ROCKWELL INTERNATIONAL CORP. ET AL. v. UNITED STATES ET AL.
No. 05-1272
Supreme Court of the United States
Argued December 5, 2006—Decided March 27, 2007
549 U.S. 457
Maureen E. Mahoney argued the cause for petitioners. With her on the briefs were J. Scott Ballenger, Barry J. Blonien, Christopher J. Koenigs, and Michael B. Carroll.
Maria T. Vullo argued the cause for respondent Stone. With her on the brief were Evan Norris and Hartley David Alley.
Malcolm L. Stewart argued the cause for respondent United States. With him on the brief were Solicitor General Clement, Assistant Attorney General Keisler, Deputy Solicitor General Kneedler, Douglas N. Letter, and Peter R. Maier.*
*Briefs of amici curiae urging reversal were filed for the American Hospital Association et al. by Jonathan L. Diesenhaus and Catherine E. Stetson; for BP America Production Co. et al. by Donald B. Ayer, Michael P. Graham, and Daniel M. McClure; for the Chamber of Commerce of the United States of America et al. by Herbert L. Fenster, Lawrence S. Ebner, Mark R. Troy, Robin S. Conrad, and Amar D. Sarwal; for the National Defense Industrial Association by Alan A. Pemberton and Sarah L. Wilson; and for the Washington Legal Foundation et al. by Alan I. Horowitz, Robert K. Huffman, Peter B. Hutt II, Daniel J. Popeo, and Paul D. Kamenar.
Briefs of amici curiae urging affirmance were filed for the Taxpayers Against Fraud Education Fund et al. by David C. Frederick, James W. Moorman, and Marissa M. Tirona; and for Patricia Haight et al. by Jeremy L. Friedman.
Briefs of amici curiae were filed for Comstock Resources, Inc., by William Scott Hastings and John Robert Beatty; and for Senator Charles E. Grassley by John E. Clark.
The False Claims Act,
I
The mixture of concrete and pond sludge that is the subject of this case has taken nearly two decades to seep, so to speak, into this Court. Given the long history and the complexity of this litigation, it is well to describe the facts in some detail.
A
From 1975 through 1989, petitioner Rockwell International Corp. was under a management and operating contract with the Department of Energy (DOE) to run the Rocky Flats nuclear weapons plant in Colorado. The most significant portion of Rockwell‘s compensation came in the form of a semiannual “award fee,” the amount of which depended on DOE‘s evaluation of Rockwell‘s performance in a number of areas, including environmental, safety, and health concerns. United States ex rel. Stone v. Rockwell Int‘l Corp., 92 Fed. Appx. 708, 714 (CA10 2004).
From November 1980 through March 1986, James Stone worked as an engineer at the Rocky Flats plant. In the early 1980‘s, Rockwell explored the possibility of disposing of the toxic pond sludge that accumulated in solar evapora-
Stone reviewed a proposed manufacturing process for pondcrete in 1982. He concluded that the proposal “would not work,” App. 175, and communicated that conclusion to Rockwell management in a written “Engineering Order.” As Stone would later explain, he believed “the suggested process would result in an unstable mixture that would later deteriorate and cause unwanted release of toxic wastes to the environment.” Ibid. He believed this because he “foresaw that the piping system” that extracted sludge from the solar ponds “would not properly remove the sludge and would lead to an inadequate mixture of sludge/waste and cement such that the ‘pond crete’ blocks would rapidly disintegrate thus creating additional contamination problems.” Id., at 290.
Notwithstanding Stone‘s prediction, Rockwell proceeded with its pondcrete project and successfully manufactured “concrete hard” pondcrete during the period of Stone‘s employment at Rocky Flats. It was only after Stone was laid off in March 1986 that what the parties have called “insolid” pondcrete blocks were discovered. According to respondents, Rockwell knew by October 1986 that a substantial number of pondcrete blocks were insolid, but DOE did not become aware of the problem until May 1988, when several pondcrete blocks began to leak, leading to the discovery of thousands of other insolid blocks. The media reported these discoveries, 3 Appellants’ App. in No. 99-1351 etc. (CA10), pp. 889-38 to 889-39, and attributed the malfunction to Rockwell‘s reduction of the ratio of concrete to sludge in the mixture.
In June 1987, more than a year after he had left Rockwell‘s employ, Stone went to the Federal Bureau of Investigation (FBI) with allegations of environmental crimes at Rocky
“contrary to public knowledge, Rocky Flats accepted hazardous and nuclear waste from other DOE facilities; that Rockwell employees were ‘forbidden from discussing any controversies in front of a DOE employee‘; that although Rocky Flats’ fluid bed incinerators failed testing in 1981, the pilot incinerator remained on line and was used to incinerate wastes daily since 1981, including plutonium wastes which were then sent out for burial; that Rockwell distilled and fractionated various oils and solvents although the wastes were geared for incineration; that Stone believed that the ground water was contaminated from previous waste burial and land application, and that hazardous waste lagoons tended to overflow during and after ‘a good rain,’ causing hazardous wastes to be discharged without first being treated.” App. to Pet. for Cert. 4a.
