Cite as 2023 Ark. 94 SUPREME COURT OF ARKANSAS No. CV-22-635
Opinion Delivered: June 8, 2023 MONSANTO COMPANY PETITION FOR WRIT OF CERTIORARI OR, IN THE PETITIONER ALTERNATIVE, A WRIT OF PROHIBITION, WRIT OF V. MANDAMUS, OR OTHER SUPERVISORY WRIT CORNELIUS KILGORE AND LABOMMIE KILGORE
PETITION DENIED. RESPONDENTS
JOHN DAN KEMP, Chief Justice
Monsanto Company petitions this court for a writ of certiorari or, in the alternative,
a writ of prohibition, writ of mandamus, or other supervisory writ. It argues that the Drew
County Circuit Court misinterpreted the Arkansas Rules of Civil Procedure in this
discovery matter, abused its discretion, and acted beyond its jurisdiction in allowing the
deposition of Werner Baumann, a citizen and resident of Germany. We deny the petition.
I. Facts
In October 2021, respondents Cornelius and Labommie Kilgore (the Kilgores) filed
a complaint in the Drew County Circuit Court against Monsanto Company, Walmart, Inc.,
and Walmart Stores Arkansas, LLC, alleging that Mr. Kilgore had been diagnosed with non-
Hodgkin’s lymphoma in November 2018 after two decades of exposure to Monsanto’s
Roundup-branded products, which he had purchased at Walmart. The Kilgores asserted a design-defect claim against Monsanto, as well as claims against both Monsanto and Walmart
for failure to warn, negligence, breach of implied warranties, violation of the Arkansas
Deceptive Trade Practices Act, and loss of consortium.
On April 27, 2022, the Kilgores served Monsanto with a deposition notice pursuant
to Arkansas Rules of Civil Procedure 26 and 30 for Baumann, the chief executive officer of
Bayer AG, Monsanto’s parent corporation.1 The notice identified Baumann as Monsanto’s
“managing agent” and stated that he would be questioned on the following topics:
Monsanto’s position on the safety of Roundup® Products and their active ingredients, the design of Roundup® Products, Monsanto’s plan to redesign Roundup® Products, Monsanto’s plan to relabel Roundup® Products, Monsanto’s view of the economic value of Roundup® Products cases, and Monsanto’s plan to resolve litigation arising out of Roundup® Products, including this lawsuit.
On May 17, Monsanto filed a motion for protective order requesting that the circuit court
strike the notice of deposition. It argued that Baumann could not be deposed under Rule
30 because he was not Monsanto’s managing agent. Instead, Monsanto claimed that the
Kilgores needed to seek a subpoena in order to depose him, and because he resides in
Germany, “any subpoena issued to him under Rule 45 would be outside the Court’s
jurisdiction and instead would be governed by the requirements of the Hague Convention.”
Monsanto also argued that Baumann’s deposition is not permitted under the “apex”
doctrine.
Following the hearing, the circuit court entered an order on August 19 denying
Monsanto’s motion for protective order. It found that “there is certainly enough evidence
1 On May 31, 2023, counsel for Monsanto informed this court by letter to our clerk that “Baumann’s last day with Bayer AG is today, May 31, 2023.”
2 to believe that Plaintiffs have met the threshold burden of establishing that Mr. Baumann is
a managing agent of Monsanto.” The circuit court further noted that the apex doctrine has
not been adopted in Arkansas or in the Eighth Circuit, and it refused to “apply a doctrine
that has not been adopted by the courts above it[.]” On August 25, Monsanto filed a motion
for reconsideration asking that the circuit court (1) modify its order, grant Monsanto’s
request for a protective order, and strike the Kilgores’ notice of deposition of Baumann or,
in the alternative, (2) modify its order to require the Kilgores to proceed in accordance with
the requirements of the Hague Convention and in conformity with German law. On
October 3, the circuit court denied Monsanto’s motion for reconsideration.
On October 10, Monsanto filed in this court a petition for writ of certiorari or, in
the alternative, a writ of prohibition, writ of mandamus, or other supervisory writ. It argued
that the circuit court abused its discretion and acted in excess of its jurisdiction, thereby
warranting a grant of certiorari in three ways: (1) by finding that Baumann, “the CEO of
Monsanto’s foreign indirect parent corporation (nine tiers removed),” is Monsanto’s
“managing agent” who can be deposed via a Rule 30 deposition notice; (2) by compelling
Baumann’s deposition pursuant to Rule 30, thereby ignoring or circumventing the
procedures set forth in the Hague Convention; and (3) by concluding that Baumann’s
deposition “can proceed under the apex doctrine and/or a conventional Rule 26(c)
analysis.” We took Monsanto’s petition as a case and granted a limited stay of proceedings
pending our review.
