STATE OF LOUISIANA COURT OF APPEAL, THIRD CIRCUIT
14-1310 consolidated with 14-1311, 14-1312, 14-1313, and 14-1314
GLORIA M. NED, INDIVIDUALLY, AND ON BEHALF OF JESSIE JANUARY AND JACQUELINE JANUARY
VERSUS
UNION PACIFIC CORPORATION, ET AL.
**********
APPEAL FROM THE FOURTEENTH JUDICIAL DISTRICT COURT PARISH OF CALCASIEU, NO. 2003-1100 HONORABLE ROBERT L. WYATT, DISTRICT JUDGE
PHYLLIS M. KEATY JUDGE
Court composed of John D. Saunders, James T. Genovese, and Phyllis M. Keaty, Judges.
AFFIRMED. J. Arthur Smith, III Smith Law Firm 830 North Street Baton Rouge, Louisiana 70802 (225) 383-7716 Counsel for Plaintiffs/Appellants: Gloria M. Ned, et al.
Leonard Knapp Attorney at Law Post Office Box 1665 Lake Charles, Louisiana 70602 (337) 439-1700 Counsel for Plaintiffs/Appellants: Gloria M. Ned, et al.
Brian Crawford Crawford & Ogg Post Office Box 14600 Monroe, Louisiana 71207 (318) 325-3200 Counsel for Plaintiffs/Appellants: Gloria M. Ned, et al.
David A. Fraser Pamela L. Courtney Fraser, Wheeler & Bergstedt, L.L.P. Post Office Box 4886 Lake Charles, Louisiana 70606 (337) 478-8595 Counsel for Defendants/Appellees: Union Pacific Corporation Dallas Stutes
H. Alston Johnson, III Steven J. Levine Kevin W. Welsh Phelps Dunbar LLP Post Office Box 4412 Baton Rouge, Louisiana 70821-4412 (225) 346-0285 Counsel for Defendants/Appellees: Union Pacific Corporation Dallas Stutes
Merrick Walton Attorney at Law 3515 Rice Boulevard Houston, Texas 77005 (713) 665-8464 Counsel for Defendants/Appellees: Union Pacific Corporation Dallas Stutes William B. Monk Allyson E. Champagne Kathleen T. Deanda Stockwell, Sievert, Viccellio, Clements & Shaddock, L.L.P. Post Office Box 2900 Lake Charles, Louisiana 70602 (337) 436-9491 Counsel for Defendants/Appellees: PPG Industries, Inc. A. L. Greathouse Tommy G. Brown W. J. Peard KEATY, Judge.
Plaintiffs1 appeal the trial court’s granting of a partial motion for summary
judgment in favor of Defendants, Union Pacific Corporation, Union Pacific
Railroad Corporation (Union Pacific), PPG Industries, Inc. (PPG), W. J. Peard,
A. L. Greathouse, Tommy G. Brown, and Dallas Stutes. For the following reasons,
the trial court’s judgment is affirmed.
FACTS AND PROCEDURAL BACKGROUND
In this toxic tort matter, residents of the Fisherville neighborhood in Lake
Charles, Louisiana, which was located near a railroad yard wherein a hazardous
chemical spill occurred, filed a negligence suit against the railroad owner and
others. The chemical spill occurred on April 20, 1983, when a railcar carrying at
least 11,000 gallons of perchloroethylene (PCE) released this toxic chemical
through an open valve while parked at the Lake Charles Rail Yard. Southern
Pacific Transportation Company (Southern Pacific), the predecessor-in-interest of
Union Pacific, owned the rail yard and railcar, whereas PPG owned the PCE.
Southern Pacific and PPG cleaned the area where the spill occurred, allegedly
eliminating all PCE from the ground surface level by mid-July 1983.
After July 1983, approximately 1,150 gallons of PCE remained underground.