Stone provided the FBI with 2,300 pages of documents, buried among which was his 1982 engineering report predicting that the pondcrete-system design would not work. Stone did not discuss his pondcrete allegations with the FBI in their conversations.1
Based in part on information allegedly learned from Stone, the Government obtained a search warrant for Rocky Flats, and on June 6, 1989, 75 FBI and Environmental Protection Agency agents raided the facility. The affidavit in support of the warrant included allegations (1) that pondcrete blocks were insolid “due to an inadequate waste-concrete mixture,” App. 429, (2) that Rockwell obtained award fees based on its alleged “excellent” management of Rocky Flats, id., at 98, and (3) that Rockwell made false statements and concealed material facts in violation of the Resource Conservation and Recovery Act of 1976 (RCRA), 90 Stat. 2811, as amended,
B
In July 1989, Stone filed a qui tam suit under the False Claims Act.2 That Act prohibits false or fraudulent claims for payment to the United States,
Stone‘s complaint alleged that Rockwell was required to comply with certain federal and state environmental laws and regulations, including RCRA; that Rockwell committed numerous violations of these laws and regulations throughout the 1980‘s;3 and that, in order to induce the Government
In December 1992, Rockwell moved to dismiss Stone‘s action for lack of subject-matter jurisdiction, arguing that the action was based on publicly disclosed allegations and that Stone was not an original source. The District Court denied the motion because, in its view, “Stone had direct and independent knowledge that Rockwell‘s compensation was linked to its compliance with environmental, health and safety regulations and that it allegedly concealed its deficient performance so that it would continue to receive payments.” App. to Pet. for Cert. 61a.
The Government initially declined to intervene in Stone‘s action, but later reversed course, and in November 1996, the District Court granted the Government‘s intervention. Several weeks later, at the suggestion of the District Court,
“During the winter of 1986, Rockwell replaced its then pondcrete foreman, Norman Fryback, with Ron Teel. Teel increased pondcrete production rates in part by, among other things, reducing the amount of cement added to the blocks. Following the May 23, 1988 spill, Rockwell acknowledged that this reduced cement-to-sludge ratio was a major contributor to the existence of insufficiently solid pondcrete blocks on the storage pads.” Id., at 476-477.
The statement of claims again did not mention the piping problem asserted by Stone years earlier.
Respondents’ False Claims Act claims went to trial in 1999. None of the witnesses Stone had identified during discovery as having relevant knowledge testified at trial. And none of the documents Stone provided to the Government with his confidential disclosure statement was introduced in evidence at trial. Nor did respondents allege at trial that the defect in the piping system predicted by Stone caused insolid pondcrete. To the contrary, during
The verdict form divided the False Claims Act count into several different claims corresponding to different award-fee periods. The jury found in favor of respondents for the three periods covering the pondcrete allegations (April 1, 1987, to September 30, 1988), and found for Rockwell as to the remaining periods. The jury awarded damages of $1,390,775.80, which the District Court trebled pursuant to
Rockwell filed a postverdict motion to dismiss Stone‘s claims under
II
“No court shall have jurisdiction over an action under this section based upon the public disclosure of allegations or transactions in a criminal, civil, or administrative hearing, in a congressional, administrative, or Government Accounting Office report, hearing, audit, or investigation, or from the news media, unless the action is brought by the Attorney General or the person bringing the action is an original source of the information.” (Footnote omitted.)
As discussed above,
We begin with the possibility that little analysis is required in this case, for Stone asserts that Rockwell conceded his original-source status. Rockwell responds that it conceded no such thing and that, even had it done so, the concession would have been irrelevant because
Stone‘s contrary position rests entirely on dicta from a single Court of Appeals decision, see United States ex rel. Fallon v. Accudyne Corp., 97 F. 3d 937, 940-941 (CA7 1996). Accudyne thought it significant that jurisdiction over False Claims Act cases is conferred by
Whether the point was conceded or not, therefore, we may, and indeed must, decide whether Stone met the jurisdictional requirement of being an original source.
III
We turn to the first requirement of original-source status, that the relator have “direct and independent knowledge of the information on which the allegations are based.”
