak, Dryvit‘s claims regarding these parties are not contribution and indemnity claims which may be addressed in a second stage after this litigation, but are instead claims regarding affirmative defenses which, if established, negate Dryvit‘s liability ab initio. Given this conclusion, even if all plaintiffs suffered some “stigma” damage due to Fastrak‘s reputation, two problems in certifying a class are apparent.
First, if this “stigma” damage coincides with damage from actual failure of the Fastrak product or expected future failure, and if this actual or expected fail-ure is due in part to applicator or contrac-
Second, even for plaintiffs whose damage is wholly of the “stigma” variety, the contributory negligence of applicators and contractors may be a partial cause of any “stigma” attached to the Fastrak product. In other words, Fastrak‘s market reputation may be poor in part due to a tendency of applicators and contractors to install the product in a manner incompatible with Dryvit‘s instructions. While classwide proof would appear to be possible on this issue, and thus, it does not per se destroy predominance, the district court‘s judgment that this class action is feasible from a manageability standpoint depends in part on the district court‘s belief that it will be possible to avoid the issues of applicator and contractor behavior entirely during the liability phase. Our conclusion regarding the application of
III.
We thus conclude that class certification in this case is not feasible under
VACATED AND REMANDED WITH INSTRUCTIONS.
UNITED STATES of America, Plaintiff-Appellee, v. Marion PROMISE, a/k/a Mario, Defendant-Appellant.
No. 99-4737.
United States Court of Appeals, Fourth Circuit.
Argued Feb. 27, 2001. Decided June 29, 2001.