Cleaning and remediation efforts continued by way of groundwater monitoring,
treatment and extraction of impacted groundwater, maintenance, and installation of
monitored wells at the release site and in areas north and south. Between 1996 and
1998, additional monitoring wells were installed on railroad property and in the
Fisherville neighborhood.
1 Since this appeal was filed on behalf of eighty-five Plaintiffs, and for brevity, Plaintiffs’ names can be found in the trial court’s written judgment dated July 1, 2014. As a result of the leak, numerous lawsuits were filed. Specifically, on
October 5, 1998, Gwendolyn Guillory and other Fisherville residents filed suit in
Guillory v. Union Pacific Corp., 01-960 (La.App. 3 Cir. 5/15/02), 817 So.2d 1234,
writ denied, 02-2094 (La. 11/1/02), 828 So.2d 575. In Guillory, the trial court
denied the Fisherville plaintiffs’ motion for class certification. Id. On appeal, we
reversed and remanded, finding that the record supported all of the requirements
for class certification under La.Code Civ.P. art. 591. Id. In the instant matter,
through its appellate brief, Defendants assert that the Guillory class action was
settled in 2007, subject to a fairness hearing wherein class representatives
acknowledged that they could not offer credible evidence of actual injuries caused
by the remaining underground PCE.
This litigation stems from five similar individual civil actions filed on
March 3, 2003, in the Calcasieu Parish trial court. The suits have been
consolidated, forming the proceeding as it stands today. In its appellate brief,
Defendants contend that the consolidated suits involve 360 Plaintiffs who allegedly
opted out of the Guillory class action. Defendants allege that approximately 100
Plaintiffs of the original 360 were dismissed for either or both of the following
reasons: (1) res judicata resulting from settling and signing releases in other suits
or (2) as a sanction resulting from the failure to comply with orders requiring
discovery. Defendants contend that none have appealed those dismissals.
In response to Plaintiffs’ suit, Defendants filed a peremptory exception of
prescription. Hearings on the exception were held in March and September 2009.
On April 1, 2010, the trial court issued written reasons for denying Defendants’
exception based upon its finding that Plaintiffs “have the right to continue with
their action through application of the continuing tort theory.” The trial court’s
2 ruling was reduced to written judgment dated April 19, 2010. Defendants filed a
Motion for New Trial and/or Reconsideration or Clarification of the trial court’s
denial of Defendants’ peremptory exception of prescription, which was denied.
Defendants sought supervisory writs from this court and the supreme court, which
were also denied.
Defendants filed a partial motion for summary judgment on April 28, 2014.
It sought dismissal of two groups of Plaintiffs listed in its exhibits based upon
prescription and Plaintiffs’ alleged failure to provide discovery responses. After a
hearing on June 18, 2014, the trial court granted Defendants’ partial motion for
summary judgment, dismissing those two groups of Plaintiffs.
Plaintiffs appeal the trial court’s granting of Defendants’ partial motion for
summary judgment, alleging the following four assignments of error:
(1) The trial court erred in dismissing seventy-nine Plaintiffs’ claims on the grounds that they had actual and/or constructive knowledge of their onset of symptoms more than one year prior to filing suit when the trial court previously determined that Plaintiffs established a basis for concluding that continuous tortious conduct occurred.
(2) The trial court erred in sustaining Defendants’ prescriptive defense when there lacked competent evidence that they had actual knowledge of the cause of their injuries and that, therefore, Plaintiffs’ claims have not prescribed under the federally required commencement date pursuant to 42 U.S.C. § 9658 (a)(1) for actions brought under state law for personal injury damages arising from exposure to hazardous substances.
(3) The trial court erred and/or abused its discretion in admitting into evidence the affidavit of two employees of one of the law firms representing Defendants, even though it failed to comply with the requirements set forth in La.Code Civ.P. art. 967.
(4) The trial court erred and/or abused its discretion in excluding as untimely the affidavit of Plaintiffs’ expert, Dr. Paul H. Templet, which was dated, filed, and served on June 9, 2014.
