*222 Opinion
The claims of appellants Hector Rivas, his wife, Macrina, and Hector Montiel against the manufacturers and suppliers of various allegedly toxic chemicals and compounds were dismissed on statute of limitations grounds. The trial court ruled that appellants had sufficient knowledge of injury and wrongdoing for purposes of accrual of the statute of limitations more than one year prior to the dates their complaints were filed, and that all their claims, including a claim for fraudulent concealment based on failure to warn of a product defect, were subject to the one-year statute of limitations for personal injury rather than the three-year statute of limitations for fraud. Appellants contend these rulings were error. They also present the issue of whether federal law governing release of hazardous substances preempts California’s statute of limitations. We conclude that the trial court did not err in granting summary judgment and that California’s statute of limitations is not preempted. We, therefore, affirm.
Factual and Procedural Background
The Rivas and Montiel Complaints
On April 3, 1998, appellant Rivas and his wife, Macrina, filed a complaint for negligence, strict liability (failure to warn, design defect, and manufacturing defect), fraudulent concealment, breach of warranty, battery, and loss of consortium. Rivas claimed to have suffered severe damage to his kidneys, leading to a kidney transplant, as a result of exposure to toxic chemicals during his employment with Lakenor Auto & Truck Salvage Company. The defendants were respondents Safety-Kleen Corporation, Chevron U.S.A., Inc., and Union Oil Company of California. Respondents Calsol, Inc., Petro Source Refining Corporation, and Kern Oil and Refining Co. were subsequently added in place of Doe defendants. The complaint acknowledged that Rivas was diagnosed with kidney disease in 1991, but, to justify tolling the statute of limitations, alleged that he was “ignorant of the toxic cause of his [disease] until March 23, 1998.”
Appellant Montiel filed a complaint for strict product liability, negligence, and breach of express and implied warranties on April 29, 1997, and subsequently filed a first amended complaint that contained the same causes of action as the Rivas complaint. Factually, the Montiel complaint alleged that between January 1993 and January 1996, Montiel worked for Automotive Rebuild Exchange, Inc., and performed duties which included the continual use of cleaning solvents. The complaint contended that Montiel “became aware of the connection between his disease and his exposure to *223 the defective products within one year of filing [the] Complaint.” The first amended complaint alleged that Montiel was diagnosed with kidney failure in January 1996, but that “it was not until July of 1996 that [his] physician causally related his kidney failure to his occupational exposure to solvents.” The same parties were named defendants as in the Rivas complaint. As of the time of filing the complaint, Montiel was awaiting a transplant. 1
The Rivas Motion for Summary Judgment
Respondents moved for summary judgment in the Rivas action on statute of limitations grounds. Certain facts were not disputed. Rivas worked for Lakenor from 1973 to 1991. 2 One of his daily tasks was to degrease automobile parts using a Safety-Kleen parts washer machine and SafetyKleen 105 Solvent.
In March 1991, Rivas visited a physician, Dr. Arthur Howard, because he was not feeling well. Dr. Howard diagnosed Rivas with kidney failure and asked him about chemicals he used at work. Rivas told his doctor about his use of the Safety-Kleen solvent and provided a list of chemicals copied from the Safety-Kleen container. Dr. Howard told Rivas to stay away from the solvent. Rivas immediately complied. Rivas was referred to two kidney specialists who diagnosed him with renal disease, “etiology undetermined.” Over the next several years, Rivas’s kidney condition deteriorated as he sought various forms of treatment including two years of dialysis. In November 1995, he received a kidney transplant.
In March or April 1996, Macrina heard from her son that Rivas might be entitled to workers’ compensation if his kidney problems had been caused by harmful solvents at work. She informed Rivas. In September, Rivas consulted a workers’ compensation attorney to investigate the possibility that the solvent he used at Lakenor caused his kidney damage. Later that month, the attorney filed an application with the Workers’ Compensation Appeals Board on Rivas’s behalf in which Rivas sought recovery for injury to his kidneys as a result of “repetitive exposure to toxic fumes, gases and liquids.”
In December 1996, Rivas went to see Dr. Jay Prakash, who had been hired by Lakenor’s insurer. He provided Dr. Prakash with the same list of chemicals that he had taken from the Safety-Kleen container in 1991. The Rivases filed their complaint on April 3, 1998.
