ORDER REGARDING DEFENDANTS’ MOTIONS TO DISMISS
TABLE OF CONTENTS
I. INTRODUCTION AND BACKGROUND .1082
A. Procedural Background.1082
B. Factual Background.1083
1. Facts relevant to counts II and III.1083
2. Facts related to personal jurisdiction over FEMA and TRG.1085
II. LEGAL ANALYSIS.1086
A. Rule 12(b)(6) Standards.1086
B. Fraud Claims.1087
1. Pleading fraud under Rule 9(b) .1087
2. Application of the Rule 9(b) pleading standards .1088
3. Leave to amend the complaint.1090
C. Legal standards for personal jurisdiction.1090
1. Long-arm authoritg.1091
2. Minimum contacts.1091
a. Specific v. general jurisdiction.1092
b. The five factor test.1093
3. Analgsis .1093
III. CONCLUSION.1096
I. INTRODUCTION AND BACKGROUND
A. Procedural Background On Oсtober 5, 2004, plaintiff Kevin Rem-mes filed an amended complaint against defendants International Flavors & Fragrances, Inc. (“IFF”), Givaudan Flavors Corp. (“Givauden”), Flavors of North America, Inc. (“FONA”), Sensient Flavors, Inc. (“Sensient”), the Flavor and Extract Manufacturers Association of the United States (“FEMA”), and the Roberts Group, L.L.C. (“TRG”) alleging three causes of action. The three causes of action asserted are for negligence, fraudulent concealment and civil conspiracy. The Complaint alleges that this court has subject matter jurisdiction by virtue of diversity of citizenship of the parties, 28 U.S.C. § 1332.
Defendant Sensient filed a Motion to Dismiss Counts II and III of Plaintiffs Amended Petition (Doc. No. 64). Specifically, Sensient asserts that Count II, Rem-mes’s fraudulent concealment claim, should be dismissed for failure to plead fraud with particularity, and that Count III, Rem-mes’s civil conspiracy claim, should be dismissed because it is based entirely on the fraudulent concealment claim. Defendant IFF then filed its Joinder in Defendant
B. Factual Background
1. Facts relevant to counts II and III
On a motion to dismiss, the court must assume all facts alleged in plaintiff Rem-mes’s amended complaint are true, and must liberally construe those allegations.
Conley v. Gibson,
Plaintiff Remmes resides in Sioux City, Iowa and was employed by the American Popcorn Company in Sioux City, Iowa. Defendant IFF is a New York corporation with its principal place of business in New York, New York. Givauden is a Delaware corporation with its principal place of business in Cincinnati, Ohio. FONA is an Illinois corporation with its principal place of business in Carol Steam, Illinois. Sensient is a Wisconsin corporation with its principal place of business in Indianapolis, Indiana. Defendants IFF, Givauden, FONA, and Sensient each design, manufacture, distribute and sell butter flavorings marketed to entities, including the American Popcorn Company.
The butter flavorings sold by defendants IFF, Givauden, FONA, and Sensient contain diacetyl and/or other volatile organic compounds that can cause human disеase and injury. In the course of his employment at the American Popcorn Company, Remmes was exposed to butter flavorings designed, manufactured, distributed and sold by defendants IFF, Givauden, FONA, and Sensient. Remmes alleges that as a result of this exposure that he has suffered severe and permanent injury to his person including, bronchiolitis obliterans, severe and progressive damage to the respiratory system, and extreme shortness of breath. In addition, because of his exposure, Rem-mes’s life expectancy has been significantly reduced.
In his fraudulent concealment claim, plaintiff Remmes alleges the following:
27. The Defendants knew, or should have known, that the butter flavorings and/or their constituents cause adverse health effects by at least 1991, including, but not limited to, the following:
a. Damage to human mucous membranes, and;
b. Respiratory disease.