3 STANDARD OF REVIEW
In Whitbeck v. Champage, 14-245, p. 9 (La.App. 3 Cir. 10/1/14), 149 So.3d
372, 379, this court stated the following:
Summary judgments are reviewed de novo, applying the same standard to the matter as that applied by the trial court. Smith v. Our Lady of the Lake Hosp., Inc., 93-2512 (La.7/5/94), 639 So.2d 730. Summary judgment is favored by law and provides a vehicle by which the just, speedy, and inexpensive determination of an action may be achieved. La.Code Civ.P. art. 966(A)(2). The trial court is required to render summary judgment “if the pleadings, depositions, answers to interrogatories, and admissions, together with the affidavits, if any, admitted for purposes of the motion for summary judgment, show that there is no genuine issue as to material fact, and that mover is entitled to judgment as a matter of law.” La.Code Civ.P. art. 966(B)(2).
Thus, we will use the de novo standard of review in the instant matter.
DISCUSSION
I. Actual or Constructive Notice
In their first assignment of error, Plaintiffs contend that the trial court erred
in dismissing seventy-nine Plaintiffs’ claims based on their actual and/or
constructive knowledge of the onset of their symptoms more than one year prior to
filing suit despite the trial court’s previous ruling that they properly established a
basis for concluding that continuous tortious conduct occurred. Plaintiffs allege
that “the pivotal issue in this case is what role does notice play in a continuing tort
case with regard to prescription.” We find that Plaintiffs are mistaken as to the
pivotal issue. According to the trial court’s April 1, 2010 ruling on Defendants’
peremptory exception of prescription, the issue is whether it correctly held that
Plaintiffs could “continue with their action through the application of the
continuing tort theory.” Given the subsequent rulings in Hogg v. Chevron USA,
Inc., 09-2632, 09-2635 (La. 7/6/10), 45 So.3d 991; Marin v. Exxon Mobil Corp.,
09-2368, 09-2371 (La. 10/19/10), 48 So.3d 234; and Bernard v. City of Marksville,
4 14-730 (La.App. 3 Cir. 12/17/14), 154 So.3d 1246, Plaintiffs’ reliance on the
continuing tort doctrine is misplaced.
The continuing tort doctrine provides that “[w]hen the tortious conduct and
resulting damages continue, prescription does not begin until the conduct causing
the damage is abated.” S. Cent. Bell Tel. Co. v. Texaco, Inc., 418 So.2d 531, 533
(La.1982). “A continuing tort is occasioned by unlawful acts, not the continuation
of the ill effects of an original, wrongful act.” Crump v. Sabine River Auth., 98-
2326, p. 9 (La. 6/29/99), 737 So.2d 720, 728. When the tortious conduct is
continuous and gives rise “to successive damages, prescription dates from
cessation of the wrongful conduct causing the damage.” S. Cent. Bell Tel. Co., 418
So.2d at 533. In South Central Bell Telephone Co., 418 So.2d 531, the supreme
court held that the wrongful conduct causing the damage was the leaking
underground storage tanks and that the cause of the damage abated when the
offending tanks were removed and replaced.
Recent supreme court cases that were decided after the hearing on
Defendants’ partial motion for summary judgment under facts similar to the instant
case have held the continuing tort theory inapplicable. In Hogg, 45 So.3d 991, the
supreme court granted certiorari to determine whether the continued presence of
gas on immovable property, resulting from leaking underground storage tanks
located on neighboring property, constituted a continuing tort that suspended
prescription. In resolving the issue, the supreme court looked to its analysis in
South Central Bell Telephone Co., 418 So.2d 531, and other cases wherein those
courts looked to the injury-producing conduct to determine whether it was
perpetuated through ongoing acts. Hogg, 45 So.3d 991. The supreme court noted
that “[w]here the wrongful conduct was completed, but the plaintiff continued to
5 experience injury in the absence of any further activity by the tortfeasor, no
continuing tort was found.” Id. at 1005. In reversing the trial court’s judgment
denying the defendants’ motion for summary judgment and finding that the
plaintiffs’ claims had prescribed, the supreme court held:
Under the factual allegations of plaintiffs’ petition, the trespass . . . is simply not a continuing one. The presence of gasoline on plaintiffs’ property is the continuing effect of prior wrongful conduct which occurred on neighboring property. The plaintiffs’ pleadings contain no allegation of leaking after 1996. In other words, there are no allegations of new conduct after the initial leakage ceased. . . . Because the operating cause of the injury—the damage- causing conduct—is not continuing, there is no continuing tort. As a result, the theory of continuous trespass/continuous tort cannot operate to suspend the running of prescription.
