MEMORANDUM OPINION & ORDER
Pеnding before the court are the defendant’s Motion for Summary Judgment Based Upon the Statute of Limitations [Docket 279] and its Motion for Summary Judgment on the merits [Docket 335], and the plaintiffs’ Motion for Certification of Non-Medical Monitoring Claims [Docket 277]. For the reasons discussed below, the Motion for Summary Judgment Based Upon the Statute of Limitations is DENIED, and the Motion for Summary Judgment on the merits is DENIED in part and GRANTED in part. The plaintiffs’ Motion for Certification is DENIED as moot.
Defendant E.I. du Pont de Nemours and Company (“DuPont”) has, for an extended period of time, admittedly discharged chemicals into the environment surrounding Wood County, West Virginia. The potential effects of these chemicals on human health are of great public concern. Issues of institutional competence, however, caution against judicial involvement in regulatory affairs. Courts are designed to remediate, not regulate. Because the plaintiffs’ claims are not cognizable under traditional tort theories, the majority of these claims cannot withstand DuPont’s summary judgment motion. Only the plaintiffs’ medical monitoring claim — a recently recognized and much criticized cause of action under West Virginia law— survives.
This case arises from DuPont’s release of perfluoroctanoic acid (“PFOA” or “C-8”) from its Washington Works plant in Wood County, West Virginia. 1 The plaintiffs allege that PFOA released from the plant has contaminated the drinking water in the Parkersburg Water District (“PWD”). (2d Am. Class Action Compl. ¶ 1 [Docket 267].) On May 26, 2006, William R. Rhodes, Russell E. Miller, and Valori A. Mace filed a сlass action complaint in the Circuit Court of Wood County, West Virginia, seeking relief from the alleged contamination. On June 29, 2006, DuPont removed the action to this court [Docket 1],
On January 31, 2008, after extensive discovery, the plaintiffs moved for this court to certify a class of “all individuals ... who, for a period of at least one year since November 1, 2005, to the date of an Order certifying the class herein, have been residential water customers of the [PWD].” (Pis.’ Post-Er’g Br. 1 [Docket 246].) That motion was denied on September 30, 2008 [Docket 255]. The plaintiffs sought leave to appeal the order denying class certification [Docket 256], and the United States Court of Appeals for the Fourth Circuit denied that request [Docket 261].
The plaintiffs subsequently filed a Motion for Leave to Amend Amended Class Action Complaint [Docket 263] in order to include a class claim for public nuisance. On January 8, 2009, I granted that motion [Docket 266], and the plaintiffs filed their Second Amended Class Action Complaint [Docket 267]. In the Second Amended Class Action Complaint, the plaintiffs assert seven claims based on the alleged PFOA contamination of the PWD drinking water: (1) negligence, (2) gross negligence, reckless, willful, and wanton conduct, (3) private nuisance, (4) past and continuing trespass, (5) past and continuing battery, (6) medical monitoring, and (7) public nuisance. (2d Am. Class Action Compl. ¶ 89-128.) The plaintiffs seek compensatory and punitive damages; costs and fees; as well as medical monitoring, the abatement of PFOA releases from the plаnt, and the provision of alternative drinking water. (Id. at p. 22-23.)
On March 30, 2009, DuPont filed a Motion for Summary Judgment Based Upon the Statute of Limitations [Docket 279], followed by a general Motion for Summary Judgment on June 12, 2009 [Docket 335]. The resolution of the two summary judgment motions is appropriate at this time despite the pending motion for class certification. 2 A district court should certify a class “at an early practicable time.” Fed. R.Civ.P. 23(c)(1). This rule affords a district court discretion to rule on a summary judgment motion before ruling on a class certification motion. See Fed.R.Civ.P. 23(c)(1) advisory committee’s note (2003) (explaining that a decision to certify a class may be deferred pending the outcome of a motion to dismiss or motion for summary judgment). Since this Order grants the defendant’s Motion for Summary Judgment with respect to the plaintiffs’ public nuisance claim, the plaintiffs’ pending Motion for Certification of Non-Medical Monitoring Claims is DENIED as moot.
To obtain summary judgment, the moving party must show that there is no genuine issue as to any material fact and that the moving party is entitled to judgment as a matter of law. Fed.R.Civ.P. 56(c). In considering a motion for summary judgment, the court will not “weigh the evidence and determine the truth of the matter.”
Anderson v. Liberty Lobby, Inc.,
Although the court will view all underlying facts and inferences in the light most favorable to the nonmoving party, the non-moving party nonetheless must offer some “concrete evidence from which a reasоnable juror could return a verdict in his [or her] favor.”
Anderson,
III. Standing
Under Article III of the Constitution, federal courts only possess jurisdiction to decide “Cases” and “Controversies.” U.S. Const., Art. Ill, § 2. These two words “limit the business of federal courts to questions presented in an adversary context and in a form historically viewed as capable of resolution through the judicial process.”
Flast v. Cohen,
Although neither party in this case has raised the issue of standing, federal courts are obliged to satisfy themselves that they possess subject matter jurisdiction in every case, and may sua sponte raise the issue of standing.
Juidice v. Vail,
While standing is a constitutional requirement for subject matter jurisdiction, its ease of definition belies its difficulty of application.