3 II. Writ of Certiorari
A writ of certiorari is extraordinary relief. Chiodini v. Lock, 373 Ark. 88, 93, 281
S.W.3d 728, 732 (2008). There are two requirements that must be satisfied in order for this
court to grant a writ of certiorari. Ark. Found. for Med. Care v. Saline Cnty. Cir. Ct., 2012
Ark. 372, at 3, 423 S.W.3d 542, 544. First, there can be no other adequate remedy but for
the writ of certiorari. Id., 423 S.W.3d at 544. Second, a writ of certiorari lies only when (1)
it is apparent on the face of the record that there has been a plain, manifest, clear, and gross
abuse of discretion, or (2) there is a lack of jurisdiction, an act in excess of jurisdiction on
the face of the record, or the proceedings are erroneous on the face of the record. Id. at 4,
423 S.W.3d at 544. This court has also held that, in determining the applicability of the
writ, we will not look beyond the face of the record to ascertain the actual merits of a
controversy, or to control discretion, or to review a finding of fact, or to reverse a circuit
court’s discretionary authority. Baptist Health v. Cir. Ct. of Pulaski Cnty., 373 Ark. 455, 458,
284 S.W.3d 499, 502 (2008).
This court has, on several occasions, specifically held that a petition for writ of
certiorari is not an appropriate remedy when a party seeks to reverse a discovery order. Id.
at 458–59, 284 S.W.3d at 502; see also Chiodini, 373 Ark. at 93, 281 S.W.3d at 732 (“Because
a trial court’s discovery ruling is a matter well within the court’s jurisdiction and discretion,
a writ of certiorari will not lie to correct any perceived error in the court’s ruling.” (emphasis
in original)). In Chiodini, for example, we denied a petition for writ of certiorari where the
petitioner challenged the interpretation and application of Rule 36 of the Arkansas Rules of
4 Civil Procedure. Id. at 92–93, 281 S.W.3d at 732. Subsequently, in Baptist Health, this court
stated that
it is clear that the circuit court had jurisdiction to enter a discovery order; what is at issue is whether the circuit court correctly interpreted a statute and applied its interpretation of that statute to the facts before it. Certiorari simply will not lie in these circumstances.
373 Ark. at 461, 284 S.W.3d at 504 (emphasis in original).
Here, in its petition, Monsanto does not assert that the circuit court lacked the ability
to rule on the discovery motion before it. Rather, Monsanto contends that (1) the circuit
court erroneously interpreted Rule 30, resulting in the court ignoring or circumventing the
procedures set forth in the Hague Convention and (2) its erroneous interpretation of Rule
26(c) and refusal to adopt the apex doctrine will subject Baumann and Monsanto to
“annoyance, embarrassment, oppression, or undue burden or expense.” Ark. R. Civ. P.
26(c). These issues of interpretation and application are similar to those presented in Chiodini
and Baptist Health, and we have said certiorari will not lie in these circumstances. “[T]o
decide [these] question[s] would require us to delve into the underlying merits of the
controversy, which this court has frequently held is improper in deciding whether to issue
the writ.” Baptist Health, 373 Ark. at 460, 284 S.W.3d at 503.
Monsanto argues that its petition is appropriate for certiorari review pursuant to this
court’s holding in Cooper Tire & Rubber Co. v. Phillips County Circuit Court, 2011 Ark. 183,
381 S.W.3d 67. There, this court granted a petition for writ of certiorari “where the issue
was not a ‘mere’ discovery issue but involved another area of law that would be impacted
by the resolution of the discovery matter.” Id. at 6, 381 S.W.3d at 71 (quoting Ark.
Democrat-Gazette, Inc. v. Brantley, 359 Ark. 75, 79, 194 S.W.3d 748, 751 (2004)). Monsanto
5 asserts that, although the order under review here is nominally a discovery order, the circuit
court’s decision implicates the scope of the Hague Convention and the apex doctrine and
thus reaches far beyond a mere discovery dispute. It contends that this case is similar to
Cooper Tire and appropriate for certiorari review. We disagree.