Id. at 1006 (footnotes omitted).
The supreme court also found the continuing tort theory inapplicable two
months later in Marin, 48 So.3d 234, wherein the defendants disposed of oilfield
wastes in unlined earthen pits, resulting in the contamination of the neighboring
plaintiffs’ property. The plaintiffs argued that the defendants’ continuing
migration of pollution was ongoing. Id. They alleged that their actions were not
prescribed as the defendants’ pollution of their land constituted a continuing tort
until the contamination was removed, regardless of the plaintiffs’ knowledge of the
damage. Id. The Marin court noted the factual difference between it and Hogg, 45
So.3d 991, in that “there was no evidence or argument [in Hogg] that gasoline
continued to leak after the tanks were replaced[;] whereas here, plaintiffs assert
that” evidence shows that the defendants’ pollution continues migrating, causing
successive damage, and causing ongoing deterioration of the plaintiffs’ property.
Marin, 48 So.3d at 254. In finding that a continuing tort failed to exist, the
supreme court held:
6 The operating cause of plaintiffs’ injury was still the actual disposal or storage of the oilfield waste in unlined pits on plaintiffs’ property. When the pits were closed, the conduct ceased. Simply because the contaminants may have continued to dissolve into, or move with, the groundwater with the passage of time does not turn this into a continuing tort.
Id. (citations omitted).
We used the foregoing supreme court’s analysis in Bernard, 154 So.3d 1246,
wherein the plaintiff landowner filed a petition for damages against the defendant
city. The defendant replaced an existing twelve-inch culvert with a thirty-inch
culvert that allegedly increased the flow and volume of water running onto the
plaintiff’s property. Id. After the trial court granted the defendant’s exception of
prescription, the plaintiff appealed. Id. On appeal, we affirmed the trial court’s
judgment and held:
In the present case, there is no dispute that the operating cause of the damages claimed in the petition was the installation of the thirty-inch culvert. The petition does not claim there have been continual or ongoing unlawful acts on the part of the City subsequent to the installation of the thirty-inch culvert or that there was any failure to act or remediate the damages on the City’s part after being made aware of any problems. The continued presence of excess water on the property is simply the continuing ill effect from the original tortious act, installation of the larger culvert.
Id. at 1249.
Utilizing the foregoing jurisprudence and analysis, we look to Plaintiffs’
petition which alleges that “PCE . . . ha[s] seeped into the subterranean soils and
spread throughout the area surrounding the facility.” Their petition further states
that Defendants “have allowed the migration of . . . PCE, from the facility and into
the surrounding community over the course of approximately 15 years.” Despite
those allegations, we find that the alleged injury-causing conduct was the one-time
release of PCE, which occurred on April 20, 1983. Accordingly, Plaintiffs’
7 reliance on the trial court’s April 1, 2010 ruling that they “have the right to
continue with their action through application of the continuing tort theory” is
without merit.