See Valley Forge Christian Coll. v. Ams. United for Separation of Church and State,
An injury-in-fact may simply be the fear or anxiety of future harm. For example, exposure to toxic or harmful substances has been held sufficient to satisfy the Article III injury-in-fact requirement even without physical symptoms of injury caused by the exposure, and even though exрosure alone may not provide sufficient ground for a claim under state tort law.... The risk of future harm may also entail economic costs, such as medical monitoring and preventative steps____
Denney v. Deutsche Bank AG,
The Fourth Circuit has not directly addressed this issue in the context of medical monitoring, but it has recognized that an increased risk of injury may be an injury-in-fact. In
Friends of the Earth, Inc. v. Gaston Copper Recycling Corp.,
Reversing the district court, the Sixth Circuit held that the plaintiffs claim could proceed. The court concluded that “Sutton has alleged sufficient facts, when accepted as true, to suggest an increased risk of future harm resulting from being implanted with St. Jude’s device.”
Sutton,
Even courts that express doubt as to whether injuries premised on increased risk constitute an injury-in-fact aсknowledge that such claims are cognizable in the context of environmental harms and toxic exposures.
See, e.g., Ctr. for Law & Educ. v. Dep’t of Educ.,
While this is a not an easy question, the weight of authority suggests that an increased risk of injury constitutes an injury-in-fact under Article III. The standing inquiry “serves to distinguish a person with a direct stake in the outcome of the litigation — even though small — from a person with a mere interest in the problem.”
United States v. Students Challenging Regulatory Agency Procedures (“SCRAP”),
IV. Motion for Summary Judgment Based Upon the Statute of Limitations
By its Motion for Summаry Judgment Based Upon the Statute of Limitations, DuPont contends that West Virginia’s two-year statute of limitations for personal injury and property damage claims bars the plaintiffs’ claims. It asserts that the named plaintiffs “knew of their alleged claims against DuPont for more than two years prior to the Complaint being filed.” (Mem. Supp. Mot. Summ. J. Limitations 1 [Docket 280].) As explained below, there exist genuine issues of material fact as to whether DuPont’s alleged acts constitute a continuing tort. Summary judgment based on the statute of limitations is therefore inappropriate.
The plaintiffs argue that the statute of limitations for their claims has not run because DuPont’s actions constitute a continuing tort. The continuing-tort doctrine applies “[w]here there is a repeated or continuous injury and where the damages do not occur all at once but increase as time progresses”; in such instances, “the tort is not completed, nor have all the damages been incurred, until the last injury is inflicted or the wrongdoing ceases.”
Patrick v. Sharon Steel Corp.,
The plaintiffs have made a sufficient showing that the continuing-tort doctrine applies in this case because the plaintiffs’ claims are based on alleged continuous tortious conduct, namely, DuPont’s release of PFOA into the envirоnment, and its continuing failure to remediate the PFOA currently present in the PWD water supply. DuPont has not disputed the allegation that it continues to emit PFOA from the Washington Works Plant, nor is this court aware of any remediation by DuPont with respect to PFOA.
DuPont’s arguments to the contrary are unpersuasive. First, DuPont contends that the continuing-tort doctrine cannot apply to the plaintiffs’ medical monitoring claim. To support this contention, it relies on
State ex rel. Chemtall Inc. v. Madden,
Importantly, however, the discovery rule does not impede the operation of the continuing-tort doctrine.
Patrick,
Next, DuPont relies on the decision in
State ex rel. Smith v. Kermit Lumber & Pressure Treating Co.,
There remains a question of material fact as to what amount of PFOA release constitutes “tortious conduct,” and consequently, when the plaintiffs’ alleged injuries accrued. The plaintiffs have provided ample evidence that PFOA may cause some harm, but, as DuPont asserts, they have not identified a harmful level of contamination. DuPont’s continuing release of PFOA and refusal to remediate tolls the statute of limitations only if such behavior constitutes tortious conduct. It appears that DuPont has reduced its PFOA emissions from the Washington Works plant. (See Mem. Opp’n Mot. Summ. J. Limitations Ex. 2.) Therefore, it is possible that PFOA releases have been reduced to a harmless level. If so, then DuPont’s tortious conduct would have ceased at the moment that it dropped below that level. Because there are questions of fact as to what level of PFOA released from the Washington Works plant constitutes tortious conduct, it cannot be determined when such tortious conduct began or ended. Under such circumstances, dismissal on statute-of-limitations grounds would be inappropriate. Therefore, DuPont’s Motion for Summary Judgment Based Upon the Statute of Limitations is DENIED. 8
V. Summary Judgment on the Merits
By its Motion for Summary Judgment on the merits, DuPont seeks summary judgment on all of the plaintiffs’ claims. Generally, DuPont argues that the plaintiffs cannot show any injuries supporting their claims and, alternatively, that the plaintiffs cannot show the injuries were caused by DuPont. Because the plaintiffs assert several different сauses of action, I will address each one in turn. Since a defendant’s “underlying liability [for a medical monitoring claim] is established based upon a recognized tort,”
Bower v. Westinghouse Elec. Corp.,
A. The Plaintiffs’ Negligence, Gross Negligence, and Reckless, Willful and Wanton Conduct Claims Fail to Allege a Sufficient Injury for the Claims to Independently Survive.
The plaintiffs have asserted claims of negligence, gross negligence, and reckless, willful and wanton conduct. The elements of a negligence action are: (1) the existence of a duty, (2) the breach of that duty, (3) loss or damage to another caused by the breach, and (4) actual loss or damage to another. W. Page Keeton et al.,
Prosser and Keeton on the Law of Torts
§ 30 (5th ed.1984);
see also Strahin v. Cleavenger,
DuPont challenges these claims on two grounds: (1) the plaintiffs’ inability to demonstrate proximate causation, and (2) the plaintiffs’ failure to demonstrate a physical injury. (Mem. Supp. Mot. Summ. J. 8-9.) I first address DuPont’s causation challenge.
