In Re Folding Carton Antitrust Litigation. Appeals of Federal Paper Board Company, Inc. Cumberland Farm Dairies Pantry Pride Enterprises, Inc. The Mead Corporation Beatrice Foods Co. Land O'lakes, Inc. G. Heileman Brewing Co., Inc., and Grist Mill Co

744 F.2d 1252
CourtCourt of Appeals for the Seventh Circuit
DecidedOctober 18, 1984
Docket83-1467
StatusPublished

This text of 744 F.2d 1252 (In Re Folding Carton Antitrust Litigation. Appeals of Federal Paper Board Company, Inc. Cumberland Farm Dairies Pantry Pride Enterprises, Inc. The Mead Corporation Beatrice Foods Co. Land O'lakes, Inc. G. Heileman Brewing Co., Inc., and Grist Mill Co) is published on Counsel Stack Legal Research, covering Court of Appeals for the Seventh Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Folding Carton Antitrust Litigation. Appeals of Federal Paper Board Company, Inc. Cumberland Farm Dairies Pantry Pride Enterprises, Inc. The Mead Corporation Beatrice Foods Co. Land O'lakes, Inc. G. Heileman Brewing Co., Inc., and Grist Mill Co, 744 F.2d 1252 (7th Cir. 1984).

Opinion

744 F.2d 1252

1984-2 Trade Cases 66,189

In re FOLDING CARTON ANTITRUST LITIGATION.
Appeals of FEDERAL PAPER BOARD COMPANY, INC.; Cumberland
Farm Dairies; Pantry Pride Enterprises, Inc.; the Mead
Corporation; Beatrice Foods Co.; Land O'Lakes, Inc.; G.
Heileman Brewing Co., Inc., and Grist Mill Co.

Nos. 83-1467, 83-1468, 83-1506, 83-1507 and 83-1673.

United States Court of Appeals,
Seventh Circuit.

Argued Jan. 13, 1984.
Decided Sept. 5, 1984.
Rehearing Denied Oct. 10 and Oct. 18, 1984.

Eugene M. Warlich, Doherty, Rumble & Butler, P.A., St. Paul, Minn., Harold F. Baker, Howrey & Simon, Washington, D.C., Dianne M. Nast, Philadelphia, Pa., for plaintiff-appellant.

Thomas J. Boodell, Jr., Boodell, Sears, Sugrue, Giambalvo & Crowley, Chicago, Ill., for defendant-appellee.

Before CUMMINGS, Chief Judge, and ESCHBACH and FLAUM, Circuit Judges.

CUMMINGS, Chief Judge.

These five appeals have been consolidated and grow out of antitrust litigation involving an alleged nationwide price-fixing conspiracy among manufacturers of folding cartons in violation of the Sherman Act (15 U.S.C. Sec. 1). The appeals have been filed by two former defendants and six former class-member plaintiffs and relate chiefly to the district court's disposition of an approximately $6,000,000 reserve fund established to pay late claims and to meet various expenses and contingencies connected with the distribution of the $200,000,000 settlement fund. The litigation is fully described in the joint memorandum opinion of District Judges Robson and Will reported in 557 F.Supp. 1091 (N.D.Ill.1983).

On September 19, 1979, the district court entered a final judgment approving the settlement agreement providing for payment by the 25 defendants of $200,000,000 into a fund for distribution to the plaintiff class. Six days thereafter the court appointed the Folding Carton Administration Committee ("Administration Committee") which is also involved in these appeals. The settlement agreement provided for a cut-off date of September 6, 1979, for claims but later claims were honored with judicial assent.

On March 6, 1980, the district court approved distribution of 97% of the fund, which by then had grown to approximately $206,000,000, and decided that the balance be held in reserve for potential late claims and errors in distribution. All timely claims were paid by the Administration Committee by the end of April 1980. Some late claims were subsequently paid with court approval. Others still pend.

On September 3, 1982, the Administration Committee (composed of two counsel for the plaintiff class, one who had represented a defendant and an independent fourth) recommended that the $6,000,000 in the reserve fund plus future interest be used to establish a private "Antitrust Development and Research Foundation" to promote the study of complex litigation and various substantive and procedural aspects of antitrust law. Thereafter six former plaintiff class members1 and two former defendants2 filed motions in the district court, which had retained jurisdiction of the case, seeking distribution of the remainder of the settlement fund to plaintiff class members or otherwise pro rata to the settling defendants. Two of the class members3 also requested return to class-member plaintiffs of fees and costs that had been awarded to counsel for the Administration Committee, or in the alternative that they be audited, with excessive fees and costs returned to them, and that the expenses paid to the Administration Committee's accounting firm be subjected to an independent accounting. We granted a temporary stay in April 1983 and granted a stay pending appeal on May 3, 1983, so that no more late claims have been paid4 nor has the suggested Foundation been organized. At the same time we postponed any action on the Administration Committee's motion to dismiss the appeals.

We now hold that we have jurisdiction over this matter pursuant to the collateral order doctrine for the reasons given in In re General Motors Corporation Engine Interchange Litigation, 594 F.2d 1106, 1117-1121 (7th Cir.1979). Therefore the motion to dismiss is denied.

As to the district court's February 17, 1983, distinguished opinion, we agree that neither the plaintiff class nor the settling defendants have any right to the reserve fund. We also agree that under these circumstances, it was appropriate for the district court to consider the cy pres doctrine or Fluid Class Recovery to achieve an equitable disposition of the reserve fund. We discussed the "fluid recovery" concept in Simer v. Rios, 661 F.2d 655, 675-677 (7th Cir.1981), but refused to utilize it. As in Simer, the $200,000,000 paid by these defendants surely counsels deterrence, has disgorged illegally obtained profits and has satisfied the compensatory factor of the Sherman Act, so that fluid recovery is not needed.5 Consequently it was inappropriate for the district court to utilize the reserve fund to establish a tax-exempt Foundation for research on complex antitrust litigation and on various substantive aspects of the antitrust laws, as suggested by the Administration Committee.

The district court directed that the funding of the Foundation should not commence until February 17, 1984, one year from the date of its opinion. That period was provided to the Administration Committee for the payment of additional late claims. 557 F.Supp. at 1110. Because of our temporary stay order of February 17, 1983, and our May 3, 1983, stay pending appeal, that beneficial one-year extension was of no effect. Therefore, the Administration Committee should hold the reserve fund available for one year from the date of this opinion to cover the cost of locating absent class members and making appropriate payments to them from the principal and accrued interest of the reserve fund.

After careful consideration, we conclude that the establishment of the proposed Foundation would be carrying coals to Newcastle. There has already been voluminous research with respect to multidistrict antitrust litigation and the substantive and procedural aspects of the antitrust laws by judges, lawyer specialists, law schools, bar associations, Congressional committees, the Department of Justice and the Federal Trade Commission, and it is a continuing project of all those concerned. In our view, establishing an unneeded Foundation for these purposes from the reserve fund would be a miscarriage of justice and an abuse of discretion. Instead, after the passage of a year hence for making appropriate payments to absent or tardy class members and for absorbing appropriate expenses, we direct that the remainder of the reserve fund escheat to the United States.

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