*224 Montiel Motion for Summary Judgment
Respondents also sought summary judgment in the Montiel matter on statute of limitations grounds. They established without dispute that Montiel worked at Automotive Rebuild Exchange from approximately January 1993 to January 1996. His regular tasks included washing automotive parts using a machine and solvent supplied by Safety-Kleen. Montiel sought medical treatment at a hospital in Mexico in January 1996. The doctors there told him that he had kidney failure caused by the solvent he used at work. Shortly thereafter, Montiel began undergoing dialysis. In April 1996, Montiel retained an attorney to represent him in filing a workers’ compensation claim. His claim form, filed April 26, 1996, indicated that he had incurred “internal injuries including but not limited to kidneys, head (headaches).” Montiel saw a physician in connection with his workers’ compensation claim and told the physician that the doctors in Mexico had related his kidney problems to solvents used at work. Montiel’s complaint was not filed until April 29, 1997.
Trial Court’s Ruling on Motions
The trial court granted summary judgment on statute of limitations grounds on both the Rivas and Montiel complaints. The court ruled that all of the claims were governed by the one-year statute of limitations and found that each claimant filed his complaint “more than one year after his first actual or constructive suspicion that the solvents he used at work had caused the injuries claimed . . . and that such injuries were the result of someone’s wrongdoing.” These appeals followed. 3
Discussion
I
California’s statute of limitations for claims of personal injury is one year from the date of accrual. (Code Civ. Proc., § 340, subd. (3).) Under the common law, “an action accrues on the date of injury . . . .”
(Jolly v. Eli Lilly & Co.
(1988)
In
Jolly,
the plaintiff, who had suffered from cancer, knew that her mother had taken the synthetic drug estrogen, diethylstilbestrol (DES) and, beginning in 1972, suspected it was a defective product. She delayed legal action because she did not know the identity of the manufacturer of the DES ingested by her mother. In 1980, the Supreme Court decided
Sindell v. Abbott Laboratories
(1980)
The Supreme Court disagreed with the Court of Appeal and disapproved
Kensinger.
It rejected the notion that the statute should be tolled where the claimant suffers injury, is aware of its origin, and suspects wrongdoing, but lacks knowledge of specific facts establishing misconduct, such as “ ‘failure to test’ ” or “ ‘failure to warn.’ ”
(Jolly
v.
Eli Lilly & Co., supra,
The Supreme Court went on to explain why Jolly’s claim was not revived by its decision in
Sindell,
which admittedly “bridged the causal gap between DES manufacturers as a group and [Jolly’s] injury.”
(Jolly v. Eli Lilly & Co., supra,
II
With this in mind, we turn to the issues in the present case. Appellant Rivas contends that the trial court erred in ruling that his product liability claims were barred by the California statute of limitations. 5 As we have seen, Rivas was diagnosed with a malfunctioning kidney in 1991, provided his doctor with a list of chemicals he worked with, and was told to stay away from the Safety-Kleen solvent. He did not file a civil lawsuit until April 1998, although he had submitted a workers’ compensation claim in September 1996 attributing his disease to exposure to toxic fumes, gases, and liquids at work.
To support his contention that the statute of limitations did not accrue in 1991 when his doctor diagnosed the kidney malfunction and told him not to work with the Safety-Kleen solvent or in 1996 when he filed the workers’ compensation claim, appellant relies on a Court of Appeal decision which preceded
Jolly—Pereira v. Dow Chemical Co.
(1982)
The court cited two earlier decisions,
G. D. Searle & Co.
v.
Superior Court
(1975)
The Pereira court’s reliance on these authorities indicates that it considered the primary issue before it to be one of delayed discovery of serious injury. Like the claimant in Velasquez, the worker in Pereira manifested relatively minor physical problems at the time of the diagnosis. He may not *228 have known for some time that he was suffering from a severe and progressive disorder, which was likely to cause serious debility in the future.
In its analysis, however, the court discussed not only the lack of perceptible serious trauma after the initial spill, but also the fact that the “plaintiffs [the injured worker and his wife] did not see any medical records until November 1975”; “[n]o medical person told them that the kidney problem was caused by the spill”; and “[a] specialist. . . told [the worker] to return to work but to avoid intimate contact with the chemicals temporarily.”
(Pereira v. Dow Chemical Co., supra,
Rivas seeks to construct from this language a rule precluding accrual of the statute of limitations until the injured party has been explicitly informed by his doctors that a certain substance or product caused the medical disorder or has had an opportunity to personally review medical records specifying the cause of the disorder. To the extent
Pereira
supports Rivas’s belief that accrual of the statute of limitations is delayed until the claimant has knowledge of specific facts establishing causation, it has been superseded by
Jolly.