Since Plaintiffs’ reliance upon the continuing tort theory is misplaced, we
next determine whether the trial court’s dismissal of Plaintiffs’ claims based upon
liberative prescription was correct. The applicable prescriptive period is governed
by La.Civ.Code art. 3493, which provides, “[w]hen damage is caused to
immovable property, the one year prescription commences to run from the day the
owner of the immovable acquired, or should have acquired, knowledge of the
damage.” Actual or constructive knowledge triggers the commencement of
prescription. Hogg, 45 So.3d 991. Constructive knowledge is defined “as
whatever notice is enough to excite attention and put the injured party on guard or
call for inquiry.” Id. at 997. In determining whether an injured party had
constructive knowledge sufficient to begin the running of prescription, the court
must consider “the reasonableness of the injured party’s action or inaction in light
of the surrounding circumstances.” Id. at 998. A plaintiff is “‘deemed to know
that which he could have learned from reasonable diligence.’” Touchet v. Baker
Hughes, Inc., 98-749, p. 6 (La.App. 3 Cir. 2/3/99), 737 So.2d 821, 825 (quoting La
Plaque Corp. v. Chevron U.S.A. Inc., 93-1597, p. 8 (La.App. 4 Cir. 5/26/94), 638
So.2d 354, 358, writ denied, 94-2125 (La. 11/11/94), 644 So.2d 395). In cases
such as this, the “onset of symptoms never before suffered by the plaintiff should
have provoked an inquiry into the cause[.]” Artholee v. Trinity Universal Ins. Co.
of Kansas, 08-1053, p. 4 (La.App. 3 Cir. 2/4/09), 3 So.3d 611, 614. In this case,
Defendants are required “[t]o prove, based solely on documentary evidence and
without the benefit of testimony at a hearing, that there is no genuine material
8 factual issue in dispute regarding the date upon which the plaintiffs acquired actual
or constructive knowledge of the damage sufficient to commence the running of
prescription.” Hogg, 45 So.3d at 998.
Defendants’ motion for summary judgment asserts that Plaintiffs acquired
knowledge of the correlation between the leak and their onset of symptoms long
before 2003. In support, Defendants offered into the record an affidavit prepared
by Wendy Daniels and Nancy Brown, two employees of a law firm representing
Defendants, attaching to it Exhibit A(1). Exhibit A(1) is a table consisting of
summaries taken from seventy-nine Plaintiffs’ responses to Defendants’
Interrogatory No. 9, which asks for the date Plaintiffs first experienced symptoms
arising from the 1983 PCE leak.2 The summaries show that they experienced onset
of symptoms immediately following the 1983 leak or soon after, with the exception
of one Plaintiff who stated that she experienced symptoms “since 1990.” We find
that these documents show that Plaintiffs had actual knowledge, at least by 1990,
that their property was contaminated by the PCE from the 1983 railcar leak and
that this knowledge of the cause, source, and existence of the contaminants was
sufficient to commence the running of prescription.
We further find that Plaintiffs had constructive knowledge of the PCE leak
sufficient to begin the running of prescription long before 2003. They had to have
2 Interrogatory No. 9 provides:
Do you contend you suffered any physical injury, disease, condition or symptom as a result of your exposure to PCE from the April 1983 railcar spill? If yes,
a. Describe separately and in detail each injury, disease, condition or symptom you claim as a result of exposure to PCE from the April 1983 railcar spill;
b. State the date on which you first suffered or observed each injury, disease, condition or symptom and state whether it still exists.
9 been put on notice by seeing the visible remediation efforts which took place soon
after the leak. These remediation efforts continued for years and included
groundwater monitoring and installation of monitored wells at the release site and
in areas north and south. Additional monitoring wells were also installed on
railroad property and in the Fisherville neighborhood.
In granting Defendants’ partial motion for summary judgment with respect
to Plaintiffs that are listed in Exhibit A(1), the trial court orally ruled:
I agree with the defendants that based on what has transpired before the date that we have presented here at this time that there have been adequate time for the discovery that I have imposed on the parties, and relation to the responses that have been given by the plaintiffs they’re going to live by them at this time. That Motion for Summary Judgment is granted.
For the foregoing reasons, we find that the trial court was not manifestly erroneous
in dismissing the seventy-nine Plaintiffs that are listed in Exhibit A(1).
Defendants also offered into the record Exhibit D, which was attached to the
affidavit and listed seven Plaintiffs who allegedly failed to respond to the trial
court’s previous order regarding their responses to Defendants’ discovery requests.
