3M Co. v. Glass

917 So. 2d 90, 2005 WL 3434801
CourtMississippi Supreme Court
DecidedDecember 15, 2005
Docket2003-IA-00617-SCT, 2003-IA-00476-SCT
StatusPublished
Cited by9 cases

This text of 917 So. 2d 90 (3M Co. v. Glass) is published on Counsel Stack Legal Research, covering Mississippi Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
3M Co. v. Glass, 917 So. 2d 90, 2005 WL 3434801 (Mich. 2005).

Opinion

917 So.2d 90 (2005)

3M COMPANY f/k/a Minnesota Mining and Manufacturing Company, et al.
v.
Letha C. GLASS, et al.
3M Company f/k/a Minnesota Mining and Manufacturing Company, et al.
v.
Charles H. Green, et al.

Nos. 2003-IA-00617-SCT, 2003-IA-00476-SCT.

Supreme Court of Mississippi.

December 15, 2005.

*91 W. Wayne Drinkwater, Jr., Margaret Oertling Cupples, Cheri D. Green, James Altus McCullough, Kacey Leigh Keeton, Jackson, David Friederich Marion, Walker (Bill) Jones, III, Charles Stephen Stack, Jr., Jackson, W. Bruce Williams, Katrina May Hall, Thomas W. Tyner, Hattiesburg, Grayson Randolph Lewis, James P. Streetman, III, Charles R. Wilbanks, Jr., Jackson, Clyde Lavel Nichols, III, Blayne Thomas Ingram, Jackson, Walter C. Morrison, Jackson, Patrick R. Buchanan, Biloxi, W. Mark Edwards, Ronald G. Peresich, Patricia Ann Dicke, Biloxi, Meade W. Mitchell, Phil B. Abernethy, Jackson, Alben Norris Hopkins, Mariano Javier Barvie', Vincent Richard Almerico, Gulfport, Paige Craig Jones, John W. Robinson, Jackson, Kyle Stuart Moran, Gulfport, Edwin S. Gault, Jr., Brandy Lenee Faught, Jackson, for appellants.

Stephen W. Mullins, Alwyn H. Luckey, Ocean Springs, Harvey W. Barton, Skip Edward Lynch, Pascagoula, for appellees.

Before, WALLER, P.J., CARLSON and DICKINSON, JJ.

DICKINSON, Justice, for the Court.

¶ 1. This consolidated interlocutory appeal of two "mass-tort" cases[1] requires us to again address questions of joinder and the pleading requirements of rules 8, 9, 10 and 11, of the Mississippi Rules of Civil Procedure. Although we previously addressed the issue concerning inadequate pleading in Harold's Auto Parts, Inc. v. Mangialardi, 889 So.2d 493 (Miss.2004), today we provide additional guidance and clarification.

¶ 2. Both the Glass and Green complaints contain general allegations of "silica-related" injury from exposure to "silica-containing dust." Although the plaintiffs and defendants are identified in exhibits to the complaint, no particular plaintiff or defendant is identified anywhere within the body of the complaint. The exhibits were amended numerous times before settling upon 15 plaintiffs[2] and 76 defendants in each case. 3M is one of the 76 defendants.

¶ 3. After the trial court's denial of the motions for severance in March, 2003, 3M filed a motion seeking interlocutory appeal[3] which we granted. See M.R.A.P. 5.

ANALYSIS

¶ 4. The question presented is whether the trial court abused its discretion in denying 3M's motions to sever the plaintiffs' claims. 3M submitted its well-reasoned brief on the issue, and plaintiffs responded by telling us: "Plaintiffs hereby confess the issues contained in the Appellants' Brief concerning Rule 20 joinder...." Plaintiffs point out that they filed these cases with a good faith belief under then-existing Mississippi law that joinder of the plaintiffs was proper, but that this *92 Court has since clarified the requirements for joinder in Mississippi, and that Janssen Pharmaceutica, Inc. v. Armond, 866 So.2d 1092, 1097 (Miss.2004) and its progeny clearly prohibit Rule 20 joinder of the plaintiffs in this case.[4] We therefore find it unnecessary to include any analysis regarding the joinder issue. Because the Glass and Green plaintiffs fail to satisfy the requirements for joinder under Rule 20, we reverse the trial court's denial of 3M's motions. That said, we now turn to the question of whether the plaintiffs' claims should be dismissed without prejudice or remanded for further action by the trial court.

