In Re Eli Lilly & Co., Prozac Prod. Liability Lit.

789 F. Supp. 1448, 1992 U.S. Dist. LEXIS 5112
CourtDistrict Court, S.D. Indiana
DecidedApril 17, 1992
DocketMDL Docket No. 907. Nos. IP 91-1365-C to IP 91-1367-C
StatusPublished
Cited by11 cases

This text of 789 F. Supp. 1448 (In Re Eli Lilly & Co., Prozac Prod. Liability Lit.) is published on Counsel Stack Legal Research, covering District Court, S.D. Indiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Eli Lilly & Co., Prozac Prod. Liability Lit., 789 F. Supp. 1448, 1992 U.S. Dist. LEXIS 5112 (S.D. Ind. 1992).

Opinion

ENTRY

DILLIN, District Judge.

This matter comes before the Court on three nearly identical motions filed in three of the cases transferred to this Court for pretrial proceedings by the Judicial Panel on Multidistrict Litigation. These motions were originally filed in the transferor courts and were still pending, at least in part, at the time of transfer. For the following reasons, the Court grants in part and denies in part the motions.

Background

In all the actions consolidated in this Court under MDL Docket No. 907, the plaintiffs allege that they, or their decedents, were harmed when they took an anti-depressant drug known as Prozac, whose active ingredient is fluoxetine hydrochloride. Eli Lilly & Co. (Lilly), the sole defendant in all these actions, manufactured and marketed this drug, which is FDA-approved and available only by prescription.

In three cases transferred to this Court from federal courts in California — Brot- man, Cohen, and Harmon — Lilly moved to dismiss several counts of the complaints pursuant to Federal Rule of Civil Procedure (FRCP) 12(b)(6) or, in the alternative, for a more definite statement pursuant to FRCP 12(e) and 9(b). In two of the cases, Brotman and Cohen, which were already consolidated for trial as related cases before the transfer to this Court, the trans-feror court did not have a chance to rule on the motion before the cases were transferred. In the third, Harmon, the transferor court had ruled on some aspects of the motion and had stayed a ruling on other aspects of the motion pending further briefing by the parties, but the ease was transferred before that briefing occurred. Finally, in yet another case transferred to this Court from California, Walnum, No. IP 91-1368, the transferor court ruled on all aspects of a virtually identical motion before transfer, albeit without stating its reasons.

Discussion

In ruling on a motion to dismiss under FRCP 12(b)(6), the Court must accept all factual allegations in the complaint as true and must liberally construe the complaint in favor of the plaintiff. Jenkins v. McKeithen, 395 U.S. 411, 421-22, 89 S.Ct. 1843, 1849, 23 L.Ed.2d 404, 416-17 (1969). Furthermore, “[a] complaint should be dismissed for failure to state a claim only if it appears beyond doubt that the plaintiff is unable to prove any set of facts that would entitle the plaintiff to relief.” Doe ex rel. Doe v. St. Joseph’s Hosp., 788 F.2d 411, 414 (7th Cir.1986). Only the pleadings are to be considered in resolving a 12(b)(6) motion, except that material submitted as part of the complaint may also be considered. 2A Moore’s Federal Practice 1112.07[2.-5], at 12-67 to 12-68 (1991) (Moore’s); accord Griswold v. E.F. Hutton & Co., 622 F.Supp. 1397 (N.D.Ill.1985).

When a case is transferred by the Judicial Panel on Multidistrict Litigation, *1450 the transferee court assumes control of all pretrial proceedings, and has the authority to rule on pretrial motions. 15 Charles A. Wright, Arthur R. Miller, & Edward H. Cooper, Federal Practice and Procedure § 3866 (1986) (collecting cases). In ruling on pretrial motions, the transferee court must apply the substantive law, including choice of law rules, that the transferor court would have applied. Id. at 623-24; 19 id. § 4506, at 80 (1982). With these principles in mind, the Court now addresses each aspect of Lilly’s motions in turn.

I. STATUTE OF LIMITATIONS

One of Lilly’s arguments occurs only in its motion filed in the Cohen case. In Cohen, Lilly argues that the applicable statute of limitations bars the first and sixth counts of the complaint. Count I asserts a claim for “negligence/wrongful death under [California’s Code of Civil Procedure] § 377.” Count VI asserts a “survival action under [California] Probate Code § 573.”

It is undisputed that California’s Code of Civil Procedure (CCP) § 340(3) supplies the applicable statute of limitations. Section 340(3) states that “[a]n action for ... injury to or for the death of one caused by the wrongful act or neglect of another” must be brought “within one year.”

The complaint in Cohen was filed in the United States District Court for the Central District of California on July 12, 1991. It alleges that the plaintiff’s decedent first began taking Prozac in June, 1990. The complaint further alleges that the decedent took Prozac over a period of about two weeks, during which he “experienced and endured grievous pain and suffering and other compensable losses from the side effects of said drug in the form of inability to concentrate and work, confusion, distraction, insomnia, agitation, etc.” The complaint then alleges that on July 12, 1990, the decedent hanged himself and died. The complaint claims that Prozac caused the injuries and death of the decedent.

It is clear that the plaintiff’s wrongful death claim, contained in Count I of the complaint, is not barred by the one-year statute of limitations. That claim arose on July 12, 1990, the date of the decedent’s death. In calculating the one-year limitation period under CCP § 340(3), California courts do not count the day on which the cause of action arose, but they do count the anniversary day. Wixted v. Fletcher, 192 Cal.App.2d 706, 13 Cal.Rptr. 734 (1961). Thus, the wrongful death action was timely filed on July 12,1991, the one-year anniversary of the decedent’s death.

Lilly further argues that Count Vi’s survival action and Count I, to the extent the latter states a negligence claim based on the decedent’s pre-death injuries, are barred by the one-year statute. Lilly correctly points out that CCP § 377, California’s wrongful death statute, precludes the award of damages in a wrongful death action that are recoverable in a survival action. Thus, all the plaintiff’s claims for damages based on the decedent’s “grievous pain and suffering and other compensable losses,” which occurred, according to the complaint, in the two weeks preceding July 12, 1990, can only proceed under a survival theory. However, since a survival action is any action that the decedent might have brought had he lived but which California Probate Code § 573 allows the personal representative to bring after his death, Lilly argues that the survival claims accrued when the decedent suffered the underlying injuries, that is, according to the complaint, up to two weeks before his death on July 12, 1990. Because the complaint was not filed until July 12, 1991, Lilly concludes that the survival action, including any negligence claims in Count I, other than for wrongful death, were not filed within the one-year limitations period.

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Bluebook (online)
789 F. Supp. 1448, 1992 U.S. Dist. LEXIS 5112, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-eli-lilly-co-prozac-prod-liability-lit-insd-1992.