1. The Plaintiffs Have Provided Sufficient Evidence to Raise a Question of Material Fact With Respect to Causation.
The plaintiffs’ different claims are based on the same alleged injuries: the presence of PFOA in their drinking water and bodies, and their resulting significantly increased risk of disease justifying medical monitoring. Even if an increased risk of disease constitutes an injury under tort law, DuPont argues that the plaintiffs’ claims still fail because the plaintiffs cannot demonstrate that DuPont caused this increased risk. Specifically, DuPont argues that the plaintiffs have not shown that: (1) the amount of PFOA exposure experienced by the plaintiffs can cause a significantly increased risk of disease, or (2) that the PFOA in the PWD water supply and the plaintiffs’ bodies originated at the Washington Works plant.
For this section, I will temporarily assume without discussion that a significantly increased risk of disease constitutes an injury. The issue at hand in this section is only whether the plaintiffs have sufficiently shown that DuPont’s behavior caused an increased risk of harm. The causation analysis of this section may also apply to the plaintiffs’ other cаuses of action to the extent they require causation.
See, e.g., Bower v. Westinghouse,
DuPont argues that the plaintiffs’ expert reports are inadmissible to establish causation or any element of the plaintiffs’ claims and could not establish the elements even if they were admissible. DuPont did not, however, move to exclude expert testimony until July 8, 2009 [Docket 348], almost a full month after it filed its motion for summary judgment and more importantly, after the plaintiffs filed their response to that summary judgment motion. Thus, it is inappropriate to consider DuPont’s arguments regarding the admissibility of plaintiffs’ experts’ reports and testimony at this time. As I have stated earlier in this litigation, I am skeptical of some of the evidence and expert reports provided by the plaintiffs, and it is by no means certain that such evidence will allow them to prevail before a jury.
See, e.g., Rhodes v. E.I. du Pont de Nemours & Co.,
The plaintiffs have provided evidence from which a jury could conclude that the plaintiffs’ exposure to PFOA in the PWD water supply could cause a significantly increased risk of disease. PFOA has been detected in the PWD finished water supply at concentration levels as high as 0.079 ppb. (Mot. Certify Class [Docket 188] Ex. 23.) The plaintiffs have presented at least two pieces of evidence indicating that PFOA concentrations at that level in drinking water can cause a significantly increased risk of disease. First, the plaintiffs have presented a forthcoming, peer-reviewed article that calculated a health-based drinking water concentration of 0.04 parts per billion (ppb) to be protective for lifetime exposure. 9 (Hill Aff. Ex. 19, June 26, 2009.) 10 Second, the plaintiffs’ experts have testified that the plaintiffs have experienced a significantly increased risk of disease based on their exposure to PFOA at concentrations present in the PWD water supply. (Id. Exs. 27, 28.) This evidence is sufficient to raise a question of material fact as to whether the PFOA in the PWD water can cause a significantly increased risk of disease.
DuPont argues that the plaintiffs’ causation theory is flawed because it would allow “the presence of even a single molecule of an allegedly toxic substance [to be] the basis for a lawsuit.” (Reply Mem. Opp’n Mot. Summ. J. 2.) Again, I disagree. The plaintiffs’ experts hаve concluded that the plaintiffs have a significantly increased risk of various diseases based on the level of PFOA in their blood, which is more than one molecule. (Hill Aff. Exs. 27, 28.) After modeling the relationship between PFOA levels in blood serum and the incidence of certain medical conditions, the plaintiffs’ experts applied that model to the plaintiffs’ blood serum PFOA concentrations to calculate their increased risk of disease. This evidence is sufficient to raise a question of material fact as to whether the plaintiffs’ exposure to the PFOA in the PWD water caused them to have a significantly increased risk of disease.
In response to DuPont’s contention that the amount of PFOA in the PWD water supply complies with all relevant regulatory guidelines, the plaintiffs argue that the regulation referenced by DuPont has no bearing on whether the plaintiffs have suffered a significantly increased risk of disease. (Mem. Opp’n Mot. Summ. J. 5.) I agree with the plaintiffs because it is possible that human exposure to PFOA concentrations below regulatory guidelines could nevertheless cause human diseases.
See In re Methyl Tertiary Butyl Ether (MTBE) Prods.,
Moreover, in the instant action, existing regulatory guidelines are particularly unhelpful. The regulatory guidance identified by DuPont applies to circumstances different from those hеre, and the plaintiffs have identified other data indicating that a lower concentration might be harmful. DuPont offers only one regulatory guidance applicable to the PFOA concentration in the PWD water supply: the
Also, the plaintiffs have offered evidence that long-term exposure to PFOA concentrations lower than 0.4 ppb may be harmful to humans. The fact that the New Jersey Department of Environmental Protection (“NJDEP”) adopted a guidance level of 0.04 ppb lends credence to the plaintiffs’ contentions. 12 (Mem. Opp’n Mot. Summ. J. Ex. 18 at 2; see also Mot. Certify Class Ex. 41 at 9.) The New Jersey guidance level “is for lifetime chronic exposure in order to protect water consumers over their lifespan.” (Mem. Opp’n Mot. Summ. J. Ex. 18 at 3.) And the NJDEP’s study has been accepted for a publication in a peer-reviewed journal. (Id. Ex. 19.)
Accordingly, DuPont’s compliance with the EPA’s PHA does not preclude the plaintiffs’ establishing a question of material fact, through other evidence, that their exposure to PFOA caused them injury, in the form of a significantly increased risk of disease.
b. There are Questions of Material Fact as to Whether DuPont’s Aсtions Caused the PFOA Presence in the PWD Water and the Plaintiffs’ Blood.