As we have discussed, the Supreme Court specifically rejected the proposition that “the statutory clock did not begin to tick until the plaintiff knew or reasonably should have known of the facts constituting wrongful conduct, as well as the fact of her injury and its relation to [the product],” in favor of the rule that the statute of limitations begins to run when the claimant “suspects or should suspect” that his or her injury was “caused by [someone’s] wrongdoing . . . .”
(Jolly v. Eli Lilly & Co., supra,
Here, Rivas was informed by his physicians in 1991 that he was suffering from a serious and debilitating condition. He was asked to provide a list of all the chemicals he came in contact with and told in no uncertain terms to keep away from the solvent he was using at work. This alone should have been sufficient to arouse a reasonable person’s suspicion and lead to further investigation. However, even were we to deem the doctor’s statements ambiguous as Rivas urges due to the fact that the kidney specialists to whom
*229
he was referred said the etiology of his disease was “undetermined,” the fact that he filed a workers’ compensation claim in September 1996 based on exposure to toxic chemicals at work is definitive proof that he had a suspicion that “someone ha[d] done something wrong to [him]” long before his civil complaint was filed in April 1998.
(Jolly v. Eli Lilly & Co., supra,
m
Appellants contend that their separate causes of action for fraudulent concealment were subject to the three-year statute of limitations for fraud (Code Civ. Proc., § 338, subd. (d)) rather than the one-year statute of limitations for personal injury. The causes of action for “fraudulent concealment” alleged that respondents were under a legal duty to disclose the toxic nature of their product and the risk of exposure to their products by labeling, and that they failed to do so.
“In ruling upon the applicability of a statute of limitations, it has been recognized that courts will look to the nature of the rights sued upon rather than to the form of action or to the relief demanded. Neither the caption, form, nor prayer of the complaint will conclusively determine the nature of the liability from which the cause of action flows. Instead, the true nature of the action will be ascertained from the basic facts . . . .”
(H. Russell Taylor’s Fire Prevention Service, Inc.
v.
Coca Cola Bottling Corp.
(1979)
The essence of appellants’ claims is that they were injured by a defective product. Product liability may arise from a manufacturing defect, a defective design, or failure to warn. (6 Witkin, Summary of Cal. Law (2001 supp.) Torts, § 1247, pp. 474-475.) Although appellants’ complaints purport to assert separate and distinct causes of action for “failure to warn” and “fraudulent concealment,” the essence of both claims is that respondents’ products were defective “because they lacked warnings adequate to inform [appellants] of their toxic hazards and serious effects upon the human body, and because they lacked instructions for handling and use adequate to prevent exposures to [appellants] causing serious injury.”
The one-year statute of limitations has been applied to an action for breach of contract or breach of warranty where the alleged breach led to personal injury in cases such as
Rubino
v.
Utah Canning Co.
(1954)
Appellants point to the contrary decision in
Snow v. A. H. Robins Co.
(1985)
IV
Appellants contend that California’s statute of limitations is preempted by federal law, specifically section 9658 of title 42 United States Code (section 9658), part of the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 (CERCLA) added by the Superfund Amendments and Reauthorization Act of 1986 (SARA). Appellants maintain that under this provision the statute of limitations does not accrue until the claimant becomes aware of or identifies not just the injury-causing product, but the specific hazardous substance or chemical compound within the product which led to the injury.
Respondents counter with the arguments that (1) section 9658 does not apply to toxic exposure in the workplace and (2) even if it did, accrual of the statute of limitations is the same under CERCLA as under California law and is not tolled while the claimant seeks the precise scientific identity of the chemical compound that harmed him.
