Manville Corp. v. United States

139 B.R. 97, 1992 WL 71439
CourtDistrict Court, S.D. New York
DecidedApril 8, 1992
Docket91 Civ. 6683 (RWS)
StatusPublished
Cited by2 cases

This text of 139 B.R. 97 (Manville Corp. v. United States) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Manville Corp. v. United States, 139 B.R. 97, 1992 WL 71439 (S.D.N.Y. 1992).

Opinion

OPINION

SWEET, District Judge.

Defendant United States of America (the “Government”) has moved for an order dismissing the declaratory judgment action brought by the Manville Corporation and-the Manville Sales Corporation (collectively “Manville”) on the ground that Manville’s complaint is not yet ripe for adjudication. For the reasons set forth below, the Government’s motion is denied.

Prior Proceedings 1

On August 26, 1982, the Johns-Manville Corporation and its affiliated entities, including the Manville Corporation and the predecessors to Manville Sales Corporation, filed petitions under Chapter 11 of the Bankruptcy Code, 11 U.S.C. § 1101 et seq., in the United States Bankruptcy Court for the Southern District of New York. This action was precipitated in part by the massive amount of liability Manville anticipated facing for personal injuries arising from asbestos exposure and asbestos-related property damage claims.

The Bankruptcy Court entered an order on July 16, 1984, fixing October 31, 1984, as the date by which claims had to be filed against Manville or be forever barred. The bar date was later extended to January 31, 1985. The order setting the bar date required Manville to conduct a notice campaign, pursuant to which notices were printed in numerous publications and mailed to over 23,000 entities, including the Administrator of the Environmental Protection Agency (“EPA”) and all ten EPA regional offices. The Government failed to *99 file a proof a claim, either before or after the final bar date. 2

Prior to entering bankruptcy, Manville had instituted litigation against the United States seeking contribution or indemnity from the Government for asbestos claims arising out of naval shipyards owned or controlled by the Government. One of the defenses the Government asserted in these actions was its sovereign immunity, which later proved to be successful. The Government probably would have waived this defense had it filed a proof of claim in Man-ville’s bankruptcy proceedings, see 11 U.S.C. § 106, a fact the Government apparently was well aware of before the bar date, see Complaint ¶ 22.

The Bankruptcy Court confirmed Man-ville’s Second Amended and Restated Plan of Reorganization on December 22, 1986. The order became final on October 28, 1988, and the reorganization plan consummated on November 28, 1988. Manville’s obligations under the plan will continue until all asbestos health related claims have been provided for by the Manville Personal Injury Settlement Trust.

Manville commenced this adversary action on July 19, 1991, in Bankruptcy Court, to seek a declaratory judgment that the Government had bankruptcy claims against Manville with respect to four specific environmental clean-up operations, that the Government failed, deliberatively, to file a proof of claim, and that these claims have been discharged by the confirmation of the reorganization plan.

The Government filed its present motion on September 17, 1991. The parties then stipulated and moved to withdraw the reference from the Bankruptcy Court pursuant to 28 U.S.C. § 157. Their motion was granted and the reference withdrawn by the Honorable Jack B. Weinstein of the Southern and Eastern Districts of New York on October 9, 1991. On November 6, 1991, the matter was transferred to this Court’s docket pursuant to Rule 16 of the Rules For the Division of Business Among District Judges of the Southern District. Oral argument was heard on January 9, 1992, and the motion considered submitted as of that date.

Facts

Manville seeks a judgment declaring that its liability to the Government under the Comprehensive Environmental Response, Compensation, and Liability Act, 42 U.S.C. §§ 9601 et seq. (“CERCLA”), and under other environmental statutes for four specific Superfund sites was discharged in bankruptcy. These four sites are: an asbestos mill, ponding basin, and the City of Coalinga, California (“Coalinga Asbestos Mill Site”); a landfill in Arapaho County, Colorado (“Lowry Landfill Site”); a paint stripping and solvent manufacturing and recycling facility in South Hope, Maine (“Union Chemical Site”); and a facility used to store transformers, liquids and other materials contaminated with polychlori-nated biphenyls (“PCBs”) in Baldwin, Florida (“Yellow Water Road Site”). The EPA has undertaken enforcement or response activities at each site.

Coalinga Asbestos Mill Site

From 1962 to 1974, the Coalinga Asbestos Company mined and milled asbestos on a plot of land approximately twenty miles from the City of Coalinga owned by the Southern Pacific Land Company. Johns-Manville Sales Corporation was an incorpo-rator and shareholder of the Coalinga Asbestos Company.

The EPA first inspected the mill in 1973, apparently to check its compliance with national emission standards. The agency conducted another inspection of the site in May 1980, while in October 1980, the California Regional Quality Control Board inspected the mill to determine whether *100 waste discharges were in compliance with the state’s environmental regulations. The state concluded that corrective measures were necessary to prevent asbestos from entering drainage basins. In April 1982, Southern Pacific and Manville submitted plans to the state proposing remedial actions that were never implemented due to Manville’s subsequent bankruptcy filing. .

The Coalinga Asbestos Mill Site was placed on the National Priorities List of hazardous wastes sites by the EPA in September 1984. The site consists of three distinct areas: the Coalinga mill area; a ponding basin of the California Aqueduct; and the City of Coalinga. The EPA states that it is studying and assessing the three areas separately. At the ponding basin, the EPA will evaluate the actions undertaken there by other state and federal agencies in 1992.

At the City of Coalinga, the EPA has completed a remedial investigation and feasibility study (“RI/FS"). The agency issued a Record of Decision (“ROD”) on July 19,1989, selecting a remedial plan of action for the area. The Southern Pacific Transportation Company has and will continue to execute the plan, and has reimbursed the EPA for its past response costs at the City of Coalinga.

The EPA informed Manville that it was a potentially responsible party (“PRP”) for the mill area cleanup in 1988. On September 21, 1990, the agency issued a ROD for the site that estimated cleanup operations would take two years and cost at least $1.8 million.

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Cite This Page — Counsel Stack

Bluebook (online)
139 B.R. 97, 1992 WL 71439, Counsel Stack Legal Research, https://law.counselstack.com/opinion/manville-corp-v-united-states-nysd-1992.