Long Island Lighting Co. v. General Electric Co.

712 F. Supp. 292, 1989 U.S. Dist. LEXIS 5221
CourtDistrict Court, E.D. New York
DecidedMay 10, 1989
DocketCV 88-2716
StatusPublished
Cited by13 cases

This text of 712 F. Supp. 292 (Long Island Lighting Co. v. General Electric Co.) is published on Counsel Stack Legal Research, covering District Court, E.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Long Island Lighting Co. v. General Electric Co., 712 F. Supp. 292, 1989 U.S. Dist. LEXIS 5221 (E.D.N.Y. 1989).

Opinion

MEMORANDUM AND ORDER

WEXLER, District Judge.

Plaintiff, the Long Island Lighting Company (“LILCO”), brings this action against General Electric Company (“GE”), the supplier of one of the systems designed for use in LILCO’s Shoreham Nuclear Power Station (“Shoreham”). LILCO’s complaint sets forth eleven separate causes of action. Federal jurisdiction is predicated on GE’s alleged violation of the Racketeer Influenced Corrupt Organizations Act (“RICO”). The remaining counts of the complaint allege various state law offenses including breach of contract, fraud, breach of warranty, negligence and professional malpractice.

Although this case was originally commenced in the United States District Court for the Northern District of California, that Court transferred the case, pursuant to 28 U.S.C. § 1404(a), to this Court. Presently before the Court is defendant’s motion to dismiss the complaint. After outlining the allegations of the complaint the Court will turn to address the merits of defendant’s motion.

I. THE COMPLAINT

A. Factual Allegations

The parties’ business relationship dates back to early 1967 when LILCO issued a request for bids for a nuclear steam supply system (“NSSS”) to be used at Shoreham. The NSSS includes the nuclear reactor which is housed in a structure known as a containment. The containment’s purpose is to prevent the escape of radioactive steam *294 into the atmosphere in the event of a system failure known as a “loss of coolant accident” or if steam is released from the reactor through safety release valves during normal operation.

GE responded to LILCO’s 1967 request for bids by submitting a proposal to provide certain equipment and services to Shoreham. Among the equipment to be supplied was a pressure containment system that came to be known as the Mark II containment system. LILCO’s present action stems from its business dealings with GE with respect to the Mark II system.

The bid and proposal described above culminated in the parties’ entering into a contract dated December 10, 1968. That contract is entitled “Contract for Nuclear System Equipment and Related Services for Long Island Lighting Company” (“the NSSS Contract”). When changes, additions and exhibits are added the NSSS contract, it is a document that is several hundred pages in length.

LILCO’s complaint is based, in large part, upon GE’s alleged misrepresentations and non-disclosures regarding the safety, reliability and licensability of the Mark II containment system. These actions are tied into a violation of the NSSS Contract which provides, inter alia, that GE will provide LILCO with certain design criteria and will furnish LILCO “with any such other preliminary information it may have with respect to” the Mark II containment system.

LILCO’s complaint traces the course of the parties’ business relationship and alleges that GE made misrepresentations and failed to disclose material information regarding the Mark II containment system, its predecessor, the Mark I system, and its successor, the Mark III containment system.

The Complaint describes a series of tests conducted by GE on its Mark I containment system in the late 1950’s and early 1960’s. LILCO alleges that these tests revealed the presence of violent forces when steam in the system was forced into the system’s suppression pool. These so-called “hydrodynamic forces” are described in the complaint as being so violent as to cause the entire test facility to shake and, on one occasion, to result in the recording of an earthquake in a control room several yards from the test facility. Despite GE’s alleged observance of these hydrodynamic forces, and alleged internal evaluations calling for further testing, LILCO states that GE chose not to conduct tests to measure the forces and instead, embarked upon an information and sales campaign that portrayed the containment system as “fully tested, safe, reliable and licensable.”

GE is alleged to have first presented its Mark II containment system to LILCO in February 1968 at a meeting held in GE’s San Jose, California facility. LILCO alleges that GE represented that the Mark II system would work properly because it was designed in accordance with the test data generated in connection with the Mark I containment system. Throughout the course of LILCO’s evaluation of the Mark II system, GE supplied LILCO and Stone and Webster, LILCO’s architect/engineer, with information regarding the Mark II system. According to LILCO, however, none of the information provided revealed the significance of the hydrodynamic forces or that GE had chosen, contrary to the advice of its engineers, to forego testing of those forces.

In 1968 LILCO began to prepare its Preliminary Safety Analysis Report (the “PSAR”). The PSAR is a document that must be submitted to the Atomic Energy Commission (“AEC”), an agency now known as the Nuclear Regulatory Commission (“NRC”), prior to the granting, by that agency, of a construction permit for a nuclear power plant. LILCO alleges that GE worked closely with LILCO and its engineers in writing the PSAR. According to LILCO, the PSAR contained several misstatements in its description of testing methods used in connection with the pressure containment system. In addition to the PSAR, the complaint details GE’s authorship of various articles and reports in the late 1960’s and early 1970’s. Like the PSAR, these reports are alleged to falsely misrepresent GE’s testing and knowledge *295 of the serious hydrodynamic forces associated with its containment system.

Public disclosure of GE’s problems with hydrodynamic forces did not occur, according to LILCO, until 1975 when GE is alleged to have told the NRC, LILCO, and other utilities that purchased GE’s containment systems, that tests conducted in 1974 on GE’s Mark III system, revealed certain problems relating to hydrodynamic forces. LILCO alleges that the disclosure made in 1975 was only partial in that GE failed, intentionally, to disclose how long it had known of the problems and failed to disclose that for many years, contrary to its own engineers’ recommendations, GE chose not to conduct tests to measure and identify hydrodynamic forces.

After GE’s 1975 disclosure, LILCO joined together with other utilities that purchased GE’s containment system to form the Mark II Owner’s Group (the “Owner’s Group”). LILCO asserts that the Owner’s Group was formed to assure the safe operation of the Mark II system in order to meet NRC requirements. To achieve these goals, LILCO entered into a contract with GE pursuant to which GE agreed to provide consulting services to LILCO and the Owners Group and to conduct testing to define hydrodynamic forces. LILCO alleges that it has made payments to GE in excess of $2 million as its share of payments for services rendered to the Owners Group.

As detailed herein, LILCO currently alleges that GE knew of the hydrodynamic problems associated with its containment systems well before the partial disclosure made in 1975. LILCO alleges that it did not become aware of, nor did it have reason to suspect, GE’s prior knowledge of hydrodynamic problems until February 1986.

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Bluebook (online)
712 F. Supp. 292, 1989 U.S. Dist. LEXIS 5221, Counsel Stack Legal Research, https://law.counselstack.com/opinion/long-island-lighting-co-v-general-electric-co-nyed-1989.