There is no dispute that if section 9658 applies to the situation and if accrual under California law occurs sooner than under its provisions, California law would be preempted. Section 9658 expressly provides: “In the case of any action brought under State law for personal injury, or property damages, which are caused or contributed to by exposure to any hazardous substance, or pollutant or contaminant, released into the environment from a facility, if the applicable limitations period for such action (as specified in the State statute of limitations or under common law) provides a commencement date which is earlier than the federally required commencement date, such period shall commence at the federally required commencement date in lieu of the date specified in such State statute.” 7
The statute, by its terms, applies only where the harmful substances to which claimants were exposed were “released” into the “environment” from *232 a “facility.” Section 9658 further states that “[t]he terms used in this section shall have the same meaning as when used in" subchapter I of this chapter.” (§ 9658(b)(1).) These terms are all the subject of statutory definitions found in section 9601 of title 42 United States Code (located in subch. I) and were part of CERCLA since its original enactment in 1980. (See Pub.L. No. 96-510, tit. I, § 101(8), (9) & (22) (Dec. 11, 1980) 94 Stat. 2767.) “The term ‘release’ means any spilling, leaking, pumping, pouring, emitting, emptying, discharging, injecting, escaping, leaching, dumping, or disposing into the environment (including the abandonment or discarding of barrels, containers, and other closed receptacles containing any hazardous substance or pollutant or contaminant) . . . .” (42 U.S.C. § 9601(22).)
“The term ‘environment’ means (A) the navigable waters, the waters of the contiguous zone, and the ocean water of which the natural resources are under the exclusive management authority of the United States . . . , and (B) any other surface water, ground water, drinking water supply, land surface or subsurface strata, or ambient air within the United States or under the jurisdiction of the United States.” (42 U.S.C. § 9601(8).)
“The term ‘facility’ means (A) any building, structure, installation, equipment, pipe or pipeline (including any pipe into a sewer or publicly owned treatment works), well, pit, pond, lagoon, impoundment, ditch, landfill, storage container, motor vehicle, rolling stock, or aircraft, or (B) any site or area where a hazardous substance has been deposited, stored, disposed of, or placed, or otherwise come to be located; but does not include any consumer product in consumer use or any vessel.” (42 U.S.C. § 9601(9).)
The statutory definition of “release” contains an express exclusion for “any release which results in exposure to persons solely within a workplace, with respect to a claim which such persons may assert against the employer of such persons . . . .” (42 U.S.C. § 9601(22)(A).) Both sides focus on this language in their briefs. Respondents stress the language in the first part of the exclusion and contend that since the alleged exposure occurred “solely within [the] workplace,” no release occurred for purposes of CERCLA or section 9658. Appellants interpret the exclusion differently, believing that the phrase “with respect to a claim which such persons may assert against the employer of such persons” is evidence that “Congress considered whether occupational exposures constitute ‘releases’ within the meaning of CERCLA, and determined that they do, except as such might permit exposed workers to assert tort liability claims against their employers” and that “Congress determined that the occupational exposures do indeed constitute *233 ‘releases’ for the purpose of asserting toxic tort claims against third party manufacturers . . . .”
We disagree with appellants’ interpretation. Congress could not have had in mind the needs of workers asserting toxic tort claims against third party manufacturers in 1980 when the relevant definitional provisions of CERCLA were drafted. To appreciate why, one need only review briefly CERCLA’s original purpose and effect. Congress enacted CERCLA to “initiate and establish a comprehensive response and financing mechanism to abate and control the vast problems associated with abandoned and inactive hazardous waste disposal sites.” (H.R. No. 96-1016, 96th Cong., 2d Sess., pt. 1, p. 22 (1980), reprinted in 1980 U.S. Code Cong. & Admin. News, at pp. 6119, 6125; see also
3550 Stevens Creek Assoc, v. Barclays Bank
(9th Cir. 1990)
To establish a claim for cost recovery under CERCLA, a claimant must prove not only that the site in question was a “facility” and that a “release” or threatened release of a hazardous substance occurred, but must also show that the defendant falls within a category of “liable parties” as set forth in title 42 United States Code section 9607(a) and that the release or threatened release caused the claimant to incur “necessary costs of response.”
(ABB Industrial Systems
v.
Prime Technology, Inc.
(2d Cir. 1997)
It is clear that CERCLA was and is primarily concerned with improper disposal and dumping of hazardous materials by end users and those with whom they contract. Entities that manufacture and distribute useful but potentially toxic products were not part of the problem Congress set out to solve in 1980 when CERCLA and the definitional provisions it contains were enacted. Nor was Congress concerned at that time with individual attempts to recover for personal injury. Since that is the case, appellants’ contention that Congress intended by its choice of language in title 42 United States Code section 9601(22)(A) to give exposed workers an opportunity to “assert[] toxic tort claims against third party manufacturers” makes no sense. Congress could not have defined “release” with an eye toward permitting employees who suffer personal injury from occupational exposure to chemicals to pursue claims against manufacturers and distributors when those entities were not intended to play a part in the original CERCLA statutory scheme, and personal injury claims were not addressed in the original statute.
