In Re Wr Grace & Co.

468 B.R. 81, 2012 U.S. Dist. LEXIS 11289, 2012 WL 310815
CourtDistrict Court, D. Delaware
DecidedJanuary 30, 2012
DocketCivil Action Nos. 11-199, 11-200, 11-201, 11-202, 11-203, 11-207, 11-208, 09-644, 09-807
StatusPublished
Cited by6 cases

This text of 468 B.R. 81 (In Re Wr Grace & Co.) is published on Counsel Stack Legal Research, covering District Court, D. Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Wr Grace & Co., 468 B.R. 81, 2012 U.S. Dist. LEXIS 11289, 2012 WL 310815 (D. Del. 2012).

Opinion

468 B.R. 81 (2012)

In re W.R. GRACE & CO., et al., Debtors.

Civil Action Nos. 11-199, 11-200, 11-201, 11-202, 11-203, 11-207, 11-208, 09-644, 09-807.

United States District Court, D. Delaware.

January 30, 2012.

*107 Brett D. Fallon, Morris James LLP, Matthew Paul Ward, Womble Carlyle Sandridge Rice, Wilmington, DE, for Appellants.

James E. O'Neill, III, Pachulski, Stang, Ziehl & Jones, LLP, Michael R. Lastowski, Duane Morris LLP, Teresa K.D. Currier, Whitney W. Deeney, Saul Ewing LLP, Mark Thomas Hurford, Marla Rosoff Eskin, Campbell & Levine, Michael B. Joseph, Lisa L. Coggins, Theodore J. Tacconelli, Ferry, Joseph & Pearce, P.A., John C. Phillips, Jr., Phillips, Goldman & Spence, P.A., Neil Glassman, Bayard, P.A., R. Karl Hill, Robert Karl Hill, Seitz, Van Ogtrop & Green, P.A., David M. Klauder, Office of the United States Trustee, R. Stokes Nolte, Reilly Janiczek & McDevitt PC, Edward B. Rosenthal, Rosenthal, Monhait & Goddess, P.A., Barry M. Klayman, Cozen & O'Connor, John D. Demmy, Stevens & Lee, Michael William Yurkewicz, Klehr, Harrison, Harvey, Branzburg & Ellers, Warren Thomas Pratt, Joseph N. Argentina, Jr., Drinker Biddle & Reath LLP, Jeffrey C. Wisler, Marc J. Phillips, Connolly, Bove, Lodge & Hutz, Ricardo Palacio, Ashby & Geddes, Robert J. Dehney, Ann C. Cordo, Morris, Nichols, Arsht & Tunnell, Richard S. Cobb, James S. Green, Jr., Adam G. Landis, Kerri King Mumford, Landis Rath & Cobb LLP, Stuart M. Brown, Robert Craig Martin, Dla Piper LLP, Christopher D. Loizides, Loizides & Associates, James C. Carignan, Evelyn Judith Meltzer, John H. Schanne, II, Pepper Hamilton LLP, Kathleen M. Miller, Smith, Katzenstein, & Jenkins LLP, Francis A. Monaco, Jr., Kevin J. Mangan, Matthew Paul Ward, Womble Carlyle Sandridge Rice, Wilmington, DE, Debra L. Felder, Pro Hac Vice, Orrick, Herrington & Sutcliffe LLP, Washington, DC, Garvan F. McDaniel, Bifferato Gentilotti LLC, Newark, DE, Daniel C. Cohn, Pro Hac Vice, Murtha Cullina LLP, Boston, MA, for Appellees.

MEMORANDUM OPINION

RONALD L. BUCKWALTER, Senior District Judge.[1]

                               Table of Contents
I. Factual Background and Procedural History ..................................... 110
   A. The Personal Injury Asbestos Litigation .................................... 110
   B. The State of Montana Duty to Warn Litigation ............................... 111
   C. BNSF Railway Company Litigation ............................................ 112
   D. The Property Damage Litigation ............................................. 112
   E. The Canadian Class Action Litigation ....................................... 113
   F. Estate Asset and Fraudulent Conveyance Litigation with Grace Subsidiaries .. 113
   G. Garlock Sealing Technologies Litigation .................................... 114
   H. Insurance Coverage Litigation .............................................. 114
      1. The Grace—CNA Settlement Agreement ...................................... 114
      2. AXA Belgium, GEICO, and Republic Excess General Liability
          Insurance Policies with Grace .......................................... 115
   I. Bank Lender Pre-Petition Litigation ........................................ 116
   J. Grace's Bankruptcy Petition and The Joint Plan of Reorganization............ 116

