MCMILLAN MCGEE CORP v. THIRD SITE TRUST FUND

CourtDistrict Court, S.D. Indiana
DecidedMarch 29, 2024
Docket1:21-cv-01988
StatusUnknown

This text of MCMILLAN MCGEE CORP v. THIRD SITE TRUST FUND (MCMILLAN MCGEE CORP v. THIRD SITE TRUST FUND) is published on Counsel Stack Legal Research, covering District Court, S.D. Indiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
MCMILLAN MCGEE CORP v. THIRD SITE TRUST FUND, (S.D. Ind. 2024).

Opinion

UNITED STATES DISTRICT COURT SOUTHERN DISTRICT OF INDIANA INDIANAPOLIS DIVISION

MCMILLAN MCGEE CORP, ) ) Plaintiff, ) ) v. ) Case No. 1:21-cv-01988-TWP-MJD ) THIRD SITE TRUST FUND, ) ) Defendant. ) ) ) THIRD SITE TRUST FUND, ) ) Counter Claimant, ) ) v. ) ) MCMILLAN MCGEE CORP, ) THE GUARANTEE COMPANY OF NORTH ) AMERICA USA, ) ) Counter Defendants. ) ENTRY ON CROSS-MOTIONS FOR SUMMARY JUDGMENT This matter is before the Court on Defendant Third Site Trust Fund's (the "Trust") Motion for Summary Judgment on Plaintiff McMillan McGee Corp.'s ("McMillan") Complaint and for partial summary judgment against McMillan on Count II of the Trust's Counterclaim (Filing No. 144) and McMillan's Motion for Summary Judgment (Filing No. 154). For the following reasons, the Trust's Motion for Summary Judgment on all counts in McMillan's Complaint is granted, the Trust's Partial Motion for Summary Judgment as to Count II of its Counterclaim as to liability only is granted, and McMillan's Motion for Summary Judgment is denied. I. BACKGROUND The following facts are not necessarily objectively true, but as required by Federal Rule of Civil Procedure 56, the facts are presented in the light most favorable to the non-moving party for each respective motion. See Zerante v. DeLuca, 555 F.3d 582, 584 (7th Cir. 2009); Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 255 (1986). This case involves multiple parties with varying

claims, numerous contract provisions, and a plethora of facts. This background section is not intended to provide a comprehensive explanation of all the facts of this case, rather, it only discusses those relevant to these two motions. A. Factual Background This case is about a contractual dispute between McMillan, an environmental remediation company, and the Trust, a trust created by the U.S. Environmental Protection Agency ("EPA"), to fund the cleanup of a contaminated property known as Third Site (Filing No. 14-2 at 1). On May 11, 2001, the EPA issued an Enforcement Action Memorandum ("EAM") documenting the "determination of an imminent and substantial threat to public health and the environment, and the non-time critical removal action to be performed at [Third Site]." (Filing No. 14-7 at 10). Third

Site is a tract of land that occupies two acres in Zionsville, Boone County, Indiana (Filing No. 14- 7 at 1, 11). On the site was the presence of soil and groundwater contaminated with dense non- aqueous phase liquids ("DNAPL") and other volatile organic compounds ("VOCs"). Id. at 10. The DNAPL area was approximately 4,500 square feet with an estimated depth of up to 41 feet, enclosed by a sheet of pile wall. Id. at 3. 1. The Contract In 2016, the Trust entered into a Contract with McMillan that required McMillan to remediate contamination at Third Site (Filing No. 14-1 ¶ 4; see Filing No. 14-2) (the "Contract").1 McMillan was responsible for the design, installation, operation, and maintenance of an Electrical Resistance Heating ("ERH") system to achieve a reduction in the concentration of total VOCs in

groundwater in the Third Site DNAPL area to a depth of forty (40) feet and in the defined Additional Thermal Treatment Zone (the “ATT zone”) zone outside the sheet pile wall, by greater than 90% at both locations." (Filing No. 14-2 at 2, §§ 1.1.1, 1.1.5; see Filing No. 1 at 2 ¶12). Under the contract, McMillan's work obligations are not complete "until EPA approval of the performance of all the Work is received." Id. § 1.1.6. The Contract outlines a multi-step sampling and verification process for determining whether McMillan achieved the 90% reduction cleanup objective (Filing No. 14-1 ¶ 6). Ramboll U.S. Consulting Inc., f/k/a/ Ramboll Envion. ("Ramboll") was to complete the groundwater sampling, not McMillan. Id. Ramboll would complete two rounds of confirmation sampling at least 90 days apart to confirm achievement of the cleanup objectives and to ensure that the

contamination had not "rebounded" within the DNAPL area. Id.; (Filing No. 14-2 at 2 § 1.1.7). After the EPA has agreed that, as a result of sampling, the cleanup objectives set forth in Sections 1.1.1 and 1.1.5 have been met and a second round of sampling confirms achievement of those cleanup objectives, McMillan could remove the ERH equipment (Filing No. 14-2 at 2 § 1.1.7).

1 At the heart of this dispute is the interpretation of various contract provisions and calculation of sampling results. While the parties agree on which contract provisions are relevant, they differ on their interpretation and application in the case. Relevant contract provisions will be included in the Discussion section below as needed. Copies of the sampling results will also be included in the Discussion section when relevant. 2. McMillan's Work at Third Site On September 24, 2018, McMillan began the first round of ERH treatment (Filing No. 156- 11 at 1). McMillan completed its own sampling which indicated to them a reduction of VOCs that met the contract goals (Filing No. 156-7 at 4). McMillan ceased operations 122 days later on January 24, 2019, believing it had achieved the cleanup objective (Filing No. 145-11 at 15-16).

Pursuant to the Contract, Ramboll conducted confirmatory sampling on March 29, 2019, to determine whether McMillan had actually achieved the cleanup objective, a greater than 90% reduction in total VOCs in the groundwater in the DNAPL area (Filing No. 14-1 at 2-3 ¶ 9; see Filing No. 14-4). The sampling results showed that McMillan failed to achieve all its required cleanup objectives (Filing No. 14-2 at 1-2). Ramboll shared the sampling results with the Trust and McMillan (Filing No. 14-4 at 1). After receiving the sampling results from Ramboll, McMillan informed the Trust and the EPA that it planned to restart ERH treatment on or about April 22, 2019 (see Filing No. 156-15). McMillan's second round of ERH treatment started April 2019 and continued until July 5, 2019. Id. McMillan again decided to perform its own internal sampling and informed the Trust that it

had achieved the required 90% reduction in VOCs in groundwater (Filing No. 156-7 at 1). On September 5, 2019, Ramboll conducted another round of confirmatory sampling (Filing No. 145- 5). Those sampling results showed that McMillan had not achieved the cleanup objectives at P-1 and P-2 (Filing No. 14-5). The sampling results also showed a high presence of the compound 1,2- Dichlorobenzene (Filing No. 156-18). After receiving the second round of sampling results from Ramboll, McMillan informed the Trust that there appeared to be VOCs beyond the 40-foot targeted area, which were leaking into the soil (Filing No. 145-16). McMillan sought an adjustment to the Contract price based on these purported site conditions. Id. Except as provided in Section 7.2 and 7.3, McMillan had full responsibility with respect to the physical conditions at or relating to the Site including surface, subsurface and other existing conditions (Filing No. 14-2 at 13 § 7.1). In the event the Site differed from what was known at the time the parties entered the Contract, McMillan was entitled to additional time and compensation to complete its treatment:

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MCMILLAN MCGEE CORP v. THIRD SITE TRUST FUND, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mcmillan-mcgee-corp-v-third-site-trust-fund-insd-2024.