¶ 5. In August 2004 we reviewed an interlocutory appeal which, after seven amended complaints, involved the "claims of 264 plaintiffs against 137 named defendants who ... identified approximately 600 different employers where asbestos exposure might have taken place." Harold's Auto Parts, Inc. v. Mangialardi, 889 So.2d at 494. The Mangialardi defendants complained that the plaintiffs were improperly joined, and that they were given insufficient information to intelligently present their motion for severance. Chief Justice Smith, speaking for the majority, summed up the case as follows:

In essence, we are told that 264 plaintiffs were exposed over a 75-year period of time to asbestos products associated with 137 manufacturers in approximately 600 workplaces. We are not told which plaintiff was exposed to which product manufactured by which defendant in which workplace at any particular time.

Id. Thus, one could not determine which of the 264 plaintiffs were suing any particular defendant, nor was any defendant informed of when, where or how any particular plaintiff was harmed.

¶ 6. We held the Mangialardi plaintiffs' failure to provide this "core information" within their complaint violated Rules 8, 9, 10 and 11, of the Mississippi Rules of Civil Procedure. Specifically, we stated that "[s]uch information must include, at a minimum, the name of the defendant or defendants against whom each plaintiff makes a claim, and the time period and location of exposure." Id. at 495. Though some have complained that these simple requirements place too great a burden on plaintiffs' counsel in mass tort cases, we do not agree. We think it reasonable to expect counsel to know prior to filing suit the identity of each client, the defendant each client proposes to sue, the alleged harm committed by specific defendants against each client, and the location and period of time the harm was committed.[5]

¶ 7. Nor should Mangialardi and Armond be read to spell doom (as some have predicted)[6] for Rule 20 joinder. We intended Mangialardi to affect only those cases wherein counsel for multiple plaintiffs file a lawsuit without first knowing and disclosing in the complaint the defendant each client was suing and the basis *93 for that particular client's claims, that is, what the particular defendant did wrong to the particular plaintiff, and when and where the wrong was committed. Absent this basic information, it is unreasonable to expect that a defendant can prepare an appropriate defense to the complaint or provide a proper and complete response to discovery requests. Armond simply removes Mississippi from its dubious distinction as extremely liberal on Rule 20 joinder[7] and moves it to a more centrist position.

¶ 8. We do not view, nor did we intend, Mangialardi to add to or affect the Rule 20 requirements for joinder as discussed in the Armond line of cases. Rather, Mangialardi simply reminds the Bar that even though Mississippi is a notice-pleading jurisdiction, our rules of procedure require, at a minimum: (1) that each plaintiff provide "a short and plain statement of the claim" that discloses why that plaintiff "is entitled to relief," and "a demand for judgment for the relief to which he deems himself entitled." Miss. R. Civ. P. 8(a);[8] (2) that "averments of time and place are material and shall be considered like all other averments of material matter." Miss. R. Civ. P. 9(f);[9] (3) that "each claim founded upon a separate transaction or occurrence ... shall be stated in a separate count...." Miss. R. Civ. P.10(b);[10] and (4) that the "signature of an attorney [on the complaint] constitutes a certificate... that to the best of the attorney's knowledge, information and belief there is good ground to support it." Miss. R. Civ. P.11 (a).

¶ 9.

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Bluebook (online)
917 So. 2d 90, 2005 WL 3434801, Counsel Stack Legal Research, https://law.counselstack.com/opinion/3m-co-v-glass-miss-2005.