28. Defendants knew or should have known certain information regarding the health hazards of butter flavoringsand/or their constituents including, but not limited to, the following:
a. By at least 1991, the Defendants knew that diacetyl was a health hazard when inhaled;
b. By at least 1991, the Defendants knew that the level of diacetyl in areas where butter flavorings are used could and should be monitored through air sampling;
c. By at least 1991, the Defendants knew that diacetyl is a hazard to human mucous membranes;
d. By at least 1993, the Defendants knew their butter flavoring workers were experiencing “breathing problems.”
e. By at least 1993, the Defendants knew that persons working around butter flavorings must wear full-face respirators;
f. By at least 1993, the Defendants knew that diacetyl is a severe respiratory hazard, causing, inter alia, respiratory tract injury; focal hyperemia of the lungs; atelec-tasis; bloody edema of the lungs; bronchial edema, and; emphysema;
g. By at least 1993, the Defendants knew the LC50 for diacetyl;
h. By at least 1994, the Defendants knew that diacetyl is a “potential respiratory exposure” for persons working around butter flavorings;
i. By at least 1994, the Defendants knew that diacetyl volatilizes above 83 F and that potential diacetyl volatilization must be minimized for worker safety;
j. By at least 1994, the Defendants recognized that butter flavorings should be mixed in a “closed system” to prevent an volatilization of diacetyl or other butter flavoring constituents into the air;
k. By at least 1995, the Defendants knew that their customers were experiencing severe health problems associаted with their butter flavorings;
l. By at least 1995, the Defendants were specifically requested by their customers to “advise all butter users of the danger of butters” and specifically recommend what type of Personal Protective Equipment should be worn.
m. By at least 1995, the Defendants knew that diacetyl is a “harmful organic vapor”;
n. By at least 1996, the Defendants were aware of all available research regarding diacetyl’s effects on the mucous membranes, and;
o. By at least 1996, the Defendants knew or should have known that the butter flavorings and/or their constituents cause bronchiolitis obliterans.
29. Despite the fact that Defendants knew that the butter flavorings and/or their constituents cause adverse health effects, including severe respiratory disease, they intentionally and maliciously chose to conceal these facts from the scientific and medical communities, the government and the public, including Plaintiff, Kevin Remmes.
30. The information concealed by the Defendants regarding the serious health risks of using their butter flavorings was material.
31. Defendants had a duty to disclose such information to the Plaintiff because, inter alia,
a. Defendants possessed knowledge regarding the health effects of butter flavorings and/or their constituents that was superior to Plaintiffs knowledge;
b. Defendants had a relationship of trust and/or confidence with Plaintiff, and;
c. other attendant circumstances.
32. Defendants profited from their fraud by continuing and increasing the sale of butter flavoring products which they knew were hazardous to persons deliberately kept ignorant of material facts concerning the true hazards of dia-cetyl and/or butter flavorings.
Amended Compl. at ¶ 27-32.
2. Facts related to personal jurisdiction over FEMA and TRG
Viewing the record in the light most favorable to plaintiff Remmes and resolving all factual conflicts in his favor, the court makes the following factual findings. Defendant FEMA is a national trade association that is organized under the laws of Maryland. FEMA’s only office is located in Washington, D.C. FEMA is comprised of flavor manufacturers, flavor users, flavor suppliers and other entities with an interest in the United States flavor industry. FEMA currently has a national membership of 102 companies. Among its members are defendants IFF, Givauden, FONA, and Sensient. None of its current members are based in Iowa. Only one Iowa based company, Kemin Industries, Inc., has ever belonged to FEMA. Kemin Industries, Inc. terminated its membership in FEMA in April 1989. FEMA is engaged in such activities as promoting the commercial interests of its members, monitoring and responding to legislation of concern to the flavor industry, educating its members on regulatory compliance, and protecting its members’ intellectual property rights.
Defendant TRG is a limited liability company organized under the laws of Maryland. Defendant TRG’s sole office is in Washington, D.C. Defendant TRG is a management company that provides trade associations, such as FEMA, with staff and managerial services.
Neither FEMA nor TRG manufactures, distributes, or sells butter flavorings or other products. Neither FEMA nor TRG participated in the manufacture, distribution, or sale of butter flavorings to plaintiff Remmes’s employer, the American Popcorn Company. The American Popcorn Company is not a member of FEMA. Neither FEMA nor TRG pоssess any control or authority over the manufacturing, distribution, or sales actions of any of FEMA’s members, including defendants IFF, Givauden, FONA, and Sensient.
