Cole v. Celotex Corp.

611 So. 2d 153, 1992 WL 364377
CourtLouisiana Court of Appeal
DecidedMarch 26, 1993
Docket91-1221
StatusPublished
Cited by4 cases

This text of 611 So. 2d 153 (Cole v. Celotex Corp.) is published on Counsel Stack Legal Research, covering Louisiana Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cole v. Celotex Corp., 611 So. 2d 153, 1992 WL 364377 (La. Ct. App. 1993).

Opinion

611 So.2d 153 (1992)

Outher COLE, et al., Plaintiff-Appellant,
v.
CELOTEX CORPORATION, et al., Defendant-Appellee.

No. 91-1221.

Court of Appeal of Louisiana, Third Circuit.

December 9, 1992.
Writ Granted March 26, 1993.

*154 Baggett, McCall & Burgess by William B. Baggett, William B. Baggett, Jr., Rebecca S. Young, Lake Charles, for plaintiffs-appellants.

Guillory & McCall by William T. McCall, Robert E. Guillory, Jr., Lake Charles, for defendant—Ins. Co. of North America— appellee.

Laborde & Newuner by James L. Pate, Ben L. Mayeaux, Lafayette, for defendant — M.H. Detrick Co.

Galloway, Johnson, Tompkins & Burr by J. Michael Johnson, Thomas J. Smith, New Orleans, for defendant—Combustion Engineering, Inc.

Jones, Tete, Nolen, Hanchey, Swift & Spears, by Kenneth R. Spears, Lake Charles, for defendant—Oxy Oil & Gas USA, Inc.

Forman, Perry, Watkins & Krutz, by Richard L. Forman, Jackson, MS, for defendant —Keene Corp.

Weeler, Wheelus & Green by David L. Tolin, Beaumont, TX, Edwin A. Ellinhausen, Porteous, Hainkel, Johnson & Sarpy, New Orleans, LA, for defendant—Pittsburgh Corning Corp. Fibreboard Corp.

Phelps, Dunbar, Marks, Claverie & Sims by Richard N. Dicharry, Stephen P. Hall, New Orleans, for defendants—Ernest Alfred Moore As Representative Of Certain Underwriters at Lloyd's London & Certain Market London Ins. Companies.

Montgomery, Barnett, Brown, Read, Hammond & Mintz by Lawrence G. Pugh, III, New Orleans, for defendant—The Celotex Corp.

Lemle, Kelleher, Kohlmeyer, Dennery, Hunley, Moss & Frilot by Michael T. Cali, New Orleans, for defendant—Owens-Corning Fiberglas Corp.

Deutsch, Kerrigan & Stiles by Janet L. MacDonell, Robert E. Kerrigan, Jr., A. Wendel Stout, New Orleans, for defendants —GAF Corp., Keene Corp., Nat. Gypsum Co., Quigley Co., Inc. U.S. Gypsum Co.

Maria I. O'Byrne Stephenson, Maria I. Patino Caro, Lisa C. Matthews, New Orleans, for defendant—Rock Wool Mfg. Co.

Adams and Johnston by D. Russell Holwadel, Jesse R. Adams, Jr., Robert M. Johnston, Thomas S. Morse, New Orleans, for defendant—The Manville Corp. Asbestos Disease Compensation Fund ("The Manville Trust").

Plauche, Smith & Nieset by Christopher P. Ieyoub, Lake Charles, for defendant— W.R. Grace & Co.

Before LABORDE and THIBODEAUX, JJ., and CULPEPPER[*], J. Pro Tem.

WILLIAM A. CULPEPPER, Judge Pro Tem.

The issue in this delictual action is when the one-year prescription began to run. Plaintiff, Wilburn Robertson, filed suit on October 22, 1986, alleging he developed asbestosis resulting from exposure to asbestos dust during his employment with Cities Service Company. Two defendants, Owens-Illinois, Inc. and Pittsburgh Corning *155 Corporation, manufacturers of asbestos, filed exceptions of prescription. The trial court sustained the exceptions and dismissed plaintiff's suit. Plaintiff appeals.

