Cooke v. United States

1 Cl. Ct. 695, 1983 U.S. Claims LEXIS 1839
CourtUnited States Court of Claims
DecidedMarch 3, 1983
DocketNo. 581-82C
StatusPublished
Cited by23 cases

This text of 1 Cl. Ct. 695 (Cooke v. United States) is published on Counsel Stack Legal Research, covering United States Court of Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cooke v. United States, 1 Cl. Ct. 695, 1983 U.S. Claims LEXIS 1839 (cc 1983).

Opinion

ORDER

KOZINSKI, Chief Judge.

This suit was brought by several of the American citizens taken hostage in Tehran, Iran, on November 4, 1979, and released on January 20,1981, and by persons who were their spouses, parents and children during that period. Plaintiffs have moved that the court certify the case as a class action pursuant to RUSCC 23 and designate them as class representatives. Defendant filed an opposition on December 10, 1982.

On December 14, 1982, the court sua sponte notified John Coale, counsel for plaintiffs in Amburn-Lijek v. United States, No. 564-82C (USCC filed Nov. 4, 1982), granting him leave to file an amicus brief or participate in oral argument on the motion. Mr. Coale appeared at the December 23, 1982, hearing and represented that he did not oppose certification, largely because the proposed class would not include his clients. However, Mr. Coale also stated that other attorneys representing former hostages and their families wished to address the motion. The court allowed until January 3, 1983, for submission of amicus briefs.

[697]*697One amicus brief was filed by counsel for certain appellants in McKeel v. Islamic Republic of Iran, Nos. 82-5111, 82-5114, 82-5115, 82-5116, 82-5117, 82-5417 (9th Cir. filed 1982). These persons would be within the proposed class. The brief neither supported nor opposed certification but merely alerted the court to various procedural ramifications.

On January 5, 1983, plaintiffs moved to suspend proceedings because the D.C. Circuit had granted rehearing in Persinger v. Islamic Republic of Iran, 690 F.2d 1010 (D.C.Cir.1982). Because both parties agreed that resolution of the Persinger motion could materially affect the course of this litigation, the court granted the stay.1 However, it was agreed that the court would rule on the motion for class certification.

FACTS

Plaintiffs are suing for damages suffered due to the imprisonment of American citizens by Iran. They claim that the former hostages, their parents, spouses and children, each had a valid cause of action against Iran and that this cause of action constituted a valuable property right. They further claim that the United States deprived them of this property when President Carter signed the so-called Algiers Accords, Jan. 19, 1981, United States-Algeria-Iran, reprinted in 20 Int’l Legal Materials 224 (1981), precluding plaintiffs from suing for damages suffered as a result of the hostage seizures.2

The essence of plaintiffs’ claims, therefore, is that the President’s action constituted a taking of their property for which they are entitled to just compensation under the fifth amendment. Should plaintiffs prevail on this theory, they would be entitled to establish what they could have recovered against Iran and obtain the same amount from the United States. The United States, in turn, could raise any defenses to which Iran would have been entitled.

DISCUSSION

A. Preliminary Considerations

Plaintiffs argue that certification of the proposed class would expedite the litigation and provide a superior way to adjudicate these claims. Defendant argues that there is no possibility of inconsistent adjudications, that common issues are few and separate issues are many, and that certification of the class would do little or nothing to facilitate resolution of the dispute.

Much of the authority on which the parties rely consists of cases interpreting FRCP 23, which is similar to RUSCC 23. However, there are at least three practical differences between our class action rule and the rule in the district courts: (1) under our rule, class members are not bound by adjudication of the class action unless they specifically opt into the case;3 (2) there is generally little or no possibility of inconsistent adjudications of the same issue since the jurisdiction of this court is usually exclusive; 4 and (3) because the defendant in [698]*698our cases is always the same — the United States — it may be bound by adverse determinations even vis-a-vis individuals who are not parties to the litigation. See, e.g., Monterey Life Systems, Inc. v. United States, 225 Ct.Cl. 50, 60-61, 685 F.2d 821, 826-27 (1980); Swank v. United States, 221 Ct.Cl. 246, 249 (1979).

These differences suggest that the following policies should govern our discretion in granting class certification:

(1) Certification should be granted most liberally in cases that fall within our areas of concurrent jurisdiction and thereby are subject to the risks of inconsistent adjudications. Cases subject to our exclusive jurisdiction should receive more skeptical consideration.

(2) A showing of common factual issues should be weighed more heavily than a showing of common legal issues in granting certification. Resolution of factual disputes often involves significant expense. Insofar as factual issues are truly common to large groups of potential plaintiffs, class certification may be useful in avoiding repetitive lawsuits and in spreading the burden of litigation. On the other hand, the Claims Court can resolve common legal issues relatively inexpensively by motion in a single case. In the areas of our exclusive jurisdiction, such resolution will generally be conclusive under principles of stare decisis, subject only to the normal appeals process. Thus, a showing of legal commonality, while significant in FRCP 23 motions, is of relatively little import under RUSCC 23.

(3) Certification should be granted most liberally where the amount of the individual recovery is small in relation to the litigation costs. See Quinauit Allotee Ass’n v. United States, 197 Ct.Cl. 134 (1972). It is not necessary that the litigating costs exceed the likely recovery of each plaintiff. It is sufficient that the probable cost of litigation would render individual actions unprofitable or create a serious free-rider problem.

(4) Because RUSCC 23 calls for an opt-in procedure rather than the opt-out procedure in FRCP 23, class certification puts the court in the position of issuing an invitation to potential litigants to come forward and assert their claims. This is a decidedly uncomfortable position for a court to assume under our system of jurisprudence. The court should therefore be reluctant to certify a class unless it is convinced that to do so would serve the interests of justice.

B. Application to this Case

Like FRCP 23, our rule requires as a condition for class certification that the proposed class meet all the requirements of subsection (a). In addition, the class must meet one of the requirements of subsection (b). Unlike FRCP 23, however, it makes no difference which part of subsection (b) is met since notice to potential class members (and the consequent opt-in procedure) is always the same.

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Bluebook (online)
1 Cl. Ct. 695, 1983 U.S. Claims LEXIS 1839, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cooke-v-united-states-cc-1983.