In Cooper Tire, the petition for writ of certiorari sought to limit a discovery request
on grounds that it sought protected trade secrets. Id. at 7–8, 381 S.W.3d at 71–72; see also
Brantley, 359 Ark. at 79, 194 S.W.3d at 751 (granting petition for writ of certiorari following
a circuit court’s refusal to quash a subpoena that involved a unique copyright issue and
potential copyright infringement). We have subsequently limited the holdings in Cooper Tire
and Brantley because those cases “dealt specifically with a very narrow issue of intellectual
property law and did not establish a broad exception that would allow for interlocutory
review of any alleged privileged information.” Ark. Found. for Med. Care, 2012 Ark. 372, at
6, 423 S.W.3d at 545.
We reiterate that a writ of certiorari is extraordinary relief. We decline to expand its
scope to address the interpretation and application issues in this discovery matter. To decide
these questions would require us to delve into the underlying merits of the controversy,
which is improper in deciding whether to issue the writ. Baptist Health, 373 Ark. at 460,
284 S.W.3d at 503.
III. Writ of Prohibition and Writ of Mandamus
Finally, Monsanto requests alternative relief in the form of a writ of prohibition or
writ of mandamus. This court has previously held that because issues of discovery are
squarely within a circuit court’s jurisdiction, a writ of prohibition will not lie to solve a
6 discovery problem. Monticello Healthcare Ctr., LLC v. Goodman, 2010 Ark. 339, at 17, 373
S.W.3d 256, 268. Further, the purpose of a writ of mandamus is to enforce an established
right or to enforce the performance of a duty. Manila Sch. Dist. No. 15 v. Wagner, 357 Ark.
20, 26, 159 S.W.3d 285, 290 (2004). Here, Monsanto seeks to control the circuit court’s
exercise of its discretion in this discovery matter. Mandamus will not lie for this purpose.
Id., 159 S.W.3d at 290. Accordingly, we deny Monsanto’s alternative requests for a writ of
prohibition and writ of mandamus.
Petition denied.
WOOD, WOMACK, and WEBB, JJ., dissent.
RHONDA K. WOOD, Justice, dissenting. The majority states that we must deny
the writ because it involves little more than a routine discovery dispute. I disagree. We have
granted writs that implicate discovery issues, particularly when the resolution intersects with
other significant legal issues.1 Because this case implicates significant legal issues, including
principles of international comity, and the circuit court committed a plain and manifest
abuse of discretion in doing so, we should grant relief.
I. Writ as Remedy
While a writ of certiorari is not an appropriate remedy in routine discovery disputes,
there are exceptions.2 For example, in Cooper Tire, defendant, a tire manufacturer, moved
1 See Cooper Tire & Rubber Co. v. Phillips Cnty. Cir. Ct., 2011 Ark. 183, 381 S.W.3d 67. 2 Compare, e.g., Baptist Health v. Cir. Ct. of Pulaski Cty., 373 Ark. 455, 284 S.W.3d 499 (2008), with Cooper Tire & Rubber Co., 2011 Ark. 183, 381 S.W.3d 67; Ark. Democrat- Gazette, Inc. v. Brantley, 359 Ark. 75, 194 S.W.3d 748 (2004).
7 for a protective order to limit discovery requests for trade secrets.3 This court recognized
that it would grant a writ of certiorari involving discovery orders only “where the issue is
not merely the resolution of a discovery matter but how that resolution interacts with [other
laws].”4 Applying that rule, the Cooper Tire court granted the writ because the discovery
issue implicated state and federal law protecting trade secrets.5
This case, like Cooper Tire, raises discovery issues that not only intersect with
important state and federal law but also extend further and implicate international law and
policy. If Cooper Tire justified a writ, certainly this writ is justified. This circuit court entered
an extraordinary order compelling the foreign CEO of a nonparty to appear for a deposition
in another country. The circuit court’s decision implicates foreign discovery and
international comity, particularly how our courts treat discovery on foreign executives and,
in turn, how foreign countries may treat discovery on our citizens. The serious legal and
policy considerations are compelling and require extraordinary relief and thus exercise of an
extraordinary writ. This is no ordinary discovery dispute.
Once we determine a writ is the appropriate avenue of relief, we must determine
whether the writ lies. It does. On the face of the record, the circuit court committed two
plain, manifest, and gross abuses of discretion. The circuit court first abused its discretion in
denying Monsanto’s motion for protective order, and then it exacerbated that error by
failing to follow federal precedent and consider the Hague Convention.