The July 28, 2008 trial court order, which was read aloud by Defendants’ counsel
at the hearing on its motion for summary judgment, stated that Plaintiffs who failed
to provide discovery responses within thirty days, i.e., by August 18, 2008, were
subject to dismissal.
In response, Plaintiffs’ counsel stated at the hearing that although one of the
Plaintiffs responded, the remaining six Plaintiffs listed in Exhibit D either failed to
respond or were not their clients. The trial court subsequently granted Defendants’
motion for summary judgment with respect to six of the seven Plaintiffs that are
listed in Exhibit D. Since Plaintiffs’ counsel and Defendants’ counsel agreed that
10 those six Plaintiffs failed to respond to discovery, we find that the trial court was
not manifestly erroneous in dismissing those Plaintiffs.
II. Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA)
In their second assignment of error, Plaintiffs contend that the trial court
erred in sustaining Defendants’ prescriptive defense when there was a lack of
competent evidence that Plaintiffs had actual knowledge of the cause of their
injuries. Therefore, Plaintiffs allege that pursuant to the CERCLA, their claims
have not prescribed under the federally required commencement date for actions
brought under state law for personal injury damages arising from exposure to
hazardous substances. Plaintiffs contend that pursuant to CERCLA’s
commencement date, prescription begins to run on the day that they knew, or
reasonably should have known, that the leak caused injury or damage.
In support, Plaintiffs cite CERCLA’s provision found at 42 U.S.C. § 9658,
which provides:
(a) State statutes of limitations for hazardous substance cases
(1) Exception to State statutes
In the case of any action brought under State law for personal injury, or property damages, which are caused or contributed to by exposure to any hazardous substance, or pollutant or contaminant, released into the environment from a facility, if the applicable limitations period for such action (as specified in the State statute of limitations or under common law) provides a commencement date which is earlier than the federally required commencement date, such period shall commence at the federally required commencement date in lieu of the date specified in such State statute.
Plaintiffs further cite 42 U.S.C. § 9658(b)(4)(A), which provides:
[T]he term “federally required commencement date” means the date the plaintiff knew (or reasonably should have known) that the personal injury or property damages referred to in subsection (a)(1) of
11 this section were caused or contributed to by the hazardous substance or pollutant or contaminant concerned.
CERCLA’s legislative history shows that Congress’ intent in enacting 42
U.S.C. § 9658 was “to preempt a state statute of limitations that deprives a plaintiff
who suffers a long-latency disease caused by the release of a hazardous substance
of his cause of action[.]” Burlington N. & Santa Fe Ry. Co. v. Poole Chem. Co.,
Inc., 419 F.3d 355, 362 (5th Cir. 2005). This federally required commencement
date was explained by the United States Supreme Court in CTS Corp. v.
Waldburger, 134 S.Ct. 2175, 2180 (2014), as follows: “Section 9658 adopts what
is known as the discovery rule. Under this framework, statutes of limitations in
covered actions begin to run when a plaintiff discovers, or reasonably should have
discovered, that the harm in question was caused by the contaminant.”
The commencement date of prescription provided in 42 U.S.C. § 9658
mirrors Louisiana’s commencement date, which was explained by this court in
Picard v. Vermilion Parish School Board, 00-1222, p. 3 (La.App. 3 Cir. 4/4/01),
783 So.2d 590, 594, writ denied, 01-1346 (La. 6/22/01), 794 So.2d 794 (quoting
Simmons v. Templeton, 97-2349, 98-43, pp. 3-4 (La.App. 4 Cir. 11/10/98), 723
So.2d 1009, 1012, writs denied, 98-3050, 98-3060 (La. 2/5/99), 783 So.2d 4, 783
So.2d 5), as follows: “[P]rescription does not begin to run until ‘a plaintiff either
knew or should have known of a cause of action[.]’”
