UNITED STATES OF AMERICA, Plaintiff-Appellant, v. W. R. GRACE; ALAN R. STRINGER; HENRY A. ESCHENBACH; JACK W. WOLTER; J. MCCAIG; ROBERT J. BETTACCHI; O. MARIO FAVORITO; ROBERT C. WALSH, Defendants-Appellees. UNITED STATES OF AMERICA, Plaintiff-Appellant, v. W. R. GRACE; ALAN R. STRINGER; HENRY A. ESCHENBACH; JACK W. WOLTER; WILLIAM MCCAIG; ROBERT J. BETTACCHI; O. MARIO FAVORITO; ROBERT C. WALSH, Defendants-Appellees.
No. 06-30472, No. 06-30524
United States Court of Appeals for the Ninth Circuit
September 20, 2007
D.C. No. CR-05-00007-DWM. Appeal from the United States District Court for the District of Montana. Donald W. Molloy, District Judge, Presiding. Argued and Submitted June 4, 2007—Seattle, Washington.
COUNSEL
Todd S. Aagaard, Dept. of Justice Environment and Natural Resources Division, Washington, D.C., and Kris A. McLean, Assistant United States Attorney, Missoula, Montana, argued for the government. With them on the briefs were Sue Ellen Wooldridge, Assistant Attorney General; William W. Mercer, United States Attorney; Eric E. Nelson, Linda Kato, Special Assistant United States Attorneys; Kevin M. Cassidy, and Allen M. Brabender, Attorneys, United States Dept. of Justice Environment and Natural Resources Division.
Christopher Landau, Washington, D.C., argued for defendant-appellee W.R. Grace & Co. With him on the brief were Laurence A. Urgenson, Tyler D. Mace, Michael D. Shumsky, Washington, D.C.; Stephen R. Brown, Charles E. McNeil, Kathleen L. DeSoto, Missoula, Montana, for defendant-appellee W.R. Grace & Co.; Angelo J. Calfo, Seattle, Washington; Michael F. Bailey, Missoula, Montana, for defendant-appellee Alan R. Stringer; Ronald F. Waterman, Helena, Montana; David S. Krakoff, Gary A. Winters, Washington, D.C., for defendant-appellee Henry A. Eschenbach; Mike Milodragovich, W. Adam Duerk, Missoula, Montana; Mark Holscher, Jeremy Maltby, Los Angeles, California, for defendant-appellee Jack W. Wolter; Palmer Hoovestal, Helena, Montana, Elizabeth Van Doren Gray, Columbia, South Carolina, William A. Coates, Greenville, South Carolina, for defendant-appellee William J. McCaig; Brian Gallik, Bozeman, Montana, Thomas C. Frongillo, Boston, Massachusetts, Vernon S. Broderick, New York, New York, for defendant-appellee Robert J. Bettacchi; C.J. Johnson, Missoula, Montana, Stephen A. Jonas, Robert Keefe, Boston, Massachusetts, for defendant-appellee O. Mario Favorito; Catherine A. Laughner, Aimee M. Grmoljez, Helena, Montana, Stephen R. Spivack, Washington, D.C., David E. Roth, Birmingham, Alabama, for defendant-appellee Robert C. Walsh.
