1 2 FILED IN THE U.S. DISTRICT COURT EASTERN DISTRICT OF WASHINGTON 3 Dec 17, 2024 4 SEAN F. MCAVOY, CLERK 5 UNITED STATES DISTRICT COURT EASTERN DISTRICT OF WASHINGTON 6
7 JEFFERY ALLEN FORTIN, NO. 2:24-CV-0279-TOR 8 Plaintiff, ORDER GRANTING DEFENDANTS’ 9 v. MOTION TO DISMISS
10 ABBOTT LABORATORIES, INC., AND ABBVIE, INC., 11 Defendants. 12
13 BEFORE THE COURT is Defendants’ Motion to Dismiss (ECF No. 9). 14 This matter was submitted for consideration without oral argument. The Court has 15 reviewed the record and files herein and is fully informed. For the reasons 16 discussed below, Defendants’ Motion to Dismiss (ECF No. 9) is GRANTED. 17 BACKGROUND 18 This matter arises out of alleged injury inflicted after Plaintiff received doses 19 of the Humira vaccine in 2021. ECF No. 4 at 4. When he first began receiving 20 Humira, he was told the side effects were “minimal,” and included Tuberculosis 1 and “some infections.” Id. Plaintiff maintains he received routine doses for ten 2 months without incident. Id.
3 Plaintiff was also taking prednisone, a corticosteroid, to treat his rheumatoid 4 arthritis and inflammation. Id. Defendants maintain that Humira’s labeling 5 contains a “black box” warning which states that patients treated with the drug “are
6 at increased risk for developing serious infections that may lead to hospitalization 7 or death,” and “[m]ost patients who developed these infections were taking 8 concomitant immunosuppressants such as . . . corticosteroids.” ECF No. 9 at 3. 9 Then, on or about October 6, 2021, Plaintiff noticed that his vision became blurry
10 and obstructed by floaters, in response to a stressful event. ECF No. 4 at 5. 11 Plaintiff went to his rheumatologist, who referred him to a specialist that 12 recommended surgery to repair damage to his eye. Id. Plaintiff ultimately
13 declined the surgery because he was advised that the risk outweighed the reward. 14 Id. 15 Plaintiff presents that he has been diagnosed with ocular disease, ocular 16 retinitis of the right eye, and developed chickenpox in his right eye. Id. at 7. To
17 treat the infection, Plaintiff had to receive three shots in his right eye and has 18 permanent vision loss. Id. Also, as a result of this sudden vision loss, Plaintiff 19 states that he fell getting out of bed and broke his wrist. Id. He alleges he will be
20 required to take immune system support drugs for the rest of his life. Plaintiff 1 attributes his vision loss and related impairments to receiving Humira because his 2 “T-cell count,” increased after he stopped receiving the drug. Id.
3 Defendants move for dismissal under Federal Rule of Civil Procedure 4 12(b)(6), arguing that Plaintiff has failed to establish any cognizable claim under 5 the Washington Product Liability Act, and has likewise failed to respond in
6 substance to the motion. ECF Nos. 9, 13. Plaintiff has filed a “Motion to Quash,” 7 and for leave to file a Second Amended Complaint. ECF No. 12. 8 DISCUSSION 9 I. Motion to Dismiss Standard
10 Federal Rule of Civil Procedure 12(b)(6) provides that a defendant may 11 move to dismiss the complaint for “failure to state a claim upon which relief can be 12 granted.” A 12(b)(6) motion will be denied if the plaintiff alleges “sufficient
13 factual matter, accepted as true, to ‘state a claim to relief that is plausible on its 14 face.’” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009) (quoting Bell Atl. Corp. v. 15 Twombly, 550 U.S. 544, 570 (2007)). A motion to dismiss for failure to state a 16 claim “tests the legal sufficiency” of the plaintiff’s claims. Navarro v. Block, 250
17 F.3d 729, 732 (9th Cir. 2001). While the plaintiff's “allegations of material fact are 18 taken as true and construed in the light most favorable to the plaintiff” the plaintiff 19 cannot rely on “conclusory allegations of law and unwarranted inferences ... to
20 defeat a motion to dismiss for failure to state a claim.” In re Stac Elecs. Sec. Litig., 1 89 F.3d 1399, 1403 (9th Cir. 1996) (citation and brackets omitted). That is, the 2 plaintiff must provide “more than labels and conclusions, and a formulaic
3 recitation of the elements.” Twombly, 550 U.S. at 555. Instead, a plaintiff must 4 show “factual content that allows the court to draw the reasonable inference that 5 the defendant is liable for the alleged misconduct.” Iqbal, 556 U.S. 662. A claim
6 may be dismissed only if “it appears beyond doubt that the plaintiff can prove no 7 set of facts in support of his claim which would entitle him to relief.” Navarro, 8 250 F.3d at 732. 9 Here, Plaintiff is proceeding pro se. While pro se pleadings are held to less
10 stringent standards than those prepared by attorneys, pro se litigants in the ordinary 11 civil case should not be treated more favorably than parties with attorneys of 12 record. See Jacobsen v. Filler, 790 F.2d 1362, 1364 (9th Cir. 1986).