A
First, does the phrase “information on which the allegations are based” refer to the information on which the relator‘s allegations are based or the information on which the publicly disclosed allegations that triggered the public-disclosure bar are based? The parties agree it is the former. See Brief for Petitioners 26, n. 13; Brief for United States 24, and n. 8; Brief for Respondent Stone 15, 21. But in view of our conclusion that
Though the question is hardly free from doubt,5 we agree that the “information” to which subparagraph (B) speaks is the information upon which the relators’ allegations are
Subparagraph (A) complicates matters. As described earlier, it bars actions based on the “public disclosure of allegations or transactions” and provides an exception for cases brought by “an original source of the information.” If the allegations referred to in subparagraph (B)‘s phrase requiring “direct and independent knowledge of the information on which the allegations are based” are the same “allegations” referred to in subparagraph (A), then original-source status would depend on knowledge of information underlying the publicly disclosed allegations. The principal textual difficulty with that interpretation is that subparagraph (A) does not speak simply of “allegations,” but of “allegations or transactions.” Had Congress wanted to link original-source status to information underlying the public disclosure, it would surely have used the identical phrase, “allegations or transactions“; there is no conceivable reason to require direct and independent knowledge of publicly disclosed allegations but not of publicly disclosed transactions.
The sense of the matter offers strong additional support for this interpretation.
The contrary conclusion of some lower courts rests on the following logic: The term “information” in subparagraph (B) must be read in tandem with the term “information” in subparagraph (A), and the term “information” in subparagraph (A) refers to the information on which the publicly disclosed allegations are based. See, e. g., United States ex rel. Laird v. Lockheed Martin Eng. & Science Servs. Co., 336 F. 3d 346, 354 (CA5 2003). The major premise of this reasoning seems true enough: “information” in (A) and (B) means the same thing. The minor premise, however—that “information” in (A) refers to the information underlying the publicly disclosed allegations or transactions—is highly questionable. The complete phrase at issue is “unless . . . the person bringing the action is an original source of the information.” It seems to us more likely (in light of the analysis set forth above) that the information in question is the information underlying the action referred to a few words earlier, to wit, the action “based upon the public disclosure of allegations or transactions” referred to at the beginning of the provision. On this interpretation, “information” in subparagraph (A) and “information on which the allegations are based” in subparagraph (B) are one and the same, viz., information underlying the allegations of the relator‘s action.
B
Having determined that the phrase “information on which the allegations are based” refers to the relator‘s allegations and not the publicly disclosed allegations, we confront more textual ambiguity: Which of the relator‘s allegations are the relevant ones? Stone‘s allegations changed during the course of the litigation, yet he asks that we look only to his original complaint. Rockwell argues that Stone must satisfy the original-source exception through all stages of the litigation.
In our view, the term “allegations” is not limited to the allegations of the original complaint. It includes (at a minimum) the allegations in the original complaint as amended. The statute speaks not of the allegations in the “original complaint” (or even the allegations in the “complaint“), but of the relator‘s “allegations” simpliciter. Absent some limitation of
The rule that subject-matter jurisdiction “depends on the state of things at the time of the action brought,” Mollan v. Torrance, 9 Wheat. 537, 539 (1824), does not suggest a different interpretation. The state of things and the originally alleged state of things are not synonymous; demonstration that the original allegations were false will defeat jurisdiction. Anderson v. Watt, 138 U. S. 694, 701 (1891); Morris v. Gilmer, 129 U. S. 315, 326 (1889). So also will the withdrawal of those allegations, unless they are replaced by others that establish jurisdiction. Thus, when a plaintiff files a
Here, we have not only an amended complaint, but a final pretrial order that superseded all prior pleadings and “controll[ed] the subsequent course of the action,” Fed. Rule Civ. Proc. 16(e). See Curtis v. Loether, 415 U. S. 189, 190, n. 1 (1974) (where a claim was not included in the complaint, but was included in the pretrial order, “it is irrelevant that the pleadings were never formally amended” (citing Fed. Rules Civ. Proc. 15(b), 16)); Wilson v. Muckala, 303 F. 3d 1207, 1215 (CA10 2002) (“[C]laims, issues, defenses, or theories of damages not included in the pretrial order are waived even if they appeared in the complaint and, conversely, the inclusion of a claim in the pretrial order is deemed to amend any previous pleadings which did not include that claim“); Syrie v. Knoll Int‘l, 748 F. 2d 304, 308 (CA5 1984) (“[I]ncorporation of a [new] claim into the pre-trial order . . . amends the previous pleadings to state [the new] claim“). In these circumstances, we look to the allegations as amended—here, the statement of claims in the final pretrial order—to determine original-source status.