OPINION
B. FLETCHER, Circuit Judge:
From 1963 until the early 1990s, W. R. Grace (“W. R. Grace” or “Grace“) mined and processed a rich supply of vermiculite ore outside of Libby, Montana. In response to ongoing serious health problems suffered by Libby residents, the government obtained an indictment charging W. R. Grace and seven of its executives (together “Grace“) with criminal conduct arising from Grace‘s vermiculite operation in Libby. The superseding indictment charges defendants-appellees with (1) conspiring knowingly to release asbestos, a hazardous air pollutant, into the ambient air, thereby knowingly placing persons in imminent danger of death or serious bodily injury in violation of
This interlocutory appeal brought by the government concerns six orders grouped into four sections: the first order dismissed the knowing endangerment object of Count I‘s conspiracy charge; the second adopted a particular definition of asbestos and excluded evidence inconsistent with that definition; the third denied a motion to exclude evidence related to an affirmative defense and relied on an emission standard for asbestos contained in certain Environmental Protection Agency (“EPA“) regulations, see, e.g.,
I. Dismissal of the Knowing Endangerment Object
1. Background
In the original indictment, filed February 7, 2005, the government charged defendants with participating in a dual-object conspiracy. According to Count I of the indictment, which details the scope of the conspiracy, defendants conspired (1) to knowingly release asbestos, a hazardous air pollutant, and thus knowingly to endanger both EPA employees and members of the Libby community in violation of
Defendants’ argument relied primarily on Yates v. United States, 354 U.S. 298 (1957) (holding that the statute of limitations must be satisfied as to each object of the conspiracy when the government charges a multi-object conspiracy), overruled on other grounds by Burks v. United States, 437 U.S. 1, 2 (1978). Because the government supposedly had failed to allege a requisite overt act before the statute of limitations ran on November 3, 2004, defendants asserted that the knowing endangerment object was time-barred.
The government disputed defendants’ characterization of the indictment, claiming that certain overt acts alleged in the indictment could support both the fraud object and the knowing endangerment object of Count I‘s conspiracy charge. Towards this end, the government directed the district court‘s attention to paragraphs 143, 149, and 173-184 of the indict
Analyzing both the text of the specified paragraphs and the structure of the indictment, in which the cited paragraphs were listed under the sub-heading “Obstruction of EPA‘s Superfund Clean-Up,” the district court concluded that the indictment “more plausibly suggests a completed operation than a conspiracy still at work.” Id. at 887. To the extent that overt acts were alleged, the district court found that they were acts of obstruction, not acts of wrongful endangerment. Id. Thus, the district court dismissed as time-barred the knowing endangerment object of the Count I conspiracy. Id. at 888.
Two weeks after the district court‘s first order, dismissing a portion of the indictment, the government obtained a superseding indictment. The new indictment was substantially similar to the original indictment, amending only paragraphs 173-183, which had been the focus of the district court‘s previous order. In the superseding indictment, the government changed the section heading under which the disputed paragraphs had been listed from “Obstruction of Superfund Clean-Up” to “Knowing Endangerment of EPA Employees and the Libby Community and Obstruction of the EPA‘s Superfund Clean-Up.” It also changed paragraphs 173, 174, 176-80, 182 and 183, by adding at the end of each original paragraph the phrase, “thereby concealing the true hazardous nature of the asbestos contamination, delaying EPA‘s investigation and
Defendants then moved to dismiss the “knowing endangerment” object of the superseding indictment, arguing that the government had failed to fix the original indictment because the new indictment alleged no new overt acts, was barred by the previous dismissal “with prejudice,” and was time-barred because the statute of limitations had run. The district court rejected the first two arguments, but agreed with defendants that the new indictment was time-barred. Under the district court‘s reading, the superseding indictment was not protected by the savings clause of
2. Standard of Review
We review de novo a district court‘s decision to dismiss part of an indictment, United States v. Barrera-Moreno, 951 F.2d 1089, 1091 (9th Cir. 1991), as we review, also de novo, the district court‘s interpretation of
3. Analysis
[1] If a district court dismisses an indictment (or portion thereof), the savings clause of
Whenever an indictment or information charging a felony is dismissed for any reason after the period prescribed by the applicable statute of limitations has
expired, a new indictment may be returned in the appropriate jurisdiction within six calendar months of the date of the dismissal of the indictment or information . . . , which new indictment shall not be barred by any statute of limitations. This section does not permit the filing of a new indictment or information where the reason for the dismissal was the failure to file the indictment or information within the period prescribed by the applicable statute of limitations, or some other reason that would bar a new prosecution.
