IN RE QUEST DIAGNOSTICS ERISA LITIGATION

CourtDistrict Court, D. New Jersey
DecidedSeptember 25, 2024
Docket2:20-cv-07936
StatusUnknown

This text of IN RE QUEST DIAGNOSTICS ERISA LITIGATION (IN RE QUEST DIAGNOSTICS ERISA LITIGATION) is published on Counsel Stack Legal Research, covering District Court, D. New Jersey primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
IN RE QUEST DIAGNOSTICS ERISA LITIGATION, (D.N.J. 2024).

Opinion

UNITED STATES DISTRICT COURT DISTRICT OF NEW JERSEY

: : IN RE QUEST DIAGNOSTICS : Civil Action No. 20-07936 (JXN) (JRA) INCORPORATED ERISA LITIGATION : : : OPINION

NEALS, District Judge: This matter comes before the Court on the following motions: (1) Plaintiffs Lawanda Lasha House Johnson, Rebecca A. Rice, and Shalamar Curtis’s (“Plaintiffs”) motion for class certification pursuant to Federal Rule of Civil Procedure 23 (ECF No. 107);1 (2) Defendants Quest Diagnostic Incorporated (“Quest”), the Quest Benefits Administration Committee (“BAC”), and the Quest Investment Committee’s (“IC” or “Committee”) (collectively, “Defendants”) motion for summary judgment pursuant to Federal Rule of Civil Procedure 56 (ECF No. 119); (3) Defendants’ motion to exclude the opinions and testimony of Martin Dirks pursuant to Federal Rule of Evidence 702 (ECF No. 116); and (4) Plaintiffs’ motion to exclude the opinions and testimony of Jonathan Reuter pursuant to Federal Rule of Evidence 702 (ECF No. 124). Jurisdiction and venue are proper pursuant to 28 U.S.C. §§ 1331 and 1132(e), respectively. The Court has carefully considered the parties’ submissions and decides this matter without oral argument under Federal Rule of Civil Procedure 78(b) and Local Civil Rule 78.1(b). For the reasons set forth below, Defendants’ motion for summary judgment (ECF No. 119) is GRANTED, and Plaintiffs’ Consolidated Complaint (“Compl.” or “Complaint”) (ECF No. 10) is DISMISSED with prejudice. Additionally, Plaintiffs’ motions for class certification (ECF No. 107) and to exclude the opinions and testimony of Jonathan Reuter (ECF No. 124), and

1 Unless otherwise indicated, the Court refers to the ECF page numbers. Defendants’ motion to exclude the opinions and testimony of Martin Dirks (ECF No. 116) are DENIED as moot. I. BACKGROUND AND PROCEDURAL HISTORY On October 2, 2020, Plaintiffs—former employees of Quest and participants in the Plan—

filed a Consolidated Class Action Complaint (“Consolidated Complaint”) seeking to recover damages under Employee Retirement Income Security Act of 1974, as amended 29 U.S.C. § 1001, et seq. (“ERISA”) for Defendants’ (1) alleged breach of fiduciary duties (Count I); (2) failure to monitor (Count II); and, in the alternative to the ERISA claims, (3) breach of trust for imprudent Plan management (Count III). (See generally ECF No. 10).2 The relevant facts follow. A. The Plan Quest is “a major provider of clinical laboratory and anatomic pathology testing and related services in the United States.” (Defs.’ Statement of Undisputed Material Facts (ECF No. 121) (“DSOF”) ¶ 13; Pls.’ Statement of Facts in Opposition to Summary Judgment (ECF No. 136-1) (“PSOF”) ¶ 1). Quest sponsors its 401(k) Savings Plan, a defined contribution plan that provides

retirement benefits to eligible employees. (DSOF ¶¶ 4, 11; PSOF ¶¶ 4, 11). 4 As of December 2020, the Plan had 57,226 participants with account balances and assets totaling approximately five billion dollars. (DSOF ¶ 8; PSOF ¶ 8). Plaintiffs bring this action on behalf of all participants and beneficiaries of the Plan from June 29, 2014, to present (the “Relevant Period”). (DSOF ¶ 24; PSOF ¶ 24). The Plan offered participants different investment options, including “various actively