DuPont argues that the plaintiffs cannot show that the PFOA in the PWD water supply is attributable to the Washington Works plant. (Mem. Supp. Mot. Summ. J. 2, 5.) But the record shows a question of material fact as to that issue. As an initial matter, there appears to be some consensus that PFOA has traveled via air emissions from the Washington Works plant into neighboring environments and water supplies. (See, e.g., Hill Aff. Ex. 9 at 28 (“Following considerable analyses, particulate deposition from facility air emissions to soil and the subsequent transfer of the chemical through the soil was determined to be the most likely source of PFOA that was detected in the groundwater.”); Ex. 20 at 39 (“The two most significant transport pathways for on-site PFOA sources to migrate to off-site environmental media are permitted air emissions and permitted wastewater discharges to the Ohio River.”).) DuPont has itself admitted that there is a question of fact as to whether PFOA emissions from the Washington Works plant have contributed to the PFOA found in the neighboring water supplies. (See, e.g., id. Ex. 1 ¶¶ 9-10 (admitting that emissions from the Washington Works plant “may have contributed to the levels of PFOA measured in Parkersburg finished water at some point in time” without admitting that “DuPont is the source of any and all PFOA in the Parkersburg finished water”); Ex. 2 ¶¶ 103, 109 (admitting that residents of Lubeck and Little Hocking that drink water from the public drinking water supply “are potentially exposed to air emissions of [PFOA] from DuPont’s Washington Works plant”).)
The plaintiffs have submitted more specific evidence with respect to the PWD. One dоcument presented by the plaintiffs is an August 2003 report prepared by a Groundwater Investigation Steering Team
The plaintiffs have also submitted a Data Assessment for the Washington Works plant. The Assessment, dated October 2, 2008, was prepared by DuPont as part of a Memorandum of Understanding that it entered into with the EPA. (Hill. Aff. Ex. 20.) The Assessment “allowed for the determination of the presence of PFOA in environmental media on and around the [Washington Works site and] for evaluation of potential transport pathways from the Site.” (Id. at x.) The Data Assessment reported that “[deposition of PFOA-eontaining air emissions is a primary PFOA transport pathway from th[e Washington Works plant] Site source to on- and off-site environmental media.” (Id. at 35.) Though such emissions have “historically migrated from the [plant] in all directions to some extent,” the Data Assessment indicates that “[t]he primary wind direction at the Site is from the southwest towards the northeast.” (Id. at 34-35.) Parkersburg lies northeast of the Washington Works plant. Based on this evidence, there is a question of fact as to whether DuPont’s actions at the Washington Works plant caused the presence of PFOA in the PWD water supply.
For the reasons discussed above, the plaintiffs have raised a question of material fact as to whether the PFOA in the PWD water and in their blood originated at the Washington Works plant. Assuming that a significantly increased risk of disease can qualify as an injury, the plaintiffs have also raised questions of material fact with respect to whether DuPont’s actions caused them to suffer such an increased risk.
2. The Plaintiffs Have Not Alleged Injury Sufficient to Support Their Free-Standing Negligence Claims.
To recover under a negligence theory, a plaintiff must show injury. In general, the injury can be either present injury or “reasonably certain” future injury.
Ellard v. Harvey,
The plaintiffs have asserted both private and public nuisance claims. In West Virginia, “nuisance is a flexible area of the law that is adaptable to a wide variety of factual situations.”
Sharon Steel Corp. v. City of Fairmont,
1. The Plaintiffs Have Not Raised a Question of Fact as to the Existence of a Private Nuisance.
A private nuisance is “a substantial and unreasonable interference with the private use and enjoyment of another’s land.”
Hendricks,
A private nuisance does not exist where water pollution affects only a municipal water supply. In order to effect a private nuisance, the contaminated water must reach the groundwater below the plaintiffs property or affect a direct supply of water on an individual’s property.
See Anderson v. W.R. Grace & Co.,
The conclusion in
Anderson
that the contamination of a municipal water supply is a public nuisance accords with West Virginia law. According to the Supreme Court of Appeals, a public nuisance “operates to hurt or inconvenience an indefinite number of persons.”
Hark,
When a municipal water company provides water to the general public, the right to clean water from that company is a right common to all customers and not the right of each individual recipient. See Restatement (Second) of Torts § 821B cmt. g (“A public right is one common to all members of the general public.”). In this case, the interference alleged by the plaintiffs is the contamination of the public water supply provided to all PWD customers. Accordingly, the alleged interference is an interference with a public right, and the plaintiffs have not made any showing of a private nuisance. DuPont’s motion for summary judgment with respect to the plaintiffs’ private nuisance claim is GRANTED.
2. The Plaintiffs Have Not Demonstrated a Special Injury.
DuPont contends that the plaintiffs lack standing to bring a public nuisance claim. (Mem. Supp. Mot. Summ. J. 2, 10.) Specifically, DuPont argues that the plaintiffs cannot show that they have suffered a special injury different in kind from the general public. The mere contamination of their water supply, DuPont asserts, absent “personal injury” or “physical harm” to property, does not qualify as a special injury. (Reply Mem. Opp’n Mot. Summ. J. 5 (quoting Restatement (Second) of Torts § 821C cmt. d).) Further, DuPont maintains that the relevant comparative population for demonstrating special injury is the population of PWD water consumers rather than “persons in areas not contaminated by PFOA.” (Mem. Supp. Mot. Summ. J. 11 (quoting Ex. 10, Interrog. # 13).) DuPont argues alternatively that the plaintiffs cannot demonstrate a special injury regardless of the comparative population because the blood serum of most people in the general population contain some concentration of PFOA and, allegedly according to the plaintiffs’ own experts, “a single molecule of PFOA results in contamination and significantly increased risk of disease.” (Id.) Accordingly, the plaintiffs cannot show that they suffer an injury different in kind from that experienced by the general population. (Id.)