*108
   K. Bank Lender Post-Petition Litigation ....................................... 118
   L. The Bankruptcy Court Proceedings ........................................... 120
II. Standard of Review ........................................................... 120
   A. Standard of Review Regarding Approval of the Settlement Agreement .......... 120
   B. Standard of Review Regarding Confirmation of the Joint Plan ................ 121
III. The Grace and CNA Companies' Settlement Agreement ........................... 121
   A. Application of the Martin Factors .......................................... 123
   B. Fairness of the Settlement Agreement Related to Appellants' Purported
       Rights to the Disputed Insurance Policies ................................. 125
      1. BNSF's Objections ....................................................... 125
      2. The Libby Claimants' Objections ......................................... 127
IV. Confirmation of the Joint Plan ............................................... 133
   A. The Good Faith Requirement ................................................. 133
   B. Asbestos Liability Trusts Under Section 524(g) ............................. 136
      1. The Two Trust Structure of the Joint Plan ............................... 137
      2. Requirements of a Proper Trust Under Section 524(g) ..................... 139
   C. The Section 524(g) Channeling Injunction ................................... 139
      1. The Scope of the Channeling Injunction .................................. 140
         a.  Extension of the Channeling Injunction to Independent Insurer
              Wrongdoing Claims .................................................. 140
         b.  Extension of the Channeling Injunction to BNSF ...................... 144
         c.  AMH's Objections to the Scope of the Channeling Injunction .......... 146
      2. The Fairness and Equality of the Channeling Injunction .................. 146
         a.  Application of the Channeling Injunction to MCC ..................... 146
         b.  Application of the Channeling Injunction to CNA ..................... 148
              i.  BNSF's Objections .............................................. 148
             ii.  The Libby Claimants' Objections ................................ 150
      3. The Effect of the Channeling Injunction on Release s from Liability
          Under the Joint Plan ................................................... 152
   D. Classification of Creditor Claims .......................................... 154
      1. The Section 1122(a) Classification Requirement .......................... 154
      2. Circumvention of the Section 524(g) Injunction .......................... 156
      3. Definitional Requirements of "Claims" and "Demands" Under the
          Bankruptcy Code ........................................................ 157
         a.  Claims Under the Bankruptcy Code .................................... 157
         b.  Demands Under the Bankruptcy Code ................................... 159
   E. Feasibility of the Joint Plan .............................................. 159
      1. AMH's Feasibility Claims ................................................ 161
      2. Montana's Feasibility Claims ............................................ 165
   F. Equality of Treatment Among Creditors ...................................... 166
      1. The Libby Claimants' Discrimination Claims .............................. 167
         a.  The TDP Criteria for Category IV-B .................................. 167
         b.  Pre-Bankruptcy Settlements .......................................... 170
         c.  Grace's Non-Products Insurance Coverage ............................. 171
      2. BNSF's Discrimination Claims ............................................ 173
         a.  Equal Treatment Under Section 1123(a)(4) ............................ 173
         b.  Administrative Costs ................................................ 180
      3. Montana and the Crown's Discrimination Claims ........................... 181
         a.  Failure to Warn Liability ........................................... 181
         b.  The Effect of Timing on Treatment of Creditor Claims ................ 182
         c. 

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Miller v. Durand (In re Cain)
524 B.R. 898 (N.D. Georgia, 2014)
In Re W.R. Grace & Co.
729 F.3d 311 (Third Circuit, 2013)
In Re: W.R. Grace & Co v.
729 F.3d 332 (Third Circuit, 2013)
In re Tribune Co.
472 B.R. 223 (D. Delaware, 2012)

Cite This Page — Counsel Stack

Bluebook (online)
468 B.R. 81, 2012 U.S. Dist. LEXIS 11289, 2012 WL 310815, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-wr-grace-co-ded-2012.