13 Federal Rule of Civil Procedure 15 provides that “the court should freely 14 give leave [to amend] when justice so requires.” Fed. R. Civ. P. 15(a)(2). In 15 deciding whether leave to amend should be granted, a court must consider the 16 following five factors: “(1) bad faith; (2) undue delay; (3) prejudice to the
17 opposing party; (4) futility of amendment; and (5) whether the plaintiff has 18 previously amended his complaint.” Nunes v. Ashcroft, 375 F.3d 805, 808 (9th 19 Cir. 2004). The Ninth Circuit has repeatedly instructed district courts to “grant
20 leave to amend even if no request to amend the pleading was made, unless . . . the 1 pleading could not possibly be cured by the allegation of other facts.” Lopez v. 2 Smith, 203 F.3d 1122, 1130 (9th Cir.2000).
3 As a preliminary matter, the Court considers Defendants’ Motion to Dismiss 4 as it relates to Plaintiff’s First Amended Complaint. ECF No. 4. Pursuant to 5 Federal Rule of Civil Procedure 15(a)(1)(A), a party may amend its pleading once
6 as a matter of course, provided it does so within 21 days of filing the complaint, or, 7 if the pleading is one which requires a response, within 21-days of the filing of 8 defendant’s answer. Fed. R. Civ. P. 15(a)(1)(B). Outside of that window, a party 9 may only amend its complaint with the opposing party’s written consent or a grant
10 of leave from the court. Fed. R. Civ. P. 15(a)(2). The Court construes Plaintiff’s 11 filings at ECF Nos. 12 and 14 in part as a Response to Defendants’ Motion to 12 Dismiss, and in part as a Motion to Amend. But because Plaintiff has not yet
13 satisfied Federal Rule of Civil Procedure 15(a)(2), the Court considers the 14 arguments of all parties only as they relate to the operative Complaint found at 15 ECF No. 4. 16
17 II. The Washington Products Liability Act 18 This matter is before this Court on the basis of its diversity jurisdiction 19 pursuant to 28 U.S.C. § 1332(a)(1); Plaintiff is a citizen of Washington State and
20 Defendants are citizens of Delaware and Illinois. And the amount in controversy 1 exceeds $75,000. ECF Nos. 4, 10, 11. As a federal court sitting in diversity 2 jurisdiction in Washington, this Court applies Washington’s choice-of-law rules.
3 See Patton v. Cox, 276 F.3d 493, 495 (9th Cir. 2001). Washington courts will only 4 engage in a choice-of-law analysis if there is actual conflict between Washington 5 law and the laws or interests of another state. FutureSelect Portfolio Mgmt., Inc.