The plaintiffs argue that they are not required to demonstrate a special injury because they are seeking class certification of their public nuisance claim. (Mem. Opp’n Mot. Summ. J. 11.) I disagree.
14
West Virginia law requires a plaintiff to
Accordingly, I must determine whether the plaintiffs have demonstrated a special injury different in kind and degree from that of the general public.
See In re Lead Paint Litig.,
The plaintiffs have not suffered a special injury different in degree and kind from the other PWD customers. The only injuries alleged by the plaintiffs as “special injuries” are the “PFOA contamination of their properties and bodies” and their “increased risk of disease.” (Mem. Opp’n Mot. Summ. J. 11.) These injuries, however, are not special injuries with which the plaintiffs have standing to bring a public nuisance claim. First, the alleged PFOA contamination alone, without any evidence of physical harm, is not an injury at all and certainly not one upon which the plaintiffs could base their public nuisance claim.
16
Second, though a significantly increased risk of disease
17
could perhaps qualify as a
The plaintiffs’ attempt to seek class certification of their public nuisance claim has undermined their ability to demonstrate standing for that claim. The plaintiffs allege that DuPont’s actions have caused “special injury to the Plaintiffs and other class members as residential water customers of the [PWD] for at least one year, including but not limited to, intrusion into Plaintiffs’ and other class members’ homes and bodies, rendering Plaintiffs’ and other class members’ water supply unfit for domestic purposes and human consumption, and placing Plaintiffs and other class members at an increased risk of developing serious latent diseases.” (2d Am. Class Action Compl. ¶ 128.) The putative class members include “all individuals who have consumed, for at least one year, drinking water supplied by the [PWD].”
(Id.
¶ 1.) In other words, the class is the same set of people as the' comparative population in the special injury analysis: the set of people exercising the public right to consume clean, safe water from the public water supply. Considering that the plaintiffs themselves have alleged that the entire class has suffered a significantly increased risk of disease, I cannot find that the plaintiffs have suffered a special injury.
Cf. Venuto v. Owens-Corning Fiberglas Corp.,
Admittedly, this result cuts against the Supreme Court of Appeals’s view that public nuisance actions should be available to address environmental harms such as the one at issue in the present action. In
Taylor v. Culloden Public Service District,
The Supreme Court of Appeals did not discuss whether the plaintiffs in Taylor had experienced a special injury. The court did, however, imply that it would look favorably on nuisance actions commenced to abate an environmental hazard:
In this Court’s opinion, this case aptly demonstrates the need for common law remedies in addition to the [West Virginia Water Pollution Control] Act, especially where it is arguable that the government agency charged with protecting the public’s interests may not be acting with sufficient alacrity to eradicate the alleged nuisance which may be presenting serious public health concerns or posing a potential environmental hazard ....
Nuisance law ... “has been particularly effective in addressing environmental problems.” ... Were it not for theavailability of nuisance actions as a remedy, it seems certain an inestimable number of business and private actions that have deleterious health and environmental results as a byproduct of their operations would have continued unabated.
Id. at 206 (citation omitted).
It is clear, however, that the plaintiffs in Taylor suffered an injury different in kind from the general public because the discharged pollutants damaged their private property. As a policy matter, the Supreme Court of Appeals certainly supports the use of public nuisance suits to address environmental harms, but Taylor did not alter the legal requirements of a public nuisance claim. Here, because the plaintiffs have not suffered a special injury different in kind from that of the public in general, DuPont’s motion for summary judgment is GRANTED with respect to the public nuisance claim.
C. Summary Judgment is Granted With Respect to the Plaintiffs’ Intentional Tort Claims.
The injuries the plaintiffs allege — the presence of PFOA in their bodies and drinking water and their significantly increased risk of disease justifying medical monitoring — do not effect the tangible interference with bodily integrity and property to sustain trespass and battery claims. Because the plaintiffs have not offered evidence of injuries remediable through trespass or battery causes of action, I GRANT DuPont’s motion for summary judgment with respect to those claims.
1. The Plaintiffs Cannot Sustain a Trespass Claim Because They Have Not Offered Evidence of an Interference with the Possession of Property.
A trespass is “an entry on another man’s ground without lawful authority, and doing some damage, however inconsiderable, to his real property.”
Hark v. Mountain Fork Lumber Co.,
[A]n invasion must constitute an interference with possession in order to be actionable as a trespass.... It is this requirement of interference with possession and, therefore, with use, of another’s property that separates the tort of trespass from the tort of private nuisance, and it is this requirement that justifies the notion that the invasion is actionable without physical harm to the land being caused.
Keeton et al., supra, § 13, at 70 (footnotes ommitted). Further, only tangible, rather than intangible, invasions were deеmed to constitute an actual interference with property. See id. at 71 (noting “the defendant’s act must result in an invasion of tangible matter”); id. at 71-72 (“There are a few ... decisions finding a trespass constituted by the entry of invisible gases and microscopic particles, but only if harm results. These are, in reality, examples of either the tort of private nuisance or liability for harm resulting from negligence.” (footnote omitted)); see also Dan B. Dobbs, The Law of Torts § 53, at 104 (2001) (“Anything less than a tangible entry, such as penetration of the land by smoke, noise, or light, might affect enjoyment, but it would not affect possession. If the defendant who caused air pollution was guilty of any tort at all, it was not the tort of trespass.”).