FEMA and TRG are not registered to do business in Iowa. In addition, FEMA and TRG do not maintain a registered agent for service of process in Iowa and do not hold themselves out as licensed to conduct business in Iowa. Neither FEMA nor TRG have ever owned or leased property in Iowa, maintained any bank accounts in Iowa, or had any telephone listings in the State of Iowa. FEMA and TRG have never conducted a business meeting or a seminar in Iowa. Neither FEMA nor TRG has ever disseminated business materials in Iowa.
FEMA and TRG were involved in a conspiracy with at least defendant Givau-den to suppress the health risks of butter flavorings. FEMA members, including defendants IFF, Givauden, FONA, and Sen-sient, actively sold butter flavorings in Iowa. These products were known by Defendants IFF, Givauden, FONA, Sensient, FEMA and TRG to be potentially dangerous to the end users of the butter flavorings. Research concerning the dangers of butter flavorings was concealed from the public. Plaintiff Remmes was injured as a result of his exposure at his place of employment, in Iowa, to butter flavorings.
A. Rule 12(b)(6) Standards
The issue on a Rule 12(b)(6) motion to dismiss for failure to state a claim upon which relief can be granted is not whether a plaintiff will ultimately prevail, but whether the plaintiff is entitled to offer evidence in support of his, her, or its claims.
Scheuer v. Rhodes,
The court is mindful that, in treating the factual allegations of a complaint as true pursuant to Rule 12(b)(6), the court must “reject conclusory allegations of law and unwarranted inferences.”
Silver v. H & R Block, Inc.,
The United States Supreme Court and the Eighth Circuit Court of Appeals have both observed that “a court should grant the motion and dismiss the action ‘only if it is clear that no relief could be granted under any set of facts that could be proved consistent with the allegations.’ ”
Handeen v. Lemaire,
B. Fraud Claims
Defendants IFF, Givauden, FONA, and Sensient assert that plaintiff Remmes has failed to plead his fraud claims with sufficient particularity as required by Federal Rule of Civil Procedure 9(b), 1 and, therefore, has failed to state a claim upon which relief can be granted. In contrast, plaintiff Remmes maintains that his fraudulent concealment and civil conspiracy claims here are sufficient under the standards of Rule 9(b). The court, therefore, must determine whether plaintiff Remmes has pleaded his fraud based claims with sufficient particularity in his amended complaint.
1. Pleading fraud under Rule 9(b)
This court has articulated the standards for pleading fraud with the particularity required by Rule 9(b) of the Federal Rules of Civil Procedure in a number of prior decisions.
See Schuster v. Anderson,
Rule 9(b) of the Federal Rules of Civil Procedure “ ‘requires a plaintiff to allege with particularity the facts constituting the fraud.’ ”
Brown,
Rule 9(b) requires that “[i]n all aver-ments of fraud or mistake, the circumstances constituting fraud or mistake shall be stated with particularity.” “ ‘Circumstances’ include such matters as the time, place and content of false representations, as well as the identity of the person making the misrepresentation and what was obtained or given up thereby.” Bennett v. Berg,685 F.2d 1053 , 1062 (8th Cir.1982), adhered to on reh’g,710 F.2d 1361 (8th Cir.), cert. denied,464 U.S. 1008 ,104 S.Ct. 527 ,78 L.Ed.2d 710 (1983). Because one of the main purposes of the rule is to facilitate a defendant’s ability to respond and to prepare a defense to charges of fraud, Greenwood v. Dittmer,776 F.2d 785 , 789 (8th Cir.1985), conclusory allegations that a defendant’s conduct was fraudulent and deceptive are not sufficient to satisfy the rule. In re Flight Transp. Corp. Sec. Litig.,593 F.Supp. 612 , 620 (D.Minn.1984).
Commercial Property,
2. Application of the Rule 9(b) pleading standards
Defendants IFF, Givauden, FONA, and Sensient specifically assert that plaintiff Remmes has failed to plead his fraud claims with sufficient particularity because plaintiff Remmes does not identify the specific actions of an individual defendant but instead refers to defendants IFF, Givau-den, FONA, and Sensient collectively. Plaintiff Remmes asserts in response that he may refer to defendants collectively since they are all alleged to have participated in the fraud.