We are equally unsatisfied, however, with respondents’ suggestion that the language in section 9601(22)(A) is clear evidence that Congress intended to exclude exposure in the workplace from the reach of CERCLA and section 9658. As discussed in
Covalt v. Carey Canada Inc.
(7th Cir. 1988)
Analyzing the question of whether exposure to asbestos on the job constitutes a release into the “environment,” the court stated: “It is lexically possible to treat the ‘environment’ as everything pertaining to the planet Earth, so that the instant a container of asbestos is opened it is released ‘into [the local portion of] the environment’. Such a global treatment erases ‘released into the environment’ as a limitation, however, by ensuring that it is always satisfied. No substance, except perhaps an injected drug, harms anyone unless it was at least for an instant in an ‘environment’. A reading of this sort trivializes statutory language. The text makes more sense if read to refer to more widespread releases that affect strangers: asbestos wafting out of Proko’s plant and contaminating a nearby meadow, or shaken loose from insulation Proko installed in a school; asbestos left behind as a contaminant when Proko closes its plant; fluids leaching into the water supply from a plant, and so on. [H Doubtless some of the language in the United States Code is meaningless. No institution can fill 20 linear feet of shelving with tiny type and commit no redundancies. Yet it is hard to believe that ‘released into the environment’ is an empty phrase. The focus and structure of CERCLA itself show that it has force. Asbestos encountered at work is not a toxic waste, and the Superfund Act is about inactive hazardous waste sites.” (Covalt v. Carey Canada Inc., supra, 860 F.2d at pp. 1436-1437.) Nor did the court believe the 1986 amendments changed the meaning of the term: “SARA, the source of the text under consideration, does not change the focus or structure of CERCLA. . . . Nothing in either the 1986 Amendments or their legislative history hints that EPA [the agency empowered to investigate sites it believes are contaminated with hazardous waste and establish a Superfund for cleaning them up] is to muscle in on the territory of the Department of Labor, which administers programs dealing with workplace safety.” (Id. at p. 1437.)
The court in
Covalt
was heavily influenced by the study conducted under the authority of title 42 United States Code section 9651(e), which investigated the adequacy of existing common law and statutory remedies in
*236
providing legal redress for injury caused by the release of hazardous substances and preceded the SARA amendments. The study had stated: “ ‘Instances when hazardous substances may be released in other than waste form—i.e., the application of pesticides regulated under the Federal Insecticide, Fungicide and Rodenticide Act (FTFRA)—are expressly exempted from the enforcement provisions of the [Superfund] Act. Thus, the emphasis of this report, similar to the emphasis of CERCLA, is on remedying the adverse consequences of improper disposal, improper transportation, spills, and improperly maintained or closed disposal sites.’ ”
(Covalt v. Carey Canada Inc., supra,
Given this legislative history, the court in
Covalt
was not persuaded by the argument that “applying [section 9658] to substances encountered at work as part of ongoing operations would have deterrent and compensatory effects.”
(Covalt v. Carey Canada Inc., supra,
We agree with the Seventh Circuit’s analysis. Clearly, Congress intended section 9658 to have impact beyond actions for recovery of expenses incurred in cleaning up toxic waste sites. It applies by its terms to individual lawsuits for “personal injury, or property damages,” not just “necessary costs of response,” (ibid.) and can be invoked regardless of whether the defendants meet the statutory definition of “liable party” under title 42 United States Code section 9607(a). Equally obvious, however, is the fact that section 9658 was never meant to extend to all state court lawsuits for personal injury and property damage arising from exposure to toxic substances. By retaining the requirements that the exposure result from “release” into the “environment” from a “facility” as those terms are used for purposes of a CERCLA cost recovery action, Congress expressed its intent to limit the statute’s scope.
We find further support for our position in the decisions of the other federal courts which have agreed with the Seventh Circuit that an exposure limited to a few persons inside an enclosed space is not covered by either section 9658 or CERCLA in general. In
Knox v. AC & S, Inc.