An increasing number of courts recognize trespass actions for intangible intrusion of particles so long as there is
The only West Virginia case on point indicates an adherence to the traditional rule requiring a trespass to involve an invasion of property by tangible objects. In
Bartlett v. Grasselli Chemical Co.,
the Supreme Court of Appeals held that the “chemical deposits upon [land] from fumes, gases, and dust emitted from the defendant’s furnaces and carried over the land by air currents, or spreading over it through the air,” does not effect a trespass but instead a private nuisance.
2. The Plaintiffs Have Not Shown Harmful Contact Supporting A Battery Claim.
The Supreme Court of Appeals has adopted the definition of battery from the Second Restatement of Torts:
“[A]n actor is subject to liability to another for battery if (a) he acts intending to cause a harmful or offensive contact with the person of the other or a third person, or an imminent apprehension of such a contact, and (b) a harmful contact with the person of the other directly or indirectly results.”
Funeral Servs. by Gregory, Inc. v. Bluefield Cmty. Hosp.,
In
McClenathan v. Rhone-Poulenc, Inc.,
McClenathan
stands for the proposition that “mere ... inhalation” of chemicals cannot support a battery claim, absent more of a showing of “harmful or offensive conduct.” The plaintiffs have made no such showing. They have presented no evidence that they have suffered any harmful or offensive contact. A harmful bodily contact is contact resulting in “any physical impairment of the condition of another’s body, or physical pain or illness.” Restatement (Second) of Torts § 15 (1965). The plaintiffs concede that they are not “currently suffering from any particular manifest illness or disease as a result of their PFOA exposure.” (Mem. Opp’n Mot. Summ. J. 9.) The plaintiffs’ experts testify in their reports that the plaintiffs have experienced an increased risk of different diseases as a result of their exposure to PFOA, but they do not assert that the plaintiffs have suffered any physical harm yet.
(See
Hill Aff. Ex. 27 at 29-30;
Id.
Ex. 28 at 37-49.) Absent any such demonstration that their contact with PFOA caused them harm, or that the PFOA present in their blood has altered the structure or function of some body part, the plaintiffs cannot sustain their battery claim based on the mere presence of PFOA in their blood.
(See
Mem. Opp’n Mot. Summ. J. 15.) With respect to offensiveness, the plaintiffs have failed to show how their exposure is dispositively more offensive than that of the
McClenathan
plaintiffs. Indeed, the exposure in
McClenathan
was arguably more offensive. In that case, a cloud of toxic substances was released as result of an accidental fire at a chemical plant.
See McClenathan,
For the reasons discussed in this section, DuPont’s Motion for Summary Judgment is GRANTED with respect to the plaintiffs’ trespass and battery claims.
D. The Plaintiffs’ Medical Monitoring Claim Survives.
The sixth count of the plaintiffs’ Second Amended Class Action Complaint asserts a claim for medical monitoring. In
Bower v.
(1) he or she has, relative to the general population, been significantly exposed; (2) to a proven hazardous substance; (3) through the tortious conduct of the defendant; (4) as a proximate result of the exposure, plaintiff has suffered an increased risk of contracting a serious latent disease; (5) the increased risk of disease makes it reasonably necessary for the plaintiff to undergo periodic diagnostic medical examinations different from what would be prescribed in the absence of exposure; and (6) monitoring procedures exist that make the early detection of a disease possible.
Id. at 432-33.
Courts first started to recognize medical monitoring claims in the mid-1980s, although the earliest cases “involved classic examples of traumatic impacts and physical injuries.” James A. Henderson, Jr. & Aaron D. Twerksi, Asbestos Litigation Gone Mad: Exposure-Based Recovery for Increased Risk, Mental Distress, and Medical Monitoring, 53 S.C. L.Rev. 815, 838 (2002). Gradually, courts expanded the theory to allow recovery “in the absence of traumatic impact or manifested physical injury.” Id. at 839.
This expansion slowed after 1997, when the Supreme Court, in a majority opinion written by Justice Breyer, expressed disapproval of medical monitoring damages.
See Metro-North Commuter R.R. Co. v. Buckley,
Following Buckley, “the trend toward recognition of medical monitoring claims for uninjured plaintiffs shifted.” Herbert L. Zarov et al., A Medical Monitoring Claim for Asymptomatic Plaintiffs: Should Illinois Take the Plunge? 12 DePaul J. Health Care L. 1, 7 (2009). Many states found the Supreme Court’s reasoning persuasive:
Since Buckley, the Supreme Courts of Alabama, Kentucky, Michigan, Mississippi, Nevada, and Oregon have all relied on the public policy considerations discussed in Justice Breyer’s opinion in rejecting medical monitoring claims for asymptomatic plaintiffs. Several states’ lower courts and federal courts predicting state law have relied on similar pub-lie policy considerations in rejecting medical monitoring claims. Taken together, these cases show that Buckley ushered in a “recent trend of rejecting medical monitoring” for asymptomatic plaintiffs.
Id. at 9 (footnotes omitted).
As indicated above, Michigan recently rejected medical monitoring awards absent a physical injury.
Henry v. Dow Chem. Co.,
The requirement of a present physical injury to person or prоperty serves a number of important ends for the legal system. First, such a requirement defines more clearly who actually possesses a cause of action. In allowing recovery only to those who have actually suffered a present physical injury, the fact-finder need not engage in speculations about the extent to which a plaintiff possesses a cognizable legal claim. See Prosser & Keeton, Torts (5th ed.), § 30, p. 165. Second, such a requirement reduces the risks of fraud, by setting a clear minimum threshold— a present physical injury — before a plaintiff can proceed on a claim.... In particular, the fact-finder need not be left wondering whether a plaintiff has in fact been harmed in some way, when nothing but a plaintiffs own allegations support his cause of action.