6 Tremont Grp. Holdings, Inc., 180 Wash. 2d 954, 967 (2014). Here, both parties 7 are seemingly in agreement that Washington law applies. 8 This claim is properly analyzed under the Washington Product Liability Act 9 (“WPLA”), the exclusive remedy for product liability claims under Washington
10 law. See Bylsma v. Burger King Corp., 176 Wash. 2d 555, 559 (2013). To 11 successfully state a claim for relief under the WPLA, a plaintiff must demonstrate 12 that his or her injury was proximately caused by the negligence of the
13 manufacturer through four general categories: (1) defective design; (2) a failure to 14 warn; (3) defective manufacturing; or (4) a breach of express or implied warranty. 15 RCW 7.72.030. Plaintiff’s First Amended Complaint does not provide discrete 16 causes of action under Washington law. While a plaintiff need not define these
17 specific theories of liability prior to conducting discovery, in order to survive a 18 motion to dismiss, the complaint must contain sufficient non-conclusory factual 19 allegations to support at least one of the factors available under the WPLA. Staub
20 v. Zimmer, Inc., No. C17-0508JLR, 2017 WL 2506166, at *2 (W.D. Wash. June 9, 1 2017). 2 1. Defective Design
3 Plaintiff’s First Amended Complaint does not contain any claim related to 4 design defect, but his response to Defendants’ Motion to Dismiss lays out two 5 separate theories. First, he argues that Humira’s design is not reasonably safe
6 because consumers would not expect the level of immune suppression and 7 resulting infection he has experienced. ECF No. 14 at 8. Next, he argues that the 8 existence of other drugs with “more targeted mechanisms of action,” proves that 9 Humira could be produced more safely in a technically and economically feasible
10 way. Id. at 9. 11 To successfully claim defective design, a plaintiff’s complaint must contain 12 allegations that “at the time of manufacture, the likelihood that the product would
13 cause plaintiff's harm or similar harms, and the seriousness of those harms 14 outweighs the burden on the manufacturer to design a product that would have 15 prevented those harms and the adverse effect” and that a practical, feasible 16 alternative design would not have an adverse effect on the product's usefulness.
17 RCW § 7.72.030(1)(a). 18 However, claims of design defects of pharmaceutical drugs are preempted 19 by federal law when they conflict with a state law risk balancing test. See U.S.
20 CONST., Art. VI, cl. 2; Gade v. National Solid Wastes Management Assn., 505 U.S. 1 88, 108 (1992). Even without an expression of preemption within a federal law, a 2 state law is still preempted when it is “impossible for a private party to comply
3 with both state and federal requirements.” English v. General Elec. Co., 496 U.S. 4 72, 79 (1990). 5 The Federal Food, Drug, and Cosmetic Act (“FDCA”) mandates that the
6 Food and Drug Administration (“FDA”) approve any name brand or generic drug 7 before a manufacturer may market it in interstate commerce. 21 U.S.C. § 355. 8 “Once a drug—whether generic or brand-name—is approved, the manufacturer is 9 prohibited from making any major changes to the ‘qualitative or quantitative
10 formulation of the drug product, including active ingredients, or in the 11 specifications provided in the approved application.’” Mut. Pharm. Co. v. Bartlett, 12 570 U.S. 472, 477 (2013) (citing 21 C.F.R. § 314.70(b)(2)(i)); see also Holcomb v.
13 Pfizer, Inc., No. 120CV01008ADABAM, 2022 WL 17670003, at *5 (E.D. Cal. 14 Dec. 14, 2022) (“Even when a plaintiff identifies a specific defect, however, 15 federal regulations make it impossible for manufacturers to make ‘major changes’ 16 to a prescription drug in response to a state law risk/benefit balancing test without
17 pre-approval from the FDA.”). Thus, to the extent that Plaintiff is lodging a claim 18 that Defendants could have made the product safer at any point after it was 19 approved by the FDA, such claim is preempted.
20 Construed liberally, Plaintiff seems to be advancing an argument that 1 Defendants could have developed a safer product prior to FDA approval. While 2 not contained in the First Amended Complaint itself, he argues in his Response,
3 “plaintiff’s design defect claim centers not on unapproved changes to Humira’s 4 formulation but rather on the product’s overall safety and whether alternative 5 designs could have reduced harm.” ECF No. 14 at 10.