As this court explained in
DeWit v. Firstar Corp.,
Plaintiff Remmes does not disрute that he has failed to describe the specific acts that each of the defendants undertook. Instead, he contends that his collective treatment of defendants is proper under the “group pleading” doctrine. The group pleading doctrine, however, is an exception to the requirement that the fraudulent acts of each defendant be identified separately in the complaint. Under the group pleading doctrine, plaintiffs are exempted from the strictures of Rule 9(b) — in particular, they are exempted from specifying the particular role of defendants in the alleged fraud. Group pleading allows plaintiffs to “rely on a presumption that statements in prospectuses, registration statements, annual reports, press releases, or other group-published information, are the collective work of those individuals with direct involvement in the everyday business of the company.”
In re Oxford Health Plans, Inc.,
3. Leave to amend the complaint
Plaintiff Remmes argues that justice requires that he be permitted leave to amend his complaint. A plaintiff is usually permitted to amend the complaint to re-plead fraud with particularity.
Burlington Coat Factory Secs. Litig.,
C. Legal standards for personal jurisdiction
The plaintiff bears the ultimate burden of proving personal jurisdiction over a defendant.
See Watlow Elec. Mfg. v. Patch Rubber Co.,
A two-step analysis is employed in determining whether this court can рroperly exercise personal jurisdiction over nonresident defendants.
Northrup King Co. v. Compania Productora Semillas Algodoneras Selectas, S.A.,
1. Long-arm authority
In this case, the long-arm authority is Iowa Rule of Civil Procedure 1.306, which provides in pertinent part that
[ejvery corporation, individual, personal representative, рartnership or association that shall have the necessary minimum contact with the state of Iowa shall be subject to the jurisdiction of the courts of this state, and the courts of this state shall hold such corporation, individual, personal representative, partnership or association amenable to suit in Iowa in every case not contrary to the provisions of the Constitution of the United States.
Iowa Rule of Civil Procedure 1.306 (2004). Rule 1.306 has been interpreted to give Iowa courts jurisdiction to the fullest constitutional extent.
See Hicklin Eng’g, Inc. v. Aidco, Inc.,
2. Minimum contacts
Under the due process clause, the constitutional touchstone is whether plaintiff Remmes has established that FEMA and TRG have sufficient minimum contacts with Iowa such that this court’s exercise of personal jurisdiction over FEMA and TRG does not offend traditional notions of fair play and substantial justice.
See Burger King Corp. v. Rudzewicz,
In a series of cases following International Shoe Co. v. Washington,326 U.S. 310 ,66 S.Ct. 154 ,90 L.Ed. 95 (1945), the Supreme Court has elucidated the “minimum contacts” standard that must be satisfied before a nonresident can be subjected to the jurisdiction of a state’s courts. Due process requirеs that out-of-state defendants have ‘“fair warning’ ” that they could be “haled into” court in a foreign jurisdiction. This requirement “is satisfied if the defendant had ‘purposefully directed’ his activities at residents of the forum ... and the litigation results from alleged injuries that ‘arise out of or relate to’ those activities.”
The contacts with the forum state must be more than “ ‘random,’ ” “ ‘fortuitous,’ ” or “ ‘attenuated.’ ” The due process clause forecloses personal jurisdiction unless the actions of the “defendant himself ... create [d] a ‘substantial connection’ with the forum State.” Once the court has found that the defendant purposefully established the requisite minimum contacts with the forum state, the court still must determine whether assertion of jurisdiction comports with “ ‘fair play and substantial justice.’ ”
Dakota Indus.,
In assessing a defendant’s “reasonable anticipation” of being haled into court, there must be “some act by which the defendant purposely avails itself of the privilege of conducting activities within the forum state, thus invoking the benefits and protections of its laws.”
Bell Paper,
a. Specific v. general jurisdiction
There are two broad types of personal jurisdiction: specific jurisdiction and general jurisdiction.
Helicopteros Nacionales de Colombia, S.A. v. Hall,
b. The five factor test
The test for evaluating the propriety of personal jurisdiction under the due process clause requires the court to consider the following five factors: (1) the nature and quality of the contacts with the forum state; (2) the quantity of the contacts with the forum state; (3) the relation of the cause of action to the contacts; (4) the interest of the forum state in providing a forum for its residents; and (5) the convenience of the parties.