Finally, and perhaps most significantly, the requirement of a present physical injury avoids compromising the judicial power____ In the absence of such a requirement, it will be inevitable that judges, as in the instant case, will be required to answer questions that are more appropriate for a legislative than a judicial body[.]
Id. at 690-91. The Michigan court concluded that the plaintiffs could not recover damages that are “wholly derivative of a possible, future injury rather than an actual, present injury.” Id. at 691. The Michigan court criticized the Supreme Court of Appeals for taking the opposite approach in Bower, noting that Bower “create[d] a potentially limitless pool of plaintiffs.” Id. at 694.
The Michigan Supreme Court is not alone in its criticism of Bower. Academic commentators have also questioned its soundness. See, e.g., Mark A. Behrens & Christopher E. Appel, Medical Monitoring in Missouri After Meyer ex rel. Coplin v. Fluor Corp.: Sound Policy Should be Restored to a Vague and Unsound Direсtive, 27 St. Louis U. Pub. L. Rev. 135, 152-53 (2007); Henderson & Twerski, supra, at 842-43 (criticizing Bower for assuming that “courts are equipped to resolve the issues” raised by medical monitoring claims; noting “the possibility of significant overdeterrence”; and questioning “why justice is necessarily served by allowing, through the back door, recoveries that courts will not allow in through the front”).
I am bound to apply West Virginia substantive law in this diversity case.
See Erie R.R. Co. v. Tompkins,
The plaintiffs respond that they have provided such evidence through the expert opinion of Dr. Barry S. Levy. In his expert report, Dr. Levy concluded that the plaintiffs have a significantly increased risk of disease as a result of their exposure to the PWD’s PFOA-contaminated water supply and that the increased risk warrants medical monitoring. (Hill. Aff. Ex. 28 at 37-42.) Dr. Levy further explained that medical testing is available thаt could detect at an “early treatable stage” the diseases for which the plaintiffs are at risk. (Id. at 43.) Dr. Levy’s report raises a question of material fact as to whether medical monitoring is reasonably necessary for the plaintiffs as a result of their exposure to PFOA in the PWD water supply and whether such monitoring tests are available.
DuPont does not explicitly challenge the “tortious conduct” element of the medical monitoring cause of action. That element requires that the “underlying liability must be established based upon a recognized tort.”
Bower,
Bower
discusses its requirements for a showing of “injury” with respect to its newly announcеd “cause of action for future medical monitoring costs,” and does not explicitly change the traditional requirements for other tort claims.
Id.
at 434. But
Bower
also requires that the “defendant be[ ] legally responsible for exposing the plaintiff to a particular hazardous substance” and that “[l]egal responsibility is established through
application of existing theories of tort liability.” Id.
at 433 (emphasis added). The Supreme Court of Appeals does not explain how courts should rule when the plaintiffs’ only injury cannot support an existing theory of
The
Bower
court, however, seems to intend that the relaxed injury requirement of medical monitoring claims apply also to the underlying tort.
Bower
frames its requirement for an pre-existing tort as “tortious
conduct.” Id.
at 433 (emphasis added). Thus, the emphasis is on whether the defendant has breached a duty that could cause
harm
— not on whether the conduct actually results in present or “reasonably certain” future harm.
See id.
at 430 (quoting
Friends for All Children,
In other words, the
Bower
court must have meant that all elements of an existing theory of tort liability,
except for
the injury requirement, must be met for medical monitoring liability to arise. To determine whether a compensable injury exists for medical monitoring purposes, courts need to look for the new species of injury developed in
Bower.
Language in the state court opinions suggests this approach. For example,
State ex rel. Martinsburg v. Sanders,
Thus, for purposes of establishing independent tortious conduct to support the plaintiffs’ medical monitoring claim, the plaintiffs have set forth sufficient evidence of at least negligence. DuPont had a duty to avoid unreasonable harm; the plaintiffs’ pleadings sufficiently allege a breach of that duty; and, as discussed above, I find the evidence of causation sufficient to withstand summary judgment. The plaintiffs cannot recover under their negligence cause of action because they have shown no compensable injury. But the plaintiffs’ negligence claims survive to the extent that they may support their medical monitoring claim.
Because the plaintiffs have raised questions of material fact with respect to each element of their medical monitoring claims, DuPont’s motion for summary judgment with respect this claim is DENIED.
VI. Conclusion
For the reasons discussed above, DuPont’s Motion for Summary Judgment Based Upon Statute of Limitations [Docket 279] is DENIED. DuPont’s Motion for Summary Judgment [Docket 335] is DENIED in part and GRANTED in part. The Motion for Summary Judgment is DENIED with respect to the plaintiffs’ Medical Monitoring (Sixth Count) claim.
The court DIRECTS the Clerk to send a copy of this Order to counsel of record and any unrepresented party. The court further DIRECTS the Clerk to post a copy of this published opinion on the court’s website, www.wvsd.uscourts.gov.
Notes
. The chemical is also known as FC-143, DFS-1, and DFS-2. (2d Am. Class Action Compl. 111.) For simplicity, this Order refers to this chemical as PFOA.
. On March 24, 2009, the plaintiffs filed a motion seeking certification of all the non-medical monitoring claims in their Second Amended Class Action Complaint, except for battery. (Mem. Supp. Mot. Leave File Mot. Certification 2 n. 2 [Docket 276].) I denied that motion for all claims except for the public nuisance claim [Docket 346].