6 Preemption aside, it does not appear that Humira is defective in design. In 7 his Motion to Quash, Plaintiff points to two tests Washington state courts have 8 operationalized to determine whether a product is defectively designed: the risk 9 utility test and the consumer expectations test. Thongchoom v. Graco Children's
10 Prods., Inc., 117 Wash. App. 299, 304 (2003). The risk utility test questions the 11 likelihood that the manufactured product would have caused a plaintiff’s harms, 12 and whether the manufactured had a duty to design a product that would have
13 prevented those harms given their seriousness. Soproni v. Polygon Apartment 14 Partners, 137 Wash. 2d 319, 326 (1999). Washington courts have looked to 15 whether a different design would be feasible while keeping in mind the product’s 16 purpose. See Thongchoom, 117 Wash. App. at 304 (finding that a change in design
17 to a product designed to give a baby mobility would render the product useless for 18 its intended purpose); Neilson v. Corp. of Presiding Bishop of Church of Jesus 19 Christ of Latter Day Saints, 113 Wash. App. 1050 (2002) (holding that a change in
20 design to a trampoline would not have prevented injury). Under the consumer 1 expectation test, a plaintiff must show “[t]he relative cost of the product, the 2 gravity of the potential harm from the claimed defect and the cost and feasibility of
3 eliminating or minimizing the risk.” Pagnotta v. Beall Trailers of Oregon, Inc., 99 4 Wash.App. 28, 36 (2000) (quoting Seattle–First Nat'l Bank v. Tabert, 86 Wash.2d 5 145, 154 (1975)). Under the consumer expectation test, a manufacturer may not be
6 held liable just because a product causes harm, it must be demonstrated that the 7 product is not reasonably safe. Neilson, 113 Wash. App. 1050 (2002). 8 Plaintiff’s risk utility theory is essentially that because other drugs with 9 different formulations function similarly to Humira, it is feasible to design the drug
10 in a safer way. In addition to being vague, what is lacking from this line of 11 reasoning is a consideration of how Humira and drugs like it work. Plaintiff does 12 not put forward an allegation that he could take another drug that treats rheumatoid
13 arthritis in conjunction with a corticosteroid and not be exposed to the same level 14 of risk for immune suppression. And given the purpose of rheumatoid arthritis 15 treatments like Humira, to interact with the immune system to reduce 16 inflammation, it doesn’t seem likely that he could make such an argument. ECF
17 Nos. 9 at 3 (“Plaintiff alleges that his rheumatologist prescribed him Humira for 18 treatment of his rheumatoid arthritis and inflammation.”) and 13 at 8 (“Humira is 19 described in its own labeling as an immunosuppressant.”)
20 Plaintiff’s consumer expectation argument fairs no better. Plaintiff argues 1 that there is no way that a consumer, even under the supervision of a doctor, could 2 possibly know about the risk of immune suppression when taking Humira. The
3 first line of the warning label states1: 4 Patients treated with HUMIRA are at increased risk for developing serious infections that may lead to hospitalization or death. Most 5 patients who developed these infections were taking concomitant immunosuppressants such as methotrexate or corticosteroids. 6
7 ECF No. 9 at 3.2 8 Within the first page of the warning label, the document discusses patients 9
10 1 The Court may take judicial notice of Humira’s FDA approved warning label 11 without converting a Rule 12(b)(6) Motion to Dismiss into a Rule 56 Motion for 12 Summary Judgment. Pursuant to Federal Rule of Evidence 201(b), “[t]he court 13 may judicially notice a fact that is not subject to reasonable dispute because it: (1) 14 is generally known within the trial court's territorial jurisdiction; or (2) can be 15 accurately and readily determined from sources whose accuracy cannot be 16 reasonably questioned.” Here, the FDA’s warning label falls into the latter 17 category, a “source whose accuracy cannot be reasonably questioned.” See Curtis 18 v. Inslee, 709 F. Supp. 3d 1257, 1265 (W.D. Wash. 2023). 19 2 Citing to FDA Labeling, https://www.accessdata.fda.gov/drugsatfda_ 20 docs/label/2020/125057s418s419lbl.pdf (last visited December 16, 2024) 1 increased risk for bacterial, viral, and other infections, and cautions that the risks 2 and benefits of the treatment should be weighed before beginning treatment in
3 patients with chronic or recurrent infections. The warning box directs the 4 administer of Humira to Subsection 5, where it details that certain side effects, 5 including serious infections due to viral pathogens, have been discovered in
6 patients, especially those taking an immunosuppressant such as a corticosteroid.3 7 The label also discusses that some people who have experienced such infections 8 have been hospitalized or died.4 And it cautions against prescribing Humira for 9 patients taking an immunosuppressant because those patients will be a greater risk
10 for an opportunistic infection. Plaintiff argues that the specific risks of a 11 resurgence of chickenpox, ocular side effects, and intense immune suppression 12 were not explicitly mentioned within the warning label, and thus a patient
13 receiving the drug could not have anticipated the degree of side effects. ECF No. 14 14 at 9. With respect to the intense immune suppression, the Court disagrees, 15 finding that the label is rife with warnings that Humira increases the risk of 16 immune suppression when taken with a corticosteroid, which could lead to a viral
17 infection, like a resurgence of chickenpox. Thus, patients who received Humira 18 19 3 Id. 20 4 Id. 1 while taking a corticosteroid should be on notice of the risk of intense immune 2 suppression that may lead to a viral infection.