FACTS

Plaintiff began working with Cities Service in 1950 as a carpenter. He was promoted in 1974 to maintenance foreman, a position from which he retired in 1985. Plaintiff received periodic physical exams during his employment with Cities Service, and in 1979 was advised that his chest X-rays were abnormal, and that he had a "condition in his lungs" which was aggravated by working around asbestos. As a result, plaintiff was placed in the "Asbestos Survey Program," and was examined once a year.

In 1983, in an examination conducted by Dr. Bonnie Camp under the "Asbestos Survey Program," the plaintiff's chest X-rays were again found to be abnormal. He was informed of this and given a work restriction requiring him to stay away from asbestos, even while wearing a respirator. Plaintiff was then referred to Dr. Jana Kaimal for further evaluation. Dr. Kaimal concluded plaintiff had evidence of asbestos-related lung disease. Dr. Camp then consulted with plaintiff on August 11, 1983 and informed him of Dr. Kaimal's findings and conclusion.

Plaintiff was again examined in May of 1984, and was again restricted from any contact with asbestos in the plant. A chest X-ray report confirmed the abnormalities previously noted by Dr. Kaimal. On the examination form, Dr. Camp required plaintiff to have no exposure to asbestos even with a respirator. Plaintiff signed this form.

In December of 1984, as plaintiff was nearing retirement, he requested to be kept on the "Asbestos Survey Program", and this request was granted. Plaintiff also specifically requested an extra copy of Dr. Kaimal's report of July 19, 1983, which concluded that plaintiff had an asbestos-related lung disease. Plaintiff received this report, as documented by his signature on the "Signature Form for Documentation of Release of Records."

On May 1, 1985, after plaintiff's retirement, he was examined and again notified his X-rays were suggestive of asbestosis. Despite this, plaintiff maintains the first time he thought he had asbestosis was in December of 1986, when Dr. Jack Van Campen told him he did.

Plaintiff filed suit in federal court on October 22, 1986. On December 22, 1987, plaintiff filed a complaint in state district court. In 1989, plaintiff's federal action was dismissed, without prejudice, as of non-suit.

ACTION OF THE TRIAL COURT

The defendants/appellees filed exceptions of prescription in the district court, and the matter was submitted on briefs, depositions and documentary evidence. On January 10, 1989, the trial court rendered written reasons sustaining the exceptions of prescription. Judgment was signed on November 28, 1989.

On appeal, plaintiff asserts, as his lone assignment of error, that the trial court erred in sustaining the exceptions of prescription. In his brief, plaintiff asserts a number of theories as to why prescription was either interrupted or suspended. We will address each theory in turn.

LAW OF LIBERATIVE PRESCRIPTION

A one-year liberative prescription applies to all delictual actions, LSA-C.C. art. 3492. This matter is a delictual action, and thus would prescribe one year from the day injury was sustained.

Generally, in a typical traumatic injury tort situation, there is little difficulty in determining the moment at which prescription begins to run. However, in situations where the injuries sustained do not immediately manifest themselves, it is often difficult to pinpoint the precise moment at which prescription begins. In these situations, prescription commences when a plaintiff has actual or constructive knowledge of facts indicating to a reasonable person that he is the victim of a tort. *156 Phillips v. Hamilton Medical Group, 507 So.2d 277 (La.App. 3 Cir.1987), writ den., 512 So.2d 458 (La.1987), cert. den., 484 U.S. 1013, 108 S.Ct. 717, 98 L.Ed.2d 666 (1988).

Plaintiff argues that the trial judge, in his written reasons, erred in using the standard from Cartwright v. Chrysler Corporation, 232 So.2d 285 (La.1970). The trial judge stated that "Constructive knowledge is whatever notice is enough to excite attention and put the injured party on guard and call for inquiry." Cartwright contains similar language. Plaintiff points out that in Jordan v. Employee Transfer Corp., 509 So.2d 420 (La.1987), the court stated:

The language in Cartwright, quoted in footnote 1, is an incomplete definition of the kind of notice that will start the running of prescription.

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