Lunsford v. NCH Corp.

396 P.3d 288, 285 Or. App. 122, 2017 WL 1491126, 2017 Ore. App. LEXIS 508
CourtCourt of Appeals of Oregon
DecidedApril 26, 2017
Docket110912644; A154902
StatusPublished
Cited by1 cases

This text of 396 P.3d 288 (Lunsford v. NCH Corp.) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lunsford v. NCH Corp., 396 P.3d 288, 285 Or. App. 122, 2017 WL 1491126, 2017 Ore. App. LEXIS 508 (Or. Ct. App. 2017).

Opinion

FLYNN, J. pro tempore

This appeal returns to us on remand from the Oregon Supreme Court. In our earlier opinion, we applied Oregon Supreme Court precedent and held that the statute of ultimate repose for product liability claims, ORS 30.905(3)(b) (2008), does not violate either the remedy clause of Article I, section 10, of the Oregon Constitution, or the jury trial clause of Article I, section 17, of the Oregon Constitution. Lunsford v. NCH Corp., 271 Or App 564, 566, 351 P3d 804 (2015), decision vac’d, 360 Or 235, 381 P3d 824 (2016) CLunsford I). The Supreme Court vacated and remanded our decision for reconsideration in light of that court’s opinion in Horton v. OHSU, 359 Or 168, 376 P3d 998 (2016), which overruled one of the remedy clause cases on which our first decision relied.

On remand, we again conclude that plaintiffs challenge under the remedy clause is foreclosed by a controlling Supreme Court opinion. In the wake of Horton, we now arrive at the same result by following Sealey v. Hicks, 309 Or 387, 396, 788 P2d 435 (1990), in which the Supreme Court rejected an Article I, section 10, challenge to the statute of ultimate repose under a remedy clause paradigm that— although previously disavowed by the Supreme Court—has now been restored by Horton. We reject plaintiffs argument that we can distinguish or disregard Sealey. We also adhere to our prior conclusion that Sealey requires us to reject plaintiffs Article I, section 17, challenge. Accordingly, we affirm.1

As set out in Lunsford I, plaintiff filed a wrongful death product liability action alleging that decedent died in 2008 as a consequence of a form of leukemia caused by long-term exposure to unreasonably dangerous benzene-containing products, including a product manufactured by defendant. Defendant argued that plaintiffs claim against defendant is barred by the products liability statute of ultimate repose, ORS 30.905(1) (2008), which provides that [125]*125“a product liability civil action may not be brought for any death, personal injury or property damage that is caused by a product and that occurs more than eight years after the date on which the product was first purchased for use or consumption.”2 The trial court agreed with defendant and dismissed the action.

In Lunsford I, we rejected plaintiffs arguments that the limitation in ORS 30.905 (2008) violates Article I, section 10, and Article I, section 17, of the Oregon Constitution. We began by observing that “[t]he Supreme Court has previously upheld the statute of repose found in ORS 30.905 against challenges under the same constitutional provisions,” referring to that court’s decision in Sealey. 271 Or App at 567. But we agreed with plaintiff that Sealey was “no longer controlling precedent with respect to whether ORS 30.905(3)(b) (2008) violates the remedy clause,” because the Supreme Court in Smothers v. Gresham Transfer, Inc., 332 Or 83, 23 P3d 333 (2001), had expressly disavowed Sealey’s understanding of the role of the remedy clause. 271 Or App at 568.

After agreeing that Sealey was no longer a controlling precedent regarding plaintiffs remedy clause argument, we then analyzed plaintiffs argument in light of the rule set out in Smothers—that the remedy clause applies if the “plaintiffs particular alleged injury is one for which the common law recognized a cause of action” in 1857. 271 Or App at 568-69. We concluded that “under the Smothers framework, wrongful death actions would not be protected by the remedy clause,” because “the Supreme Court has repeatedly described actions for wrongful death as not among those recognized by the common law in 1857.” Id. at 569 (citing Storm v. McClung, 334 Or 210, 222 n 4, 47 P3d 476 (2002), and Kilminster v. Day Management Corp., 323 Or 618, 627, 919 P2d 474 (1996)).

We declined plaintiffs invitation to intuit that the Supreme Court no longer agreed with Smothers’ conclusion [126]*126that the remedy clause protects only causes of action that existed at common law in 1857. We declined that invitation, because we “‘remain bound by Supreme Court precedent until such time as that court reconsiders and disavows it.’” 271 Or App at 571 (quoting State v. Turner, 235 Or App 462, 466, 234 P3d 993 (2010)).

Plaintiff correctly read the tea leaves, however, and in Horton, the Supreme Court expressly reconsidered and overruled Smothers. In doing so, the Supreme Court in Horton severed Article I, section 10, jurisprudence from the state of the common law in 1857 and restored its earlier Article I, section 10, jurisprudence, which Smothers had disavowed. 359 Or at 218-19 (explaining that, because “the common law is not inflexible but changes to meet the changing needs of the state [,] * * * Smothers clearly erred in holding that the remedy clause locks courts and the legislature into a static conception of the common law as it existed in 1857”). Thus, plaintiffs challenge under Article I, section 10, is no longer answered by the cases in which the Supreme Court has described wrongful death actions as not recognized by the common law in 1857.

Plaintiff urges us to analyze her remedy clause challenge as an open question, to be answered under the analytical framework described in Horton. However, in the process of opening one door—by overruling Smothers— Horton closed another—by restoring Sealey's status as controlling precedent regarding Article I, section 10. Sealey holds that the statute of ultimate repose does not violate the remedy clause, because ‘“[i]t is a permissible constitutional legislative function to balance the possibility of outlawing legitimate claims against the public need that at some definite time there be an end to potential litigation.’” 309 Or at 394 (quoting Josephs v. Burns & Bear, 260 Or 493, 502, 491 P2d 203 (1971)).3 We did not apply Sealey in our first opinion, because Smothers disavowed Sealey on the grounds that Sealey relied on the remedy clause analysis of Perozzi [127]*127v. Ganiere, 149 Or 330, 348, 40 P2d 1009 (1935), and the Smothers court concluded that Perozzi had strayed from the remedy clause’s historical purpose. Smothers, 332 Or at 118-19.

Horton upended that result, however, by expressly “disagree [ing] with Smothers that we either can or should disregard Perozzi and the cases that followed it.” 359 Or at 197. As Horton explains, “the cases relying on Perozzi were not sipping from a poisoned wellspring. Rather, they were relying on a case that took a considered view of the text, context, and purposes of Oregon’s remedy clause.” Id. at 196. Accordingly, the court “reaffirm[ed]” its “remedy clause decisions that preceded Smothers, including the cases that

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Bluebook (online)
396 P.3d 288, 285 Or. App. 122, 2017 WL 1491126, 2017 Ore. App. LEXIS 508, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lunsford-v-nch-corp-orctapp-2017.