The Government objects that this approach risks driving a wedge between the Government and relators. It worries that future relators might decline to “acquiesc[e]” in the Government‘s tactical decision to narrow the claims in a case if
IV
Judged according to the principles set forth above, Stone‘s knowledge falls short. The only false claims ultimately found by the jury (and hence the only ones to which our jurisdictional inquiry is pertinent to the outcome) involved false statements with respect to environmental, safety, and health compliance over a 1½-year period between April 1, 1987, and September 30, 1988. As described by Stone and the Government in the final pretrial order, the only pertinent problem with respect to this period of time for which Stone claimed to have direct and independent knowledge was insolid pondcrete. Because Stone was no longer employed by Rockwell at the time, he did not know that the pondcrete was insolid; he did not know that pondcrete storage was even subject to RCRA; he did not know that Rockwell would fail to remedy the defect; he did not know that the insolid pondcrete leaked while being stored on-site; and, of course, he did not know that Rockwell made false statements to the Government regarding pondcrete storage.
Stone‘s prediction that the pondcrete would be insolid because of a flaw in the piping system does not qualify as “direct and independent knowledge” of the pondcrete defect. Of course a qui tam relator‘s misunderstanding of why a concealed defect occurred would normally be immaterial as long as he knew the defect actually existed. But here Stone did not know that the pondcrete failed; he predicted it. Even if a prediction can qualify as direct and independent knowledge in some cases (a point we need not address), it assuredly does not do so when its premise of cause and effect is wrong.
Stone counters that his original-source status with respect to his spray-irrigation claim (which related to a time period different from that for his pondcrete claim, App. 492) provided jurisdiction with respect to all of his claims. We disagree.
Because Stone did not have direct and independent knowledge of the information upon which his allegations were based, we need not decide whether Stone met the second requirement of original-source status, that he have voluntarily provided the information to the Government before filing his action.
V
Respondents contend that even if Stone failed the original-source test as to his pondcrete allegations, the Gov-
The False Claims Act contemplates two types of actions. First, under
Does this conclusion cast into doubt the courts’ jurisdiction with respect to the Government as well? After all,
*
*
We hold that the District Court lacked jurisdiction to enter judgment in favor of Stone. We reverse the Tenth Circuit‘s judgment to the contrary.
It is so ordered.
JUSTICE BREYER took no part in the consideration or decision of this case.
JUSTICE STEVENS, with whom JUSTICE GINSBURG joins, dissenting.
Any private citizen may bring an action to enforce the False Claims Act,
In my view, a plain reading of the statute‘s provisions—specifically, §§ 3730(e)(4)(A) and (B)—makes clear that it is the information underlying the publicly disclosed allegations, not the information underlying the allegations in the relator‘s complaint (original or amended), of which the relator must be an original source.1 Moreover, the statute‘s use of
the article “an,” rather than “the,” in describing the original source indicates that the relator need not be the sole source of the information.
By contrast, the majority‘s approach suggests that the relator must have knowledge of actual facts supporting the theory ultimately proved at trial—in other words, knowledge of the information underlying the prevailing claims. See ante, at 475 (limiting the relevant jurisdictional inquiry to those “false claims ultimately found by the jury“). I disagree. Such a view is not supported by the statute, which requires only that the relator have “direct and independent knowledge” of the information on which the publicly disclosed allegations are based and that the relator provide such information to the Government in a timely manner. As I read the statute, the jurisdictional inquiry focuses on the facts in the public domain at the time the action is commenced. If the process of discovery leads to amended theories of recovery, amendments to the original complaint would not affect jurisdiction that was proper at the time of the original filing.2
In this case, as the Court points out, the fact that Rockwell was storing thousands of insolid pondcrete blocks at the Rocky Flats facility had been publicly disclosed by the news media before Stone filed this lawsuit. Ante, at 461, 462-463. In my view, the record establishes that Stone was an original source of the allegations publicly disclosed by the media in June 1989, even though he thought that the deterioration of the pondcrete blocks would be caused by poor engineering rather than a poor formula for the mixture. The search warrant that was executed on June 6, 1989, and the Federal Bureau of Investigation (FBI) affidavit that was released to the news media on June 9, 1989, were both based, in part, on interviews with Stone and on information Stone had provided to the Government, including the 1982 Engineering Order.
With respect to earlier media coverage of the pondcrete leakage discovery in May 1988, however, Stone‘s status as an original source is less obvious. Stone first went to the FBI with allegations of Rockwell‘s environmental violations in March 1986. App. 180. He subsequently met with several FBI agents over the course of several years. Id., at 180-182. During those meetings he provided the FBI with thousands of pages of documents, including the Engineering Order, in which he predicted that the pondcrete system design would not work. On the basis of that record, it seems likely that Stone (1) had “direct and independent knowledge of the information on which the [publicly disclosed] allegations [we]re based” and (2) voluntarily provided such information to the Government before filing suit. It is, however, his burden to establish that he did so. Because there has been no finding as to whether Stone was an original source
