CSr Ltd. v. Cigna Corp.

405 F. Supp. 2d 526, 2005 U.S. Dist. LEXIS 35550, 2005 WL 3479908
CourtDistrict Court, D. New Jersey
DecidedDecember 13, 2005
DocketCIV.A. 95-2947(HAA)
StatusPublished
Cited by6 cases

This text of 405 F. Supp. 2d 526 (CSr Ltd. v. Cigna Corp.) is published on Counsel Stack Legal Research, covering District Court, D. New Jersey primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
CSr Ltd. v. Cigna Corp., 405 F. Supp. 2d 526, 2005 U.S. Dist. LEXIS 35550, 2005 WL 3479908 (D.N.J. 2005).

Opinion

AMENDED OPINION AND ORDER *

ACKERMAN, Senior District Judge.

This matter comes before the Court on the motions for partial summary judgment filed by Defendants ACE Insurance Ltd., ACE Insurance Company SA-NV, Insurance Company of North America, Insurance Company of North America (UK) Ltd., and Certain of the Australian, European, and London Market Insurer Defendants (collectively “Defendants” or “Insurers”), and the motion and cross-motions for partial summary judgment filed by Plaintiffs CSR Limited and Rinker Materials Corporation (collectively “CSR” or “Plaintiffs”).

The parties have filed a total of sixteen motions and cross-motions for partial summary judgment in this matter. This Opinion and Order will only address the motions styled as Defendants’ Motion for Summary Judgment Dismissing Counts III and TV for Lack of Subject Matter Jurisdiction and Plaintiffs’ Cross Motion that this Court Does Have Subject Matter Jurisdiction over Plaintiffs’ Federal and New Jersey Antitrust Claims. The Court will resolve the other pending summary judgment motions in this matter in subsequent opinions.

For the following reasons, Defendants’ motion for summary judgment dismissing Counts III and TV for lack of subject matter jurisdiction is GRANTED in part and DENIED in part. The Court will dismiss Counts III and IV of Plaintiffs’ Second Amended Complaint with regard to CSR Limited for lack of subject matter jurisdiction, and will exercise subject matter jurisdiction over Counts III and IV with regard to Rinker Materials Corporation (f/k/a CSR America, Inc.). Plaintiffs’ related cross-motion is DENIED.

Background

Plaintiff CSR Limited (“CSR”) is an Australian public company headquartered in Sydney, Australia. From 1949 to 1966, CSR sold raw asbestos fiber mined by one of its subsidiaries, Midalco Pty Limited (“Midalco”). Midalco mined this asbestos fiber from a mine owned by Midalco in Wittenoom, Western Australia (‘Witte-noom” or “Wittenoom mine”). CSR sold raw asbestos fiber from its Wittenoom mine to, among others, Johns-Manville Corporation (“Manville”), which operated its main plant in Manville, New Jersey. CSR first delivered Wittenoom asbestos to Manville in 1949, and its last sale of asbestos to Manville occurred in or about 1966. In 1966, the Wittenoom mine closed and asbestos-mining activities at the mine ceased. CSR’s sales of raw asbestos fiber to Manville have resulted in the initiation of more than 129,000 asbestos-related personal injury claims in the United States against CSR Limited and/or its American subsidiary CSR America, Inc., presently known as Rinker Materials Corporation (hereinafter “CSR America”). These claims have been brought by persons suffering exposure to raw asbestos fiber at or in the vicinity of Manville plants in New Jersey and elsewhere, and to finished Manville products containing asbestos mined and sold to Manville by CSR.

*530 Defendants comprise various insurance companies who issued or subscribed to primary or umbrella excess general liability insurance policies in favor of CSR during the period of November 2, 1978 to March 31, 1989 (“post-1978 policies”). These Defendants include: Insurance Company of North America and its subsidiaries, including its Australian subsidiary, Insurance Company of North America (Australia) Limited, later known as CIGNA Insurance Company (Australia) Ltd. (“INA” or “CIGNA”); 1 and various other insurance companies known in this litigation as Certain of the Australian, European, and London Market Insurer Defendants (Coughlin Duffy or “CD Defendants”). INA was the lead primary insurer on the post^l978 policies and also served as the lead insurer on some of the umbrella and excess insurance layers. As lead insurer on a significant portion of the policies, INA/CIGNA conducted the majority of the administration of, negotiations over, and renewal of the post-1978 policies.

In 1981, CSR first notified its pre-1978 insurers of its asbestos claims in the United States and that CSR might seek indemnity from those insurers. CSR first presented formal notice of demand for indemnification for asbestos-related claims to the Defendant post-1978 Insurers in a letter dated November 29, 1991. (Certif. of Todd G. Cosenza (“Cosenza Certif.”), Ex. 7.) Defendants denied CSR’s claim for coverage of CSR’s United States asbestos-related liabilities in a February 20, 1992 letter from Anthony Seotford, an attorney retained by Defendants in relation to CSR’s claim. On March 17, 1992, CSR sent a letter to the Insurers which purported to withdraw its asbestos-coverage claims and acknowledge that the policies did not cover asbestos-related claims stemming from the operation of the Witte-noom mine or the sale of asbestos mined at Wittenoom. (Cosenza Certif., Ex. 56.)

This action results from Defendants’ handling of the November 1991 claims and ultimate denial of coverage for those claims under the post-1978 policies. CSR also alleges a group boycott by the Defendant Insurers in which Defendants threatened denial of new or renewal insurance for CSR unless CSR withdrew its November 1991 request for coverage. CSR’s Second Amended Complaint (“SAC”) alleges federal antitrust claims under Section 1 of the Sherman Act (Count III) and New Jersey state antitrust claims under N.J.S.A. § 56:9-3 (Count IV).

The instant motions do not broadly implicate the substantive merits of CSR’s group boycott claim and therefore do not require this Court to revisit its prior discussion of the per se and Rule of Reason approaches, or to determine which analysis will ultimately apply in this matter. Rather, Defendants in their instant motion challenge this Court’s subject matter jurisdiction over CSR’s federal and state antitrust claims under the Foreign Trade Antitrust Improvements Act of 1982 (“FTAIA”), 15 U.S.C. § 6a. As discussed in great detail later in this opinion, the FTAIA sets forth conditions on jurisdiction under the Sherman Act over claims involving trade or commerce with foreign *531 nations and focuses primarily on the general nature of the alleged conduct and especially the geographic focus of that conduct’s alleged anticompetitive effects. Because the parties do not seek summary judgment on the merits of CSR’s antitrust claims, this Court need not delve into the extensive, disputed factual background produced during discovery concerning the minute details and alleged proofs of the claimed group boycott here.

However, as will be seen, the jurisdictional requirements outlined in the FTAIA may not be easily distinguished from certain substantive antitrust elements, such as antitrust injury. Therefore, the Court will briefly discuss, for background and jurisdictional purposes only, general factual allegations regarding the workings of the alleged boycott itself and the evidence relevant to proof of concerted action. The Court stresses that it does not purport to make conclusive factual findings on the merits in this opinion, and only discusses background facts to the extent necessary for clarity and to provide the basis for the Court’s jurisdictional analysis.

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Bluebook (online)
405 F. Supp. 2d 526, 2005 U.S. Dist. LEXIS 35550, 2005 WL 3479908, Counsel Stack Legal Research, https://law.counselstack.com/opinion/csr-ltd-v-cigna-corp-njd-2005.