3 Plaintiff’s claim for design defect does not appear in his First Amended 4 Complaint, and the Court dismisses this cause of action with prejudice because, 5 based on the above reasoning, amendment would be futile. See United States v.
6 Corinthian Colleges, 655 F.3d 984, 995 (9th Cir.2011). 7 2. Duty to Warn 8 Plaintiff’s First Amended Complaint alleges that he was not adequately 9 warned of the possible side effects of Humira when he first began taking it in
10 January of 2021. ECF No. 4 at 4. In taking into account his Response to 11 Defendants’ Motion to Dismiss, he seems to also advance a theory that his doctor 12 was not made aware of the risks involved in administering Humira, including the
13 possibility that a patient may suffer with ocular chickenpox as a result of a 14 suppressed immune system. ECF No. 14 at 7. His argument centers on the idea 15 that if he had been aware of the risks, he would not have pursued Humira in the 16 course of his treatment.
17 In general, a plaintiff must show that (1) a manufacturer's product (2) was 18 not reasonably safe because of lack of adequate warnings or instructions, which (3) 19 caused him or her harm. O'Connell v. MacNeil Wash Sys. Ltd., 2 Wash. App. 2d
20 238, 246 (2017). But in relation to prescription drugs, Washington deploys the 1 “learned intermediary doctrine,” whereby the manufacturer may satisfy its duty to 2 warn the patient if it properly warned the prescribing physician of the risks of the
3 product. Taylor v. Intuitive Surgical, Inc., 187 Wash.2d 743, 757 (2017) (citing 4 Terhune v. A.H. Robins Co., 90 Wash.2d 9, 14 (1978)); see also Dearinger v. Eli 5 Lilly & Co., 199 Wash. 2d 569, 575‒77 (2022). The learned intermediary doctrine
6 rests on the principle that a doctor is in a better position to communicate warnings 7 from the manufacturer to their patient. Id. Here, Plaintiff’s bare assertion that his 8 rheumatologist was not properly warned of the potential risks associated with 9 prescribing Humira to a patient taking a corticosteroid does nothing to rebut
10 Defendants’ contention that a disclaimer detailing both the immunosuppressant 11 qualities of Humira and the risk of viral infection was provided with the drug.5 12 ECF No. 9 at 3.
13 The Court will likewise not allow for amendment based on Plaintiff’s cause 14 of action for failure to warn based on futility. Corinthian Colleges, 655 F.3d at 15 995. 16 3. Defective Manufacturing
17 In order to successfully plead a claim for a defect in manufacturing, a 18 19 5 See FDA Labeling, https://www.accessdata.fda.gov/drugsatfda_ 20 docs/label/2020/125057s418s419lbl.pdf (last visited December 16, 2024). 1 plaintiff must demonstrate that when a product left the control of the manufacturer 2 the product deviated in some material way from the design specifications or
3 performance standards of the manufacturer, or deviated in some material way from 4 otherwise identical units of the same product line, or from ostensibly identical units 5 of the same product line. RCW 7.72.030(2)(a). A defective manufacturing claim
6 also requires a plaintiff to allege that the manufacturing defect is the proximate 7 cause of plaintiff’s injuries. RCW § 7.72.030(1); Hernandez v. Johnson & 8 Johnson, No. 4:20-CV-05136-SMJ, 2021 WL 320612, at *4 (E.D. Wash. Jan. 8, 9 2021).