A reasonable diligence standard similar to the standard found in Louisiana’s
contra non valentum theory can also be found in 42 U.S.C. § 9658. In Burlington
Northern & Santa Fe Railway Co., 419 F.3d at 362 (quoting Computer Associates
International, Inc. v. Altai, Inc., 918 S.W.2d 453, 455 (Tex. 1996)) (footnote
omitted), the Fifth Circuit stated: “[Section] 9658 engrafts a discovery rule on
12 state statutes of limitations, deferring the ‘accrual of a cause of action until the
plaintiff knew or, exercising reasonable diligence, should have known of the facts
giving rise to the cause of action.’” Similarly, in Touchet, 737 So.2d at 825
(quoting La Plaque Corp., 638 So.2d at 358), we stated: “[A] plaintiff is ‘deemed
to know that which he could have learned from reasonable diligence.’”
In this case, Plaintiffs have not shown any inconsistencies between the
commencement of federal and state prescriptive periods that would warrant federal
preemption of state law. Since Plaintiffs asserted preemption in the instant matter,
they bear “the burden of persuasion.” Barnes ex rel. Estate of Barnes v. Koppers,
Inc., 534 F.3d 357, 362 (5th Cir. 2008). In order to discharge their burden,
Plaintiffs must show that they neither knew nor should have known that their cause
of action could be associated with the 1983 leak in the exercise of reasonable
diligence. See CTS Corp., 134 S.Ct. 2175 and Picard, 783 So.2d 590. In this case,
Plaintiffs’ discovery responses show that their symptoms began soon after the 1983
chemical spill. There was also extensive media coverage and remediation efforts
which were on display to the public. Plaintiffs are, therefore, unable to meet their
burden of persuasion. Accordingly, Plaintiffs’ reliance on federal preemption law
is without merit, and the trial court was not manifestly erroneous in this regard.
III. Affidavit
In their third assignment of error, Plaintiffs contend that the trial court erred
and/or abused its discretion in admitting into evidence Daniels’ and Brown’s
affidavit even though it failed to comply with the personal knowledge requirements
set forth in La.Code Civ.P. art. 967. Louisiana Code of Civil Procedure Article
967(A) provides that:
13 Supporting and opposing affidavits shall be made on personal knowledge, shall set forth such facts as would be admissible in evidence, and shall show affirmatively that the affiant is competent to testify to the matters stated therein. The supporting and opposing affidavits of experts may set forth such experts’ opinions on the facts as would be admissible in evidence under Louisiana Code of Evidence Article 702, and shall show affirmatively that the affiant is competent to testify to the matters stated therein. Sworn or certified copies of all papers or parts thereof referred to in an affidavit shall be attached thereto or served therewith. The court may permit affidavits to be supplemented or opposed by depositions, answers to interrogatories, or by further affidavits.
We discussed the personal knowledge requirement in Denbury Onshore,
L.L.C. v. Pucheu, 08-1210, p. 18 (La.App. 3 Cir. 3/11/09), 6 So.3d 386, 398
(quoting Hibernia National Bank v. Rivera, 07-962, pp. 8-9 (La.App. 5 Cir.
9/30/08), 996 So.2d 534, 539-40), as follows:
Personal knowledge means something the witness actually saw or heard, as distinguished from what he learned from some other person or source. The purpose of the requirement of “personal knowledge” is to limit the affidavit to facts which the affiant saw, heard, or perceived with his own senses. Portions of affidavits not based on personal knowledge of the affiant should not be considered by the trial court in deciding a motion for summary judgment.
Where business records are concerned, as in the present case, the courts have deemed La.C.C.P. art. 967 satisfied when the affiant is qualified to identify the business records as such. The affiant has not been required to show that he personally prepared the business records, or that he had direct, independent, first hand knowledge of the contents thereof.