[2] The dispute in the instant case stems from the parties’ divergent interpretations of the final sentence of
[3] Defendants’ argument is premised on a conflation of the terms “time-barred” and “not timely filed.” The last sentence of
In Clawson, the defendant was indicted for mail fraud on June 10, 1993. Id. at 251. Defendant immediately moved to dismiss the indictment for failure to allege an overt act within the five-year statute of limitations. Id. The indictment alleged overt acts that occurred before the limitation period began on June 10, 1988, or after defendant‘s withdrawal from the conspiracy on July 5, 1988. Id. The district court granted defendant‘s motion to dismiss the indictment and the government responded by obtaining a First Superseding Indictment, which alleged overt acts occurring in the window between June 10, 1988, and July 5, 1988. Id. Defendant then moved to dismiss the new indictment, arguing that the statute had run before the government obtained the First Superseding Indictment and that
Clawson noted that when “[r]ead in its entirety, th[e] last sentence [of
In Clawson we distinguished between a timely filed, but flawed, indictment, to which the savings clause of
“[I]f the original indictment was brought after the limitations period ran on all the alleged criminal conduct, allowing reindictment under
section 3288 would obliterate the statute of limitations: A defendant could be indicted two years after the statute had run and, when the court dismissed, the prosecution could simply reindict within six months, free from the limitations bar.” Id.
For obvious reasons, reindictment is prohibited by
“The matter is much different where the original indictment is brought within the limitations period, but is dismissed for failure to allege the exact elements of the crime, or some other technical reason. In the latter circumstance, a valid indictment could have been brought in a timely fashion; the six-month grace period merely allows the government to do what it had a right to do in the first place.” Id.
The latter circumstance describes the facts of both Clawson and the instant case. In both cases, the government timely indicted defendants for a particular crime, but originally failed to allege a valid overt act. The government then obtained superseding indictments charging defendants with the exact same crimes, but adding the necessary overt act allegations. Thus, each defendant was charged “with the exact crime for which he could have been prosecuted had there not been a defect in the indictment.
[4] When discussing “timeliness,” both Clawson and Charnay refer to the time of the original filing of the indict
The district court attempted to distinguish Clawson, stating that in Clawson the government alleged overt acts in the original indictment, which was filed within the limitations period. This distinction is irrelevant. While the government did allege overt acts before the limitations period expired in Clawson, it failed to allege an overt act sufficient to support the conspiracy charge since the only overt acts alleged occurred outside the statute of limitations or subsequent to Clawson‘s withdrawal from the conspiracy. Thus, the government originally failed to allege any relevant overt acts in Clawson, just as in the instant case.
Moreover, Clawson did not turn on the distinction advanced by the district court: as we have explained,
This reading of
[5] For the reasons articulated herein, we reverse the district court‘s dismissal of the knowing endangerment object of Count I in the superseding indictment and reinstate that portion of the count.
II. Definition of Asbestos
1. Background
We now turn to the question of whether Congress‘s use of the term “asbestos” to identify a hazardous air pollutant created ambiguity as to what substance was meant by that term.
The district court imported the civil regulatory definition of “asbestos” into the criminal provisions of the Clean Air Act, and then ruled that evidence of asbestos releases offered at trial would be limited to those relevant to proving releases of the six minerals included in the regulatory definition; evidence of releases of other asbestiform minerals would be excluded. Order Defining Asbestos at 22. This ruling eliminated from trial evidence of releases of 95% of the contaminents in the Libby vermiculite — which are asbestiform minerals but fall outside of the six minerals in the civil regulatory definition — as well as excluding government data that did not differentiate between the six regulated minerals and unregulated asbestiform minerals. The government appeals, asserting that the definition contained in the criminal portion of the statute is the applicable definition.
2. Standards of Review
We review de novo the district court‘s construction of the Clean Air Act, as we do rulings on the admissibility of evi
3. Analysis
[6] The Clean Air Act‘s knowing endangerment provision prohibits the knowing and dangerous release into the ambient air of “any hazardous air pollutant listed pursuant to § 7412.”
The district court found
[7] In addition, defendants had actual notice in this case of the risks from the fibrous content of the asbestiform minerals in their products. Defendants are an industrial chemical company and seven of its top executives. They are all familiar with asbestos. Since at least 1976, defendants have known of the health risks posed by the asbestiform minerals in their products. It is clear that defendants knew or should have
The district court‘s conclusion that ambiguity exists simply because of the existence of two oversight structures — a civil regulatory structure and a criminal enforcement provision — that use different definitions of the term “asbestos” is erroneous. As we determined in United States v. Hagberg, 207 F.3d 569, 573 (9th Cir. 2000), Congress validly may create multiple enforcement mechanisms that each draw on different definitions for the same term or phrase.