2 Raquel Aziz was initially a named Plaintiff in this matter. (See generally ECF No. 10). On June 13, 2022, the Court granted Plaintiffs’ motion to withdraw Raquel Aziz as a named plaintiff under Federal Rule of Civil Procedure 21. (ECF No. 78). 3 For brevity, all citations to the parties’ Rule 56.1 statements incorporate the evidentiary citations contained therein. 4 “[A] ‘defined contribution plan’ . . . promises the participant the value of an individual account at retirement, which is largely a function of the amounts contributed to that account and the investment performance of those contributions.” LaRue v. DeWolff, Boberg & Assocs., Inc., 552 U.S. 248, 250 n.1 (2008). managed mutual funds, passively managed index funds, and Quest company stock.” (DSOF ¶ 13; PSOF ¶ 13).5 Relevant here, Plaintiffs challenge the Plan’s maintenance of the Invesco Global Real Estate Fund (“Invesco Fund”), the DFA U.S. Small-Cap Value Fund (“DFA Fund”), and the Fidelity Freedom Funds (“Freedom Funds”) (collectively, the “Challenged Funds”). (DSOF ¶ 22;

PSOF ¶ 22). B. The IC The IC maintains responsibility “for the oversight and management of the investments in the Plan.” (DSOF ¶ 21; PSOF ¶ 21). The IC is responsible for: (1) “determining the types of investment options offered by the Plan to provide a broad selection of investment across the risk/return spectrum;” (2) “establishing performance standards for each investment fund in the Plan;” (3) “selecting investment funds based on fund and Plan objectives;” (4) “reviewing and evaluating performance results of the investment funds against established performance standards;” (5) “approving investment fund agreements and changes to those agreements”; and (6) “taking corrective action when an investment fails to perform against established IPS objectives, guidelines

and standards.” (DSOF ¶ 22; PSOF ¶ 22). The IC “received annual fiduciary trainings about their fiduciary obligations that covered, among other things, the ‘issues they needed to consider while selecting, monitoring, and changing managers of investments in the plan.’” (DSOF ¶ 55; PSOF ¶ 55). The IC sought investment advice from an investment advisor, Mercer Investment Consulting, Inc. (“Mercer”) for the first part of the Relevant Period, and later in the Relevant Period, AON Investment Consulting provided those services. (DSOF ¶¶ 23-24; PSOF ¶¶ 23-24). During the Relevant Period, Mercer prepared Performance Evaluation Reports that “set forth investment

5 If participants did not make active investment choices, “the contributions are directed into the fund in the Freedom Funds with the target date closest to the participant’s attainment of age sixty-five.” (DSOF ¶ 19; PSOF ¶ 19). returns of the Challenged Funds on one-year, three-year, five-year, and ten-year bases; identified funds placed on Watch; and provided an overview and analysis of external market activity, economic indicators, and regulatory as well as legislative updates relevant to the Plan’s investments.” (DSOF ¶¶ 43-44; PSOF ¶¶ 43-44).

The IC met on a quarterly basis to review the Challenged Funds. (DSOF ¶¶ 40-41; PSOF ¶¶ 40-41). After the meetings, the IC’s secretary prepared meeting minutes outlining what was discussed. (DSOF ¶ 46; PSOF ¶ 46). The Mercer reports were “part of the documentary record of the [C]ommittee’s process.” (Reply Declaration of Melissa Hill (“Hill Reply Decl.”), Ex. 138, ECF No. 140-3 at 127:9-12). C. The Investment Policy Statement The IPS “serves as a framework to help the Investment Committee assess the performance of the investment options offered by the Plans.” (Declaration of Melissa Hill (“Hill Decl.”), Ex. 80, ECF No. 122-6 at 567).

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IN RE QUEST DIAGNOSTICS ERISA LITIGATION, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-quest-diagnostics-erisa-litigation-njd-2024.