Petitioner is the defendant in a case styled as a class action under Fed.R.Civ.P. (“Rule”) 23(b)(3), seeking damages on behalf of
[a]ll self-insured, multi-employer benefit plans (“Plans”) and their respective Boards of Trustees (“Trustees”), established pursuant to the requirement of the Labor Management Relations Act, Section 302(c)(5), 29 U.S.C. § 186(c)(5) (Taft-Hartley Act) (for the purpose of providing health, welfare and related benefits to participants working or who have worked in the building trades and those participants’ beneficiaries), which have made payments on or subsequent to January 1, 1975 pursuant to the Plans’ terms to or on behalf of participants and beneficiaries who have suffered, presently will suffer, or will suffer or who have died from diseases and medical conditions caused by smoking cigarettes or using other tobacco products that contain nicotine.
Plaintiffs allege that there are approximately 4000 such funds and claim potential liability in the billions of dollars.
Following repeated refusals by the district court, (Jack B. Weinstein, /.), to decide whether to certify plaintiffs’ class, petitioners now moves for a writ of mandamus directing the district court to decide the issue of class certification prior to trial. Petitioner relies upon Rule 23(c)(1) which provides, in its entirety:
As soon as practicable after the commencement of an action brought as a class action, the court shall determine by order whether it is to be so maintained. An order under this subdivision may be conditional, and may be altered or amended before the decision on the merits.
Petitioner argues that the district court has violated its duty to decide the issue of class certification “as soon as practicable.”
Rule 23 was substantially amended in 1966, in part to prevent prejudice to defendants that can arise when a determination of class certification is postponed until after trial. The advisory committee note to the 1966 amendment of Rule 23(c)(3) makes this concern plain:
Hitherto, in a few actions conducted as “spurious” class actions and thus nominally designed to extend only to parties and others intervening before the determination of liability, courts have held or intimated that class members might be permitted to intervene after a decision on the merits favorable to their interests, in order to secure the benefits of the decision for themselves, although they would presumably be unaffected by an unfavorable decision.... Under proposed subdivision (e)(8), one-way intervention is excluded; the action will have been early determined to be a class or nonclass action, and in the former case the judgment, whether or not favorable, will include the class, as above stated, (emphasis added).
We have previously noted the onerous effect of failing to decide class certification promptly, finding that a district court’s failure to decide class certification “early in the proceedings not only produced below an atmosphere of confusion, but also made our appellate review more difficult.” Henry v. Gross,
In a related context, the Supreme Court has addressed the impropriety of deciding class certification after conducting a preliminary inquiry into the merits of plaintiffs’ case. As the Court explained:
Indeed, such a procedure contravenes the Rule by allowing a representative plaintiff to secure the benefits of a class action without first satisfying the requirements for it. He is thereby allowed to obtain a determination on the merits of the claims advanced on behalf of the class without any assurance that a class action may be maintained. This procedure is directly contrary to the command of subdivision (c)(1) that the court determine whether a suit denominated a class action may be maintained as such “[a]s soon as practicable after the commencement of [the] action.”
Eisen v. Carlisle & Jacquelin,
By this decision, we do not intend to abrogate district courts’ discretion to decide when to determine class certification. See, e.g., Chateau De Ville Prods., Inc. v. Tams-Witmark Music Library, Inc.,
However, “as soon as practicable” does not confer unfettered discretion, especially in the context of Rule 23(b)(3), where damages are at stake. See Jimenez v. Weinberger,
Turning to the specific mandamus request before us, we are mindful that “an appellate court should not issue mandamus to correct even gross error, but should issue the writ when necessary 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.” Richardson Greenshields Secs., Inc. v. Lau,
Petition for mandamus is Denied.