3 Cooper Tire & Rubber Co., 2011 Ark. 183, at 2–3, 381 S.W.3d at 69. 4 Id. at 6, 381 S.W.3d at 71. 5 Id. at 10, 381 S.W.3d at 74.
8 II. Protective Order
The circuit court’s first abuse of discretion was its denial of Monsanto’s protective
order. Plaintiffs noticed the deposition of Mr. Baumann but did not subpoena him. Under
the plain language of Rule 30(a)-(b)(1), a deposition subpoena is unnecessary only if Mr.
Baumann is a “party.”6 Mr. Baumann is not a party. He is neither a current nor a former
employee of Monsanto. And as the CEO of Monsanto’s indirect parent corporation, Bayer,
he is not under Monsanto’s control.7
Plaintiffs argue that Mr. Baumann is Monsanto’s managing agent for purpose of this
litigation. Yet under the plain language of Rule 30(b)(6), the designation of a “managing
agent” is left to the discretion of the organization being deposed, not the party seeking to
depose a corporation’s managing agent.
A party may in his notice and in the subpoena name as the deponent a public or private corporation . . . . In that event, the organization so named shall designate one or more officers, directors, or managing agents, or other persons who consent to testify on its behalf and may set forth, for each person designated, the matters on which he will testify. A subpoena shall advise a non-party organization of its duty to make such a designation.8
Instead of applying this rule, the circuit court seemed to rely on Hensley v. Computer Sciences
Corp., 2006 WL 662463, an Arkansas trial court opinion with no precedential value
6 Ark. R. Civ. P. 30(a) (2022). 7 According to a filing from Monsanto’s counsel, Mr. Baumann is no longer Bayer’s CEO. 8 Ark. R. Civ. P. 30(b)(6).
9 involving whether the former employee of the defendant qualified as a managing agent.
Baumann is neither.
Additionally, even when considering whether a person is a managing agent, courts
look to “his or her duties and responsibilities respecting the subject matter of the litigation.”9 On
the face of the record, plaintiffs did not allege Baumann participated in any decisions
involving the design or labeling of Roundup. Indeed, Bayer bought Monsanto after the
decisions pertinent to the design or labeling of the Roundup products occurred and after
plaintiff’s exposure to Roundup. Although the record suggests Baumann has made
statements about the resolution of the Roundup litigation and the redesign of the product,
those statements involve Bayer’s post hoc assessment of the litigation and the parent
company’s actions in response to litigation. And the parent company is not a party to the
case.
III. Hague Convention
The circuit court committed its second plain, manifest, and gross abuse of discretion
when it failed to follow binding federal precedent requiring it to directly consider and
analyze whether it should use the Hague Convention10 for Mr. Baumann’s deposition. In
1970, many nations joined the United States in ratifying the Hague Convention. Its purpose
was to establish procedures for taking evidence abroad.11 And although the Supreme Court
9 Calderon v. Experian Info. Sols., Inc., 287 F.R.D. 629, 634 (D. Idaho 2012). 10 Fully titled the Hague Convention on the Taking of Evidence Abroad in Civil or Commercial Matters, opened for signature Mar. 18, 1970, 23 U.S.T. 2555, T.I.A.S. No. 7444. 11 See Société Nationale Industrielle Aérospatiale v. U.S. Dist. Ct. for the Southern Dist. of Iowa, 482 U.S. 522, 530 (1987).
10 in Aérospatiale held that the Hague Convention did not preempt federal or state procedural
rules, it did not sanction an American court ignoring it either.12
Aérospatiale instructed American courts to “exercise special vigilance to protect
foreign litigants from the danger that unnecessary, or unduly burdensome discovery may
place them in . . . .”13 Indeed, in all cases involving international discovery, the court should,
at a minimum, undertake the comity analysis Aérospatiale outlined.14 As many other courts
have recognized, a more stringent standard must be applied when considering international
discovery issues and relevancy.15
In its motion for protective order, Monsanto argued that plaintiffs’ deposition notice
on Mr. Baumann contravened the Hague Convention. Once the motion for protective
12 Id. at 541–47. 13 Id. at 546. 14 Aérospatiale quoted with approval the 1986 Tentative Draft No. 7 of the Restatement of Foreign Relations Law § 437(1)(c) (approved May 14, 1986), stating that these factors are relevant to any comity analysis:
(1) the important to the . . . litigation of the documents or other information requested; (2) the degree of specificity of the request; (3) whether the information originated in the United States; (4) the availability of alternative means of securing the information; and (5) the extent to which noncompliance with the request would undermine important interests of the United States, or compliance with the request would undermine important interests of the state where the information is located.