In Hagberg, defendant was indicted for allegedly dumping sewage along a public road in violation of the Clean Water Act,
Like the Clean Water Act provisions at issue in Hagberg, the Clean Air Act creates multiple enforcement mechanisms: a civil regulatory structure and a direct enforcement mechanism. In the instant case, as in Hagberg, defendants are charged with violating the directly enforceable provision of the statute that pulls its definitions from a separate provision than does the regulatory provision. The civil regulatory system draws its definition of asbestos from
[8] In sum, the district court improperly limited the term “asbestos” to the six minerals covered by the civil regulations. Asbestos is adequately defined as a term and need not include mineral-by-mineral classifications to provide notice of its hazardous nature, particularly to these knowledgeable defendants. Accordingly, we reverse the order limiting evidence to that fitting within the civil regulations.
III. Mandamus
1. Background
[9] The knowing endangerment provision of the Clean Air Act establishes an affirmative defense for hazardous air pollutants released “in accordance with” an applicable National Emissions Standards for Hazardous Air Pollutants (“NESHAP“). See
2. Standard of Review
The writ of mandamus is codified at
- The party seeking the writ has no other adequate means, such as direct appeal, to attain the relief he or she desires.
- The petitioner will be damaged or prejudiced in a way not correctable on appeal.
The district court‘s order is clearly erroneous as a matter of law. - The district court‘s order is an oft-repeated error, or manifests a persistent disregard of the federal rules.
- The district court‘s order raises new and important problems, or issues of law of first impression.
Clemens v. U. S. Dist. Ct., 428 F.3d 1175, 1177-78 (9th Cir. 2005) (quoting Bauman v. United States Dist. Ct., 557 F.2d 650, 654-55 (9th Cir. 1977)). Not every factor must be present to warrant mandamus relief, see id. at 1178, and in this case the only disputed issue is whether the district court made a clear error as a matter of law.
3. Analysis
Where, as here, the district court‘s order involves issues of statutory interpretation, the order is clearly erroneous as a matter of law if the reviewing court is left with “a definite and firm conviction that the district court‘s interpretation of the statute was incorrect.” DeGeorge v. United States Dist. Court, 219 F.3d 930, 936 (9th Cir. 2000) (citing In re Cement Antitrust Litig., 688 F.2d 1297, 1306 (9th Cir. 1982)); see also United States v. Ye, 436 F.3d 1117, 1123 (9th Cir. 2006). Here, the plain language of the statute makes clear that the affirmative defense is not applicable to defendants’ actions.
[10] In relevant part,
IV. Evidentiary Rulings
1. Introduction
As stated above, Counts II-IV of the superseding indictment allege violations of
2. Standard of Review
This court reviews de novo the district court‘s interpretation of the
3. Relevant Rules
Several rules apply specifically to testimony by experts. Under
Under
4. Analysis
A. Indoor Air Releases
i. Background
On May 31, 2006, Defendants filed a motion in limine to exclude evidence of or derived from indoor asbestos releases. Defendants sought to exclude documents and studies, including EPA‘s Phase II air sampling charts, as well as expert testimony that relied upon these studies. See Defs’ Mot. in Limine Re: Indoor Air Releases at 4-6 (Docket # 473).