(S.D.Ind. 1988)
Knox
was followed in
Electric Power Bd. of Chattanooga v. Westinghouse
(E.D.Tenn. 1988)
The court in
Electric Power Bd.
was also persuaded of section 9658’s inapplicability by another exclusion contained in one of the key definitional provisions. The definition of “facility” excludes “any consumer product in consumer use . . . .” (42 U.S.C. § 9601(9).) The court believed that “the . . . transformers containing . . . dielectric fluid are consumer products in consumer use. The transformers were not, therefore, ‘facilities.’ ”
(Electric Power Bd. of Chattanooga
v.
Westinghouse, supra,
The Ninth Circuit Court of Appeals rejected
Electric Power Bd.’s
interpretation of “facility” in
3550 Stevens Creek Assoc.
v.
Barclays Bank, supra,
*238
The court agreed, however, with the interpretation of environment advocated by the Seventh Circuit in
Covalt:
“[T]here is no basis for inferring an intention by Congress to create a private cause of action under CERCLA for recovery of the cost of removing asbestos building materials from a structure when no release of hazardous substances outside the structure is alleged.”
(Blech, supra,
In the cases which appellants cite in support of a contrary interpretation of release into the
environment—State of Vt. v. Staco, Inc.
(D.Vt. 1988)
Finally,
Tragarz
v.
Keene Corp.
(7th Cir. 1992)
Based on the weight of authority and the persuasiveness of the Seventh Circuit’s analysis in Covalt, we hold that section 9658 does not apply in the present situation. 11
V
In a supplemental brief, appellants contend that determination of the date the statute of limitations accrued under California law must be reconsidered in light of the Supreme Court’s 1999 decision in
Bockrath v. Aldrich Chemical Co.
(1999)
*241
The plaintiff’s complaint, which was “poorly drafted” and “internally inconsistent,” appeared to be “attempting to allege” that “defendants’ products cause cancer, he was exposed to them, and they migrated to his internal organs and caused his multiple myeloma.”
(Bockrath v. Aldrich Chemical Co., supra,
Because the court in
Bockrath
was primarily concerned with plaintiffs who lack any real notion of the identity of the product which was a substantial factor in causing their injury, the discussion appears to be of limited applicability to a situation such as the present one where the plaintiffs have focused their suspicions on a single product and a handful of manufacturers. Appellants contend that it stands for the proposition that “one of the necessary elements of a cause of action alleging occupational disease is plaintiff’s awareness that his injury was caused by a specific ‘toxin’ (distinct from a chemical product),” and that the statute of limitations does not accrue until the toxin is identified. We do not see how that conclusion can be drawn from the court’s language. The court stated that the plaintiff must identify “each
product
that allegedly caused the injury” and that “[z]i
is insufficient to allege that the toxins in defendants’ products caused it.” (Bockrath v. Aldrich Chemical Co., supra,
Disposition
The judgments are affirmed.
Vogel (C. S.), P. J., and Epstein, L, concurred.
A petition for a rehearing was denied May 28, 2002, and the petition of appellant Hector Rivas for review by the Supreme Court was denied August 14, 2002.
Notes
Montiel received a kidney transplant in the summer of 1998.
In what appears to be a typographical error, the statement of undisputed facts actually says from “1971 to 1993.”
The Rivas and Montiel lawsuits were designated related cases by the trial court and for purposes of appeal.
The Supreme Court also stated in
Norgart
that “the affirmative defense based on the statute of limitations should not be characterized by courts as either ‘favored’ or ‘disfavored.’ The two public policies [implicated by limitations] . . .—the one for repose and the other for disposition on the merits—are equally strong, the one being no less important or substantial' than the other.”
(Norgart v. Upjohn Co., supra,
Montiel does not raise this issue in his brief.
“Nephrotic” refers to the kidneys.
The federally required commencement date is the “date the plaintiff knew (or reasonably should have known) that the personal injury or property damages . . . were caused or contributed to by the hazardous substance or pollutant or contaminant concerned.” (§ 9658(b)(4)(A).)
Manufacturers and distributors of materials may occasionally find themselves subject to a CERCLA recovery action when it appears that their intent was to arrange for the disposal of a hazardous material under the guise of a product sale. (See, e.g.,
Pneumo Abex v. High Point Thomasville & Denton
(4th Cir. 1998)
See
National R.R. Passenger Corp. v. NYC Housing Auth.
(S.D.N.Y. 1993)
Compare
CP Holdings v. Goldberg-Zoino & Associates
(D.N.H. 1991)
We do not, therefore, reach the question of whether the federal statute and the California discovery rule are divergent. (See
Angeles Chemical Co. v. Spencer & Jones
(1996)
