Brown v. Monsanto Co.

916 F.2d 829, 31 Fed. R. Serv. 486, 17 A.L.R. 5th 997, 21 Envtl. L. Rep. (Envtl. Law Inst.) 20184, 1990 U.S. App. LEXIS 16631
CourtCourt of Appeals for the Third Circuit
DecidedSeptember 20, 1990
DocketNos. 88-1973 to 88-1992, 89-1070 to 89-1079 and 89-1097
StatusPublished
Cited by4 cases

This text of 916 F.2d 829 (Brown v. Monsanto Co.) is published on Counsel Stack Legal Research, covering Court of Appeals for the Third Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown v. Monsanto Co., 916 F.2d 829, 31 Fed. R. Serv. 486, 17 A.L.R. 5th 997, 21 Envtl. L. Rep. (Envtl. Law Inst.) 20184, 1990 U.S. App. LEXIS 16631 (3d Cir. 1990).

Opinion

OPINION OF THE COURT

BECKER, Circuit Judge.

This is a toxic tort case brought by some thirty-eight persons who have either worked in or lived adjacent to the Paoli railyard, an electric railcar maintenance facility at the western terminus of the noted Paoli Local, which serves the Philadelphia Main Line. The plaintiffs’ primary claim is that they have contracted a variety of illnesses as the result of exposure to poly-chlorinated biphenyls, better known as PCBs. PCBs are toxic substances which, as the result of decades of PCB use in the Paoli railcar transformers, can be found in extremely high concentration at the rail-yard and in the ambient air and soil. The defendants are Monsanto Corporation, the nation’s leading manufacturer of PCBs (marketed under the trade name “Aroc-lor”); General Electric Company, manufacturer of the transformers; Amtrak, owner of the railyard site since 1976; Conrail, which operated the facility between 1976 and 1983; the Southeastern Pennsylvania Transit Authority (SEPTA), which has operated the facility since 1983; and the City of Philadelphia, which owns some of the railroad cars at the facility.1

This opinion addresses an appeal by all plaintiffs from the grant of summary judgment by the district court in favor of all defendants on all claims except those for property damage and response costs under CERCLA.2 706 F.Supp. 358. We direct our attention principally to a series of pretrial evidentiary rulings by which the district court apparently excluded3 the bulk of the expert reports and testimony upon which plaintiffs relied to establish (1) that they were subject to an abnormally high level of PCB exposure, and (2) that this exposure caused them harm. Because the grant of summary judgment inexorably flowed from these evidentiary rulings, if they are set aside, so must be the summary judgment. Our scrutiny of the rulings will [836]*836focus not only upon their legal foundations, but also on the procedures by which they were made and the adequacy of their articulation.

We conclude that the district court’s evi-dentiary rulings must be set aside for a number of reasons. One problem with the district court's rulings is procedural. The court not only failed to give plaintiffs an adequate opportunity to present their factual and legal contentions on evidentiary issues, but it also ruled on an inadequate factual record and it failed adequately to articulate the bases for its rulings. It also failed to follow the protocols established by the jurisprudence of this court for eviden-tiary rulings governed by Fed.R.Evid. 702 and 703.

Other problems with the district court opinion are substantive. The court applied too stringent a standard to the qualification of experts under Rule 702. The court also erred in its application of the Downing test for the admissibility of novel scientific evidence (under Rule 702). Given these improper evidentiary exclusions, we cannot affirm the district court’s summary judgment ruling. If the improperly excluded evidence is considered, the record contains genuine issues of material fact on the toxic tort issues.

A number of other discrete legal issues are also before us on appeal. These include the viability of plaintiffs’ claims to recover the costs of periodic medical examinations necessary to protect against the development of latent diseases caused by their exposure to PCBs (“medical monitoring”) under Pennsylvania law; the propriety of the district court’s refusal to permit certain plaintiffs voluntarily to dismiss their complaint so as to proceed at a later time when their apparently sub-clinical injuries manifest themselves; and the availability to SEPTA of a lack of notice defense under 42 Pa.Cons.Stat.Ann. § 5522. We find that the district court abused its discretion in refusing to permit the voluntary dismissal without prejudice of certain plaintiffs’ claims, and that the court erred as a matter of law in its analysis of both the medical monitoring and SEPTA notice issues. For all these reasons, we must reverse the grant of summary judgment and remand for further proceedings.

I. PROCEDURAL HISTORY

Plaintiffs filed their complaints in the district court for the Eastern District of Pennsylvania beginning in April 1986. The complaints alleged a variety of theories of recovery, including claims based upon CERCLA, common law tort, and the medical monitoring doctrine. The twenty-one actions before us on this appeal were consolidated. On September 24, 1987, in response to a motion by defendants, the district court filed a case management order which provided a schedule for conducting further discovery and filing summary judgment motions.4

The defendants filed a joint motion for summary judgment.5 After plaintiffs answered the motion, attorneys on both sides [837]*837requested oral argument. In a letter dated October 28, 1988, the court denied these requests, stating that oral argument would be unnecessary “[bjecause the issues contained in those motions have been thoroughly and extensively briefed and because I have been working with this case for over a year_” The court also failed to conduct in limine hearings regarding the admissibility of the plaintiffs’ expert testimony, notwithstanding defendants’ summary judgment strategy that depended largely on exclusion of that testimony under Fed. R.Evid. 702, 703 and 403.

On November 28, 1988, the district court granted defendants’ joint motion for summary judgment against all plaintiffs on the personal injury claims. The court’s order was accompanied by an opinion, discussed below in Part IV, concentrating on the exclusion of plaintiffs’ expert testimony. These appeals followed.

II. APPELLATE JURISDICTION

Defendants make a number of attacks upon our appellate jurisdiction, all of which we find without merit, and only one of which warrants extended discussion: did the original notice of appeal in ten of the cases fail to identify the appealing parties with the specificity required by Torres v. Oakland Scavenger Co., 487 U.S. 312, 108 S.Ct. 2405, 101 L.Ed.2d 285 (1988)?6 In Torres, the notice of appeal was captioned, “Joaquin Moreles Bonilla, et ah, Plaintiffs in intervention.” The body of the notice named fifteen of the sixteen putative appellants, but not Torres. The Court concluded that the notice was insufficient to specify Torres as an appellant, and that he was therefore barred from pursuing his appeal for failing to comply with the requirements of Fed.R.App.P. 3(c). See 487 U.S. at 317-18, 108 S.Ct. at 2409-10.

We recently had the opportunity to construe Torres in Dura Systems, Inc. v. Rothbury Investments, Ltd., 886 F.2d 551 (3d Cir.1989), cert. denied, — U.S. -, 110 S.Ct.

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916 F.2d 829, 31 Fed. R. Serv. 486, 17 A.L.R. 5th 997, 21 Envtl. L. Rep. (Envtl. Law Inst.) 20184, 1990 U.S. App. LEXIS 16631, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-monsanto-co-ca3-1990.