. In their various submissions, the plaintiffs sometimes characterize their alleged injuries differently. For example, the plaintiffs argue that they "are seeking damages for ... contamination” and for "the presence of PFOA in their tap water affecting the use and enjoyment of their property.” (Mem. Opp’n Mot. Summ. J. 9.) As will be explained later in this Order, the plaintiffs cannot rely on such purported injuries to support their claims for relief, as they do not meet the legal requirements for an injury. Thus, for determining whether the plaintiffs have pled an injury sufficient for standing purposes, I focus on their alleged significantly increased risk of disease that justifies medical monitoring,
. Admittedly, the plaintiffs in
Friends of the Earth,
unlike the instant plaintiffs, sued a corporation for violating a federal statute—
. Having concluded that the plaintiffs have sufficiently alleged an injury-in-fact, I must also consider whether there is causation and redressability. The "fairly traceable” standard of causation for standing inquiries is less stringent than the standard of tort causation.
See, e.g., Friends for Ferrell Parkway, LLC v. Stasko,
. DuPont is incorrect that
Patrick
applied only the discovery rule in analyzing the statute of limitations question in that case. (Reply Mem. Opp’n Mot. Summ. J. 13.) In
Patrick
the court held that it could not grant summary judgment based on the discovery rule because there were questions of fact as to when the plaintiffs knew of their injuries.
Patrick, 549
F.Supp. at 1264. But the court also denied summary judgment based on the continuing-tort doctrine. Without explicitly naming the continuing-tort doctrine, the court held that "[w]here a tort involves a continuing or repeated injury, the cause of action accrues at, and limitations begin to run from the date of the last injury, or when the tortious overt acts cease.”
Id.
(quoting
Handley
v.
Town of Shinnston,
. Furthermore, neither
State ex rel. Smith v. Kermit Lumber & Pressure Treating Co.,
. Notwithstanding the application of the continuing-tort doctrine, there exist genuine issues of material fact as to when the plaintiffs knew, or should have known, of these injuries.
. Though this article implements the ratio of microgram per liter, one microgram per liter is equivalent to one part per billion.
. All subsequent references in this Order to "Hill Aff.” are to the June 26, 2009 affidavit.
. I also note that PHA values “are developed to provide information in response to an urgent or rapidly developing situation.” (Mot. Summ. J. Ex. 3 at 1 n. 1 (emphasis added).)
. NJDEP, Perfluorooctanoic Acid (PFOA) in Drinking Water, http://www.state.nj.us/dep/ watersupply/pfoa.htm (last visited September 18, 2009).
. As will be discussed later in this Order, the plaintiffs have sufficiently established the elements of "tortious conduct” to support their medical monitoring claim. Therefore, to the extent that the plaintiffs’ negligence claims
. Though the Second Restatement of Torts suggests that a class representative may have standing to bring a public nuisance action even without a special injury,
see
Restatement (Second) of Torts § 821C(2)(c), I am not persuaded that the suggestion applies to the instant matter. The Restatement adopted its new rule based on the development of "[s]tatutes allowing citizens' actions or authorizing an individual to represent the public, and
.The broadest possible comparative population would be all persons whose right to clean public drinking water has been infringed by DuPont's release of PFOA from the Washington Works plant. But as demonstrated below, my analysis with respect to the plaintiffs' special injury would be the same whether I considered the narrow comparative population consisting only of PWD customers or the more expansive comparative population consisting of all persons whose municipal drinking water may contain PFOA emitted from DuPont's Washington Works plant. In neither case have the plaintiffs made a sufficient showing of a special injury.
. Though the private nature of personal injuries and private property damage qualify such injuries as "special injuries,” the plaintiffs have not demonstrated either personal injury or private property damage in this matter. See Keeton et al., supra, § 90, at 648 ("Where the plaintiff suffers personal injury, or harm to his health ... there is no difficulty in finding a different kind of damage.” (footnote omitted)).
. I acknowledge that I found this alleged risk sufficient to sustain the plaintiffs' negligence claims for purposes of bringing the medical monitoring claim. But without a special injury, the plaintiffs lack not just the traditional requisite injury, but also standing to bring the public nuisance cause of action. Moreover, as discussed later in this Order, I do not specifically rule on whether all of the plaintiffs’ common law claims could support their medical monitoring claim, relying in
. The plaintiffs based their trespass claim not only on the entry of PFOA onto their real property, but also the entry of PFOA into their bodies. (2d Am. Class Action Compl. ¶¶ 104-109.) The plaintiffs specifically argue that blood can constitute “property” and presumably be the subject of a trespass action. (Mem. Opp'n Mot. Summ. J. 17 n. 24.) This assertion demonstrates the plaintiffs’ fundamental misunderstanding of the tort of trespass. Trespass definitionally involves an interference with the possession of real or personal property. The plaintiffs have offered no case law, and I am aware of none, in which a court has held that the infusion of a chemical into a person’s blood may qualify as a trespass. Such violations of a person’s body fall more properly within the scope of personal injury torts such as battery. The plaintiffs may not evade the requirements of battery or other torts involving bodily injury by reframing the invasion of their bodies as an invasion of property.
. I focus on the plaintiffs' negligence claims. The plaintiffs need only one "recognized tort” to support their medical monitoring claim; accordingly, I need not decide now whether the plaintiffs' other tort claims could also fulfill this role. I find only that the plaintiffs have sufficiently alleged negligent conduct for the purposes of supporting their medical monitoring claim.
