Castano v. American Tobacco Co

CourtCourt of Appeals for the Fifth Circuit
DecidedMay 23, 1996
Docket95-30725
StatusPublished

This text of Castano v. American Tobacco Co (Castano v. American Tobacco Co) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fifth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

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Castano v. American Tobacco Co, (5th Cir. 1996).

Opinion

IN THE UNITED STATES COURT OF APPEALS

FOR THE FIFTH CIRCUIT _______________

No. 95-30725 _______________

DIANNE CASTANO, et al.,

Plaintiffs-Appellees,

VERSUS

THE AMERICAN TOBACCO COMPANY, et al.,

Defendants-Appellants.

_________________________

Appeal from the United States District Court for the Eastern District of Louisiana _________________________ May 23, 1996

Before SMITH, DUHÉ, and DeMOSS, Circuit Judges.

JERRY E. SMITH, Circuit Judge:

In what may be the largest class action ever attempted in

federal court, the district court in this case embarked “on a road

certainly less traveled, if ever taken at all,” Castano v. American

Tobacco Co., 160 F.R.D. 544, 560 (E.D. La. 1995) (citing EDWARD C.

LATHAM, THE POETRY OF ROBERT FROST, “THE ROAD NOT TAKEN” 105 (1969)), and

entered a class certification order. The court defined the class

as:

(a) All nicotine-dependent persons in the United States . . . who have purchased and smoked cigarettes manufac-

1 tured by the defendants;

(b) the estates, representatives, and administrators of these nicotine-dependent cigarette smokers; and

(c) the spouses, children, relatives and “significant others” of these nicotine-dependent cigarette smokers as their heirs or survivors.

Id. at 560-61. The plaintiffs limit the claims to years since

1943.1

This matter comes before us on interlocutory appeal, under

28 U.S.C. § 1292(b), of the class certification order. Concluding

that the district court abused its discretion in certifying the

class, we reverse.

I.

A. The Class Complaint

The plaintiffs2 filed this class complaint against the

defendant tobacco companies3 and the Tobacco Institute, Inc.,

1 The court defined “nicotine-dependent” as:

(a) All cigarette smokers who have been diagnosed by a medical practitioner as nicotine-dependent; and/or (b) All regular cigarette smokers who were or have been advised by a medical practitioner that smoking has had or will have adverse health consequences who thereafter do not or have not quit smoking. Id. at 561. The definition is based upon the criteria for “dependence” set forth in AMERICAN PSYCHIATRIC ASSOCIATION, DIAGNOSTIC AND STATISTICAL MANUAL OF MENTAL DISORDERS (4th ed.). 2 The original class plaintiffs were Ernest R. Perry, Sr., T. George Solomon, Jr., and Dianne A. Castano. The class representatives include Perry, Gloria Scott, and Deania Jackson, all current cigarette smokers. Dianne Castano is a class representative on behalf of her deceased husband, Peter Castano. 3 The defendant tobacco companies are The American Tobacco Company, Inc., R.J. Reynolds Tobacco Company, Brown & Williamson Tobacco Corporation, Phillip Morris, Inc., Liggett & Meyers, Inc., Lorillard Tobacco Company, Inc., and United (continued...)

2 seeking compensation solely for the injury of nicotine addiction.

The gravamen of their complaint is the novel and wholly untested

theory that the defendants fraudulently failed to inform consumers

that nicotine is addictive and manipulated the level of nicotine in

cigarettes to sustain their addictive nature. The class complaint

alleges nine causes of action: fraud and deceit, negligent

misrepresentation, intentional infliction of emotional distress,

negligence and negligent infliction of emotional distress,

violation of state consumer protection statutes, breach of express

warranty, breach of implied warranty, strict product liability, and

redhibition pursuant to the Louisiana Civil Code.

The plaintiffs seek compensatory4 and punitive damages5 and

attorneys’ fees.6 In addition, the plaintiffs seek equitable

relief for fraud and deceit, negligent misrepresentation, violation

of consumer protection statutes, and breach of express and implied

warranty. The equitable remedies include a declaration that

defendants are financially responsible for notifying all class

members of nicotine’s addictive nature, a declaration that the

(...continued) States Tobacco Company. Prior to oral argument, Liggett & Meyers, Inc., filed in this court a motion conditionally to dismiss, without prejudice, its appeal because of a pending settlement with the plaintiffs. We have declined to enter the requested dismissal. 4 The plaintiffs seek compensatory damages for fraud and deceit, negligent misrepresentation, intentional infliction of emotional distress, breach of express and implied warranty, strict products liability, and redhibition. 5 The plaintiffs seek punitive damages for fraud and deceit, intentional infliction of emotional distress, negligence, and negligent infliction of emotional distress. 6 The plaintiffs seek attorneys’ fees for violations of consumer protection statutes and redhibition.

3 defendants manipulated nicotine levels with the intent to sustain

the addiction of plaintiffs and the class members, an order that

the defendants disgorge any profits made from the sale of ciga-

rettes, restitution for sums paid for cigarettes, and the estab-

lishment of a medical monitoring fund.

The plaintiffs initially defined the class as “all nicotine

dependent persons in the United States,” including current, former

and deceased smokers since 1943. Plaintiffs conceded that

addiction would have to be proven by each class member; the

defendants argued that proving class membership will require

individual mini-trials to determine whether addiction actually

exists.

In response to the district court’s inquiry, the plaintiffs

proposed a four-phase trial plan.7 In phase 1, a jury would

determine common issues of “core liability.” Phase 1 issues would

include8 (1) issues of law and fact relating to defendants’ course

of conduct, fraud, and negligence liability (including duty,

standard of care, misrepresentation and concealment, knowledge,

intent); (2) issues of law and fact relating to defendants’ alleged

conspiracy and concert of action; (3) issues of fact relating to

the addictive nature/dependency creating characteristics and

properties of nicotine; (4) issues of fact relating to nicotine

7 The district court did not adopt the plaintiffs’ trial plan, but its order certifying the class incorporates many elements of it. 8 For purposes of clarity, those issues that the district court did not certify as common have been left out of this summary of the plaintiffs’ trial plan.

4 cigarettes as defective products; (5) issues of fact relating to

whether defendants’ wrongful conduct was intentional, reckless or

negligent; (6) identifying which defendants specifically targeted

their advertising and promotional efforts to particular groups

(e.g. youths, minorities, etc.); (7) availability of a presumption

of reliance; (8) whether defendants’ misrepresentations/suppression

of fact and/or of addictive properties of nicotine preclude

availability of a “personal choice” defense; (9) defendants’

liability for actual damages, and the categories of such damages;

(10) defendants’ liability for emotional distress damages; and

(11) defendants’ liability for punitive damages.

Phase 1 would be followed by notice of the trial verdict and

claim forms to class members. In phase 2, the jury would determine

compensatory damages in sample plaintiff cases. The jury then

would establish a ratio of punitive damages to compensatory

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