10 Here, Plaintiff’s First Amended Complaint does not mention any allegation 11 of defective manufacturing whatsoever. In his Response, Plaintiff argues that his 12 suppressed immune system is evidence that some number of doses of Humira he
13 received, “deviated materially from its intended design and specifications, resulting 14 in severe and unexpected health complications.” ECF No. 14 at 11. Plaintiff 15 presents that the resulting infections he experienced provide support that Humira’s 16 production suffers from dangerous inconsistencies and argues he should be entitled
17 to prove these allegations through discovery. Id. at 12. However, given the 18 express warning that Humira may result in levels of immune suppression that have 19 resulted in hospitalization or death, the Court does not find that an allegation that
20 some number of doses that Plaintiff received between January 2021 and October 1 2021 deviated from that express warning. This claim is likewise dismissed without 2 leave to amend for futility.
3 4. Breach of Expressed or Implied Warranties 4 Once again, the operative Complaint contains no allegation of a breach of 5 either an expressed or implied warranty. Plaintiff argues Defendants made
6 promises that Humira was safe and effective, both through product information and 7 communication with healthcare providers, as well as implicitly through a 8 reasonable expectation that the product was safe for its intended purposes. ECF 9 No. 14 at 14‒15. Under the WPLA, a plaintiff may show a breach of express
10 warranty by demonstrating (1) the warranty was part of the basis of the bargain; (2) 11 the warranty relates to a material fact; and (3) the warranty turns out to be untrue. 12 Wash. Rev. Code § 7.72.030(2)(b). Usually, the plaintiff must be in contractual
13 privity with the seller. Stepp v. Takeuchi Mfg. Co. (U.S.) Ltd., No. C07-5446RJB, 14 2008 WL 4460268, *10 (W.D. Wash. Oct. 2, 2008). Even in his Response, 15 Plaintiff does not point to a specific place where Defendants have marketed or 16 provided information to prescribing physicians detailing that Humira is safe and
17 effective for use in every situation. See Iqbal, 556 U.S. at 663 (“Threadbare 18 recitals of the elements of a cause of action, supported by mere conclusory 19 statements, do not suffice.”). He does not rebut the contention that Defendants
20 provided a disclaimer about the immune systems effects of mixing the drug with a 1 corticosteroid as part of the warning label, meaning it was explicitly not held out as 2 safe for use while receiving certain other types of medication. And while he
3 mentions privity, Plaintiff does not demonstrate that he and Defendants were in 4 privity of contract giving rise to a duty. ECF No. 14 at 15. 5 To state a claim for breach of an implied warranty under Title 62A RCW,
6 the Washington State Uniform Commercial Code, a plaintiff must be in privity 7 with the defendant. Baughn v. Honda Motor Co., 107 Wash. 2d 127, 151 (1986). 8 To reiterate, Plaintiff does not actually allege in his First Amended Complaint or in 9 the Response that he is in privity with Defendants. Moreover, Plaintiff must
10 identify the specifics of a breached implied warranty. Armstrong v. Atrium Med. 11 Corp., No. 1:22-CV-03007-MKD, 2022 WL 17258345, at *4 (E.D. Wash. Nov. 12 10, 2022). Under the implied warranty of merchantability, goods are merchantable
13 if they are “fit for the ordinary purposes for which such goods are used.” RCW 14 62A.2–314(2)(c). Here, Plaintiff provides “the implied warranty of 15 merchantability guarantees that Humira would be fit for its ordinary purpose as an 16 immunomodulatory medication,” and because of the severity of his immune
17 system suppression, the drug failed to meet safety and effectiveness standards. 18 ECF No. 14 at 14, 15. Besides this being the kind of conclusory statement reciting 19 the elements of the statute not permitted in Twombly, 550 U.S. at 555, Plaintiff
20 does not provide support for his breach of a warranty of merchantability claim because Humira is designed to suppress the user’s immune system. As such, this 2|| cause of action is also dismissed without leave to amend. Corinthian Colleges, 655 F.3d at 995. ACCORDINGLY, IT IS HEREBY ORDERED: 5 1. Defendants’ Motion to Dismiss (ECF No. 9) is GRANTED. 6 2. Plaintiff's First Amended Complaint (ECF No. 4) is DISMISSED with 7 prejudice. 8 The District Court Executive is directed to enter this Order and Judgment 9|| accordingly, furnish copies to parties, and CLOSE the file. 10 DATED December 17, 2024.
ss □□ TO, 0 ee 12 On KES THOMAS O. RICE <> United States District Judge 13 14 15 16 17 18 19 20