Stanton,
3. Analysis
Looking at FEMA and TRG’s contacts with Iowa, the court notes that both are Maryland corporations with their principal place of business in Washington, D.C. Neither FEMA nor TRG have any office, agent, representative or employee in Iowa, and neither do business in Iowa. Further, neither FEMA nor TRG have any bank accounts or property in Iowa, and neither advertises or solicits any business in Iowa. In establishing personal jurisdiction, “it is essential in each case that there be some act by which the defendant purposefully avails itself of the privilege of conducting activities within the forum State, thus invoking the benefits and protections of its laws.”
Hanson v. Denckla,
A number of courts have recognized civil conspiracy as a basis to support the exercise of in personam jurisdiction.
See, e.g., Second Amendment Found., v. United States Conference of Mayors,
Whether personal jurisdiction can be obtained under a state long-arm statute on a conspiracy rationale is a question of state law.
Davis v. A & J Electronics,
As the court noted above, Iowa’s long arm statute has been interpreted to give Iowa courts jurisdiction to the fullest constitutional extent.
See Larsen,
The court further finds it noteworthy that under Iowa’s long arm statute, Iowa may exercise personal jurisdiction over those who commit torts, within or without the state, that cause injury to persons or property in Iowa.
See, e.g., Norton v. Local Loan,
Civil conspiracy is not in itself actionable; rather it is the acts causing injury undertaken in furtherance of the conspiracy [that] give rise to the action. Basic Chems.,251 N.W.2d at 233 ; accord Adam v. Mt. Pleasant Bank & Trust Co.,387 N.W.2d 771 , 773 (Iowa 1986). Thus, conspiracy is merely an avenue for imposing viсarious liability on a party for the wrongful conduct of another with whom the party has acted in concert. See John’s Insulation, Inc. v. Siska Constr. Co.,774 F.Supp. 156 , 162 (S.D.N.Y.1991) (“Allegations of a civil conspiracy, therefore, are proper only for the purpose of establishing joint liability by co-participants in tortious conduct.”); 2 Dobbs § 340, at 936-37 (characterizing eases applying a civil conspiracy theory as employing a model of vicarious liability).
Wright v. Brooke Group Ltd.,
In order to plead successfully facts supporting application of the conspiracy theory of jurisdiction, a plaintiff must allege the following: “(1) the existence of a conspiracy; (2) the nonresident’s participation in or agreement to join the conspiracy; and (3) an overt act taken in further-
Ill CONCLUSION
For the aforementioned reasons, the court concludes that plaintiff Remmes has not plead with the particularity required by Rule 9(b). Thus, this portion of defendants IFF, Givauden, FONA, and Sen-sient’s respective motions to dismiss are granted. However, the court grants Rem-mes’s request for leave to replead the claims contained in Counts II and III. Therefore, Remmes must, within thirty (30) days of this order, file an amended complaint adequately pleading fraud in Counts II and III pursuant to Rule 9(b). The court further concludes that the Iowa Supreme Court would recognize civil conspiracy as a basis to support the exercise of in personam jurisdiction under Iowa’s long-arm statute. Moreover, the court concludes that Remmes successfully made out a prima facie case which would suрport application of the conspiracy theory of jurisdiction. Consequently, the court finds it has personal jurisdiction over defendants FEMA and TRG and denies FEMA and TRG’s joint Motion To Dismiss For Lack Of Personal Jurisdiction.
IT IS SO ORDERED.
Notes
. Federal Rule of Civil Procedure Rule 9(b) provides as follows:
(b) Fraud, Mistake, Condition of the Mind. In all averments of fraud or mistake, the circumstances constituting the fraud or mistake shall be stated with particularity. Malice, intent, knowledge, and other condition of mind of a person may be averred generally.
Fed. R. Civ. P. 9(b).
. The court notes that several federal courts have concluded that the Private Securities Litigation Reform Act, 15 U.S.C. 78u-4, effectively abolished the group pleading doctrine.
See P. Schoenfeld Asset Mgmt. L.L.C. v. Cen-dant Corp.,
. The court notes that while it certified the eight questions addressed by the Iowa Supreme Court in
Wright,
