In re Ford Motor Co. Bronco II Product Liability Litigation

177 F.R.D. 360, 1997 WL 757686
CourtDistrict Court, E.D. Louisiana
DecidedFebruary 27, 1997
DocketNo. CIV. A. 991
StatusPublished
Cited by29 cases

This text of 177 F.R.D. 360 (In re Ford Motor Co. Bronco II Product Liability Litigation) is published on Counsel Stack Legal Research, covering District Court, E.D. Louisiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Ford Motor Co. Bronco II Product Liability Litigation, 177 F.R.D. 360, 1997 WL 757686 (E.D. La. 1997).

Opinion

MEMORANDUM AND ORDER

SEAR, Chief Judge.

I. The Motion

Plaintiffs in these consolidated actions move to certify a class of plaintiffs composed of

[a]ll persons and entities who, as of July 26, 1994, own or have an ownership interest in a Ford Bronco II vehicle and reside in the United States (including the District of Columbia and the Commonwealth of Puerto Rico), less and except those persons who are members of the class previously certified in Mary Rice, et al. v. Ford Motor Company, CV 93-65 (Circuit Court of Green County, Ala.)1

Plaintiffs seek class certification pursuant to Federal Rule of Civil Procedure 23(a)(l)-(4) and 23(b)(3) and, in the alternative, Rule 23(b)(1) or (b)(2).

Defendant, Ford Motor Company (“Ford”), has filed an opposition to plaintiffs’ motion. Reply and surreply memoranda have been filed on behalf of plaintiffs and defendant, respectively. Additionally, at the suggestion of the parties I permitted supplemental briefing on the matter of choice of law, to be considered in connection with plaintiffs’ motion for class certification. Finally, the parties have asked me to consider affidavits of their expert witnesses in lieu of conducting an evidentiary hearing on certification, with the understanding that I would conduct such a hearing if I considered it necessary to rule on plaintiffs’ motion. I find no hearing necessary.

II. Factual and Procedural Background

Plaintiffs’ Second Amended Class Action Complaint (“Second Amended Complaint”) alleges that defendant has sought to deceive the public concerning the safety of the Bron[364]*364co II, a utility vehicle marketed by Ford between the years 1983 and 1990, and still a part of the resale market. By the parties’ own estimate, approximately 650,000 Bronco II vehicles are still registered for use on American highways. Plaintiffs allege, generally, that despite knowledge of a design defect in the Bronco II that renders the vehicle unreasonably prone to roll over in normal driving conditions, Ford marketed the vehicle as a high quality vehicle free of dangerous defects and, through omissions and misrepresentations, concealed the rollover problem from the public.

The Second Amended Complaint includes claims for common law fraud, misrepresentation, breach of express and implied warranty, redhibition, breach of contract and violation of the Magnuson-Moss Warranty Act (“Magnuson-Moss Act” or “the Act”).2 Approximately 120 plaintiffs are named in the Complaint pursuant to the provisions of the Magnuson-Moss Act. Plaintiffs seek damages representing economic loss suffered as a result of having purchased their vehicles for a price that is in excess of its worth if the rollover problem is known.3 Plaintiffs also seek injunctive relief to require Ford to provide public notice of the defect and/or to recall and retrofit all Bronco IIs. Finally, plaintiffs seek punitive damages, attorneys’ fees and costs.

. Since the February 9, 1994 transfer of the five core actions 4 to this district by the Judicial Panel on Multidistrict Litigation (“JPML”), several significant events have occurred. Within months of the transfer, former class counsel and Ford submitted a proposed settlement. The proposed settlement provided for provision to all class members, on request, of various informational material, a free inspection, and an inspection-incentive consisting of a complimentary hand lantern, road atlas, and the opportunity to receive a cellular phone. Class counsel sought to recover fees of approximately $4 million in connection with the settlement.5 After conducting a fairness hearing on November 8, 1994 and considering volumes of evidence and documents related to the fairness of the proposed settlement, on March 20, 1995 I rejected the proposed settlement. My basis for rejecting the settlement was that, considering the recovery obtained for the class and the very limited amount of discovery actually taken, class counsel fees were so excessive as to suggest collusion and to render inadequate the terms of the settlement and the legal representation of the class. I did not comment on the appropriateness of the remedy offered by Ford, per se.

Following rejection of the proposed settlement, my focus shifted to various motions to dismiss filed by Ford in the core actions.6 After resolution of those motions, in late 1995 and early 1996 the parties began to concentrate on the class certification issue. On April 1,1996 I issued a Discovery Scheduling Order to govern the ongoing merits discovery in the core actions, and I directed the parties to continue with discovery even though I had not yet ruled on plaintiffs’ motion for class certification. In the early Fall of 1996, counsel asked me to stay discovery so that they might attempt to resolve the litigation amicably. In mid-October 1996 I stayed discovery pending counsel’s attempts to negotiate a settlement and I participated in several of the discussions.

On February 3, 1997, I determined that settlement had failed to yield satisfactory results to date, advised counsel that I intended to rule on plaintiffs’ motion to certify a class for trial, and afforded the parties time to submit additional, non-repetitive briefing of the issue and/or to request a hearing although previously they had waived the [365]*365hearing.7 Defendant submitted a memorandum I find to be merely repetitive of prior arguments, and no party has requested a hearing on class certification.

III. Discussion .

A. Federal Rule of Civil Procedure 23

Federal Rule of Civil Procedure 23(a) requires that four conditions be met in order for a proposed class of plaintiffs or defendants to be certified. The four requirements are commonly referred to as: (1) numerosity; (2) typicality; (3) commonality and (4) adequacy of representation. Fed.R.Civ.P. 23(a). In addition to these four criteria, Rule 23(b) defines three different types of class actions, and the party moving for certification must demonstrate that the action falls within one of the 23(b) categories. The party moving for certification thus bears the burden of proving each of the elements of Rule 23(a) and one of the factors included in Rule 23(b). Applewhite v. Reichhold Chemicals, Inc., 67 F.3d 571, 573 (5th Cir.1995); Horton v. Goose Creek Ind. School Dist., 690 F.2d 470, 486 (5th Cir.1982), cert, denied, 463 U.S. 1207, 103 S.Ct. 3536, 77 L.Ed.2d 1387 (1983).

Because classwide relief is an exception to the general rule that litigation be conducted by and on behalf of individual named parties only, a district court must rigorously analyze a motion for class certification to insure that the requirements of Rule 23 are met. General Telephone Co. of Southwest v. Falcon,

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Bluebook (online)
177 F.R.D. 360, 1997 WL 757686, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-ford-motor-co-bronco-ii-product-liability-litigation-laed-1997.