On August 28, 2006, the district court granted defendants’ motion “with respect to evidence of or derived from indoor releases offered for the purpose of proving an ‘ambient air’ release in violation of
ii. Analysis
[11] The government argues that EPA‘s Phase II tests show the propensity of the Libby asbestos to release fibers whenever it was disturbed and regardless of the form the vermiculite took and therefore should be admitted to form the basis of expert testimony. The government also makes an argument that the Indoor Air studies should themselves be admitted as relevant. However, although the government makes a valid argument about the friability of Libby asbestos being the same whether indoors or outdoors, the probative value of the EPA studies is possibly outweighed by the danger of unfair prejudice. First, the studies’ overall probative value is low because they largely concern the asbestos releases at various indoor locations in Grace‘s Libby mining and milling operation. There is some information in the studies regarding the friable character of Libby asbestos, but not much. There is a risk of unfair prejudice because the indoor releases may not reflect the level of releases into the ambient air, and there is some language in the studies regarding asbestos-related diseases in Libby that may mislead or confuse the jury into believing that releases into indoor air proves releases into ambient air. Finally, even if this court disagreed with the district court‘s
[12] It is a separate question, however, whether the district court abused its discretion in excluding expert testimony based on documents and studies derived from indoor air releases. The district court did not conduct an inquiry under
B. W.R. Grace‘s Historic Product Testing
i. Background
On May 31, 2006, defendants filed a motion in limine to exclude expert opinions regarding Grace‘s historical, non-ambient air product and commercial testing. Defendants sought to exclude the testimony of Dr. Richard Lemen,10 Dr. Vernon Rose,11 Paul Peronard,12 Dr. Aubrey Miller,13 Dr. Chris Weis,14 and other government witnesses who might “attempt to draw unsupportable correlations between Grace‘s historical product and commercial tests and expected ambient air exposures from disturbances of vermiculite materials
ii. Analysis
[13] Here, the district court excluded the historic testing data under
[14] Faced with this new 702 analysis, defendants presumably will argue, as they do on appeal, that the historic testing evidence fails the “fit” test under Daubert v. Merrell Dow Pharm., Inc., 509 U.S. 579 (1993).15 In response, the government argues that its experts do not plan to rely on the historic testing data to estimate the fiber concentrations from the charged releases, but only to opine generally on the hazardous characteristics16 of Libby asbestos contaminated vermiculite. This limited use of the study to inform experts’ opinions is permissible, because the propensity of Libby asbestos to release fibers fits the release element of the knowing endangerment provision. The district court did not consider this propensity-to-release inquiry, thus abusing its discretion by excluding this evidence under 702.
Defendants make two additional, ultimately unsupportable arguments. First, they argue that the testimony‘s exclusion under
[15] The question remains whether data concerning indoor air quality are of the type reasonably relied on by other experts in the field. See
C. Medical Screening Study: ATSDR and Peipins Publication
i. Background
In 2000-2001, the Agency for Toxic Substances and Disease Registry (“ATSDR“) conducted a medical screening study in Libby (the “ATSDR Report“) to detect pleural abnormalities in Libby residents and to inform priority-setting in EPA‘s asbestos clean-up operation. The study entailed interviewing and medically testing individuals who had lived, worked, attended school, or participated in other activities in Libby for at least six months before 1990. Questions were asked to identify individuals who had accessed potential “exposure pathways” to asbestos and vermiculite prior to Decem
ATSDR published an initial report of the study‘s findings in February 2001. The complete results of the study (the “Peipins Publication“) were published in November 2003 in Environmental Medicine, a peer-reviewed journal. The Peipins Publication analysis used regression modeling to estimate the risk of respiratory abnormalities for each of the exposure pathways while controlling for all other pathways and other established and suggested risk factors.
The study showed that certain factors — including exposure to particular pathways — were associated with respiratory illness and abnormalities. The factors most strongly associated with abnormalities were: being a former W. R. Grace employee, being older, having had household contact with a former W. R. Grace worker, and being male. (The study also demonstrated “a statistically significant increase in the prevalence of pleural abnormalities with an increasing number of exposure pathways.” While “participants reporting more pathways might be expected to have more cumulative exposure than would those reporting fewer pathways,” this was not data gathered by the study; the study identified avenues for exposure but did not quantify the duration or intensity of individuals’ exposures.