The issue in Denbury, 6 So.3d 386, was whether the trial court erroneously
admitted the affidavit of Denbury’s employee, John McDaniel, which was filed in
support of Denbury’s motion for summary judgment. McDaniel’s affidavit
contained information compiled from other records prepared by other Denbury
personnel such that the plaintiffs argued that it was inadmissible because it was not
based on personal knowledge. Id. We concluded that McDaniel’s affidavit failed
to establish that it was based on personal knowledge as he did “not identify the
14 records from which he prepared the spreadsheets attached to his affidavit[] or
explain that he is personally familiar with the records and why.” Id. at 398.
Denbury, therefore, requires either identification of the records or personal
familiarity in order for an affidavit to be based on personal knowledge under
La.Code Civ.P. art. 967.
In the present case, the affidavit states that the affiants “personally reviewed
all discovery responses from [P]laintiffs and all other related items as part of
compiling the tables itemized as Exhibits A(1), A(2), B, C and D.” The
identification of records requirement is met since the affiants stated that they
obtained their information used to make their spreadsheets attached to their
affidavit from Plaintiffs’ discovery responses and other related items. The
personal familiarity requirement is further met as the affiants stated that they
“personally reviewed” the Plaintiffs’ discovery responses and other related items.
Affiants satisfied both requirements even though only satisfaction of one Denbury
requirement is sufficient for a finding of personal knowledge under La.Code Civ.P.
art. 967. Accordingly, Plaintiffs’ assignment of error is without merit.
IV. Dr. Paul H. Templet’s Affidavit
In their fourth assignment of error, Plaintiffs contend that the trial court
erred and/or abused its discretion in excluding the affidavit of their expert, Dr. Paul
H. Templet, which was dated, filed, and served on June 9, 2014, on the sole ground
that the filing was untimely.
In its oral ruling, the trial court stated that its exclusion was based upon an
earlier conference with the parties’ counsel wherein it informed counsel that it
would not accept anything filed after May 28. The trial court stated that although
it “may not have issued an order pursuant to” the previous conference, it “thought
15 it was pretty clearly understood that we had some deadlines regarding filings in
anticipation of today’s hearing.”
Pretrial conferences are governed by La.Code Civ.P. art. 1551, which
provides that the trial court may, “in its discretion[,] direct the attorneys for the
parties to appear before it for conferences to consider any of the following[,]”
including “[t]he control and scheduling of discovery[.]” La.Code Civ.P. art.
1551(A)(6). “A trial court has wide discretion to provide for pretrial orders and to
ensure that the terms of the order are enforced.” Succession of Harrell v. Erris-
Omega Plantation, Inc., 12-696, p. 5 (La.App. 3 Cir. 12/5/12), 104 So.3d 751, 755,
writ denied, 13-438 (La. 4/5/13) 110 So.3d 595.
Louisiana District Court Rule 9.9(c) (emphasis added) provides:
A party who opposes an exception or motion shall concurrently furnish the trial judge and serve on all other parties an opposition memorandum at least eight calendar days before the scheduled hearing. The opposition memorandum shall be served on all other parties so that it is received by the other parties at least eight calendar days before the hearing, unless the court sets a shorter time.
In the instant case, Plaintiffs filed their report on June 9, 2014, which was at
least eight calendar days before the scheduled hearing. By requiring the filing date
to be May 28 rather than June 9, 2014, the trial court “set[] a shorter time”
pursuant to La.Dist.Ct.R. 9.9. Although there is no order contained in the record
providing for this shorter deadline, jurisprudence has held that such order is not
necessary when “all counsel of record attended [a] pretrial conference.”
Succession of Harrell, 104 So.3d at 755. In this case, both parties’ counsel agreed
at the hearing on Defendants’ partial motion for summary judgment that they
attended a previous telephone conference with the trial court wherein it orally set
this shorter deadline. Pursuant to the foregoing law and jurisprudence, the parties
16 were required to comply with this shorter, court-ordered deadline. Accordingly,
Plaintiffs’ assignment of error is without merit.
DECREE
The trial court’s judgment is affirmed. All costs of this appeal are assessed
to Plaintiffs.
AFFIRMED.