Société Nationale Industrielle Aérospatiale, 482 U.S. at 544 n.28; see also Restatement (Third) of Foreign Relations Law § 442 [1][c] (1997). 15 See Richbell Info. Servs., Inc. v. Juniper Partners L.P., 32 A.D. 3d 150, 156 (2006); Restatement (Third) of Foreign Relations Law § 442(a) (1997).
11 order was denied, Monsanto sought relief under the Hague Convention. It filed for
alternative relief as part of a reconsideration motion for an “Application of Hague
Convention Procedures” and asked the circuit court that, if the deposition was to proceed,
it be conducted in accordance with the Hague Convention. It also sought a hearing and
offered “to travel to attend a hearing in any of the counties where the Court is presiding
and has availability for a hearing.” Opposing counsel did not oppose the hearing request.
The court, however, did not hold a hearing on the applicability of an international treaty,
but it entered the following order twelve days after the filings:
On this day, the Court heard Defendant Monsanto Company’s Motion for Reconsideration or, In the Alternative, Application of Hague Convention Procedures (the “Motion”). After considering the Motion, Plaintiffs’ response and all other matters of record, the Court is of the opinion that the Motion is unmeritorious and should be DENIED.
I can’t imagine that denying a hearing and entering an order with no findings was
what the Supreme Court intended when it instructed courts to exercise “special vigilance”
to protect foreign citizens from overburdensome discovery requests when considering the
application of the Hague Convention. The circuit court’s failure to adequately consider the
Hague Convention was clearly a plain, manifest, and gross abuse of discretion.
Perhaps this was what the dissenting justices in Aérospatiale feared when they stated
that without more guidance, the majority created “a large risk that the case-by-case comity
analysis now to be permitted by the Court will be performed inadequately . . . .”16 I doubt
any members of the Supreme Court contemplated that a trial judge in Arkansas would refuse
16 Société Nationale Industrielle Aérospatiale, 482 U.S. at 548 (Blackmun, J., concurring in part and dissenting in part).
12 a hearing on the application of the international Hague Convention, deny its guidance in
one sentence, call the argument for its application “unmeritorious,” and order that the first
deposition in the case be the foreign CEO of a nonparty multinational corporation in an
ordinary products-liability case. To be clear, Mr. Baumann isn’t asking not to be deposed,
he is simply asking to be deposed according to our rules and the international treaty our
government executed.
Notably, the majority doesn’t state that the circuit court’s refusal was correct; instead,
it doesn’t seem to think this court should act. Yet this is precisely the circumstance when
we should act and our writ is appropriate. It is an extraordinary circumstance, with no
adequate remedy available on appeal. Today, the majority gives carte blanche to Arkansas
circuit courts in discovery matters with no regard to our rules of civil procedure, federal
precedent, or international treaties. American CEOs should fear similar lack of action and
comity in foreign lawsuits.
For these reasons, I dissent.
WOMACK and WEBB, JJ., join.
SHAWN A. WOMACK, Justice, dissenting. I join fully the dissent’s analysis that
the circuit court abused its discretion and that there is no other adequate remedy available
to the Petitioner. Additionally, I would hold that the circuit court acted in excess of its
jurisdiction when it ordered Baumann, a nonparty, to sit for a deposition by notice rather
than issuing a subpoena and by failing to give proper consideration to the application of The
13 Hague Convention process. Therefore, since all the requirements for granting the writ have
been satisfied, I would grant the writ in this case.1
WEBB, J., joins.
DLA Piper LLP, by: Lyn P. Pruitt and David F. Koehler, for petitioner.
Lance Lee; and Forest Weldon Law Group, LLP, by: Bart Rankin, pro hac vice; Jay Utley,
pro hac vice; Joanna Raines McKinney, pro hac vice; and Joshua Richardson, pro hac vice, for
respondents.
Mitchell, Williams, Selig, Gates & Woodyard, PLLC, by: Graham Talley and Cara D.
Butler, for amici curiae Federation of German Industries (BDI) and German Chamber of
Commerce and Industry (DIHK).
Wright, Lindsey & Jennings LLP, by: Scott A. Irby and Gary D. Marts, Jr., for amici
curiae United States Chamber of Commerce, American Tort Reform Association, and
Pharmaceutical Research and Manufacturers of America.
1 See Baptist Health v. Circuit Court of Pulaski Cnty., 373 Ark. 455, 284 S.W.3d 499 (2008).