Both the interim ATSDR Report and the final Peipins Publication noted that the study had no control group and “no directly comparable Montana or U.S. population studies [were] available.” The researchers were able to compare the data gathered with studies of other groups with substantive work-related asbestos exposure. The levels of pleural abnor
On May 31, 2006, defendants filed a motion in limine “to exclude expert evidence relating to the ATSDR Medical Testing Program.” Defs’ Mot. in Limine Re: ATSDR (Docket # 500, 502). The district court characterized the motion as one to exclude “any evidence or expert testimony relating to” the medical screening study conducted in Libby by the Agency for Toxic Substances and Disease Registry. ATSDR Order at 1. The government did not object to the court‘s characterization of defendants’ motion. On August 31, 2006, the district court granted defendants’ motion. The court ruled that the ATSDR Report and Peipins Publication, and any expert testimony based thereon, were excluded under
ii. Analysis
[16] The district court acted within its discretion in excluding the ATSDR Report and Peipins Publication themselves under
[17] However, in excluding this evidence from informing expert opinion and testimony, the district court erred. The expert is, in the first instance, the judge of what resources would help him to form an opinion, and he can filter out as irrelevant prejudicial information. The trial judge is to assure the reliability of evidence by vetting under
To begin, the district court concluded that the ATSDR medical screening program and resulting analyses did not establish a causal link between exposure to Libby‘s vermiculite and the development of asbestos-related disease. The ATSDR Report acknowledged repeatedly that the testing program was not designed as an epidemiological study to show causality. Notably, there was no internal control group and the participants were self-selected, rather than randomly selected. In light of this, the district court concluded that the data could not provide experts with a reliable basis for opining as to cau
Nonetheless, one of the main objectives of the ATSDR Report was to examine the association between pleural and interstitial abnormalities and participants’ exposure histories — measured in broad terms by the participants’ overall contact with exposure pathways. As the district court acknowledged, the government‘s experts did not claim that they intended to use the study to show causation, but rather indicated that they would rely on the evidence to show that there were some associations or correlations between exposure to vermiculite in Libby and pleural abnormalities.
The district court took the view that the jury would be unlikely to distinguish between evidence of an association and evidence of causation and therefore would likely be misled, and would place undue reliance on the evidence. In this respect, the court substantially underestimated the capacity of jury instructions to distinguish these relationships, and the potential efficacy of a limiting instruction.
Further, the fact that a study is associational — rather than an epidemiological study intended to show causation — does not bar it from being used to inform an expert‘s opinion about the dangers of asbestos releases, assuming the study is “of the type typically relied upon” by experts in the field.
Here, the district court failed to consider the
Nor did the district court consider the possibility of expert reliance on the ATSDR Report without disclosure of the study itself to the jury, as provided for by
[18] Instead, the district court excluded expert testimony regarding the ATSDR Report under
V. Motion to Strike
In its reply brief to this court, the government submitted six documents not included in the record below—two excerpts of the federal register (addenda 1 and 3), a report of the National Research Council (addendum 2), published scientific articles
[19] In general, we consider only the record that was before the district court. We have made exceptions to this general rule in three situations: (1) to “correct inadvertent omissions from the record,” (2) to “take judicial notice,” and (3) to “exercise inherent authority . . . in extraordinary cases.” Lowry v. Barnhart, 329 F.3d 1019, 1024 (9th Cir. 2003). Considerations of institutional expertise and notice support our limitation of these exceptions to “unusual circumstances.” Id.
[20] The search results in addendum item 4 fit none of these exceptions. Addendum items 2, 5, and 6 fit within the second exception—we have discretion to take judicial notice under
CONCLUSION
We reverse the order dismissing the knowing endangerment object of Count I of the superseding indictment. We reverse the order adopting the regulatory definition of asbes
AFFIRMED in part, REVERSED in part, and REMANDED.
WRIT OF MANDAMUS GRANTED on one issue.
Notes
Any person who knowingly releases into the ambient air any hazardous air pollutant listed pursuant to section 7412 of this title . . . , and who knows at the time that he thereby places another person in imminent danger of death or serious bodily injury shall, upon conviction, be punished by a fine under Title 18, or by imprisonment of not more than 15 years, or both. Any person committing such violation which is an organization shall, upon conviction under this paragraph, be subject to a fine of not more than $1,000,000 for each violation. If a conviction of any person under this paragraph is for a violation committed after a first conviction of such person under this paragraph, the maximum punishment shall be doubled with respect to both the fine and imprisonment. For any air pollutant for which the Administrator has set an emissions standard or for any source for which a permit has been issued under subchapter V of this chapter, a release of such pollutant in accordance with that standard or permit shall not constitute a violation of this paragraph or paragraph (4).
