R.J. Reynolds Tobacco Co. v. Stidham

141 A.3d 1, 448 Md. 497, 2016 Md. LEXIS 431
CourtCourt of Appeals of Maryland
DecidedJuly 5, 2016
Docket77/15
StatusPublished
Cited by3 cases

This text of 141 A.3d 1 (R.J. Reynolds Tobacco Co. v. Stidham) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
R.J. Reynolds Tobacco Co. v. Stidham, 141 A.3d 1, 448 Md. 497, 2016 Md. LEXIS 431 (Md. 2016).

Opinions

WILNER, J.

This case is another attempt by plaintiffs with lung cancer to join in one action claims against both asbestos and tobacco defendants on the premise that their cancers arose from exposure to the products of both sets of defendants — that the cancers were caused by both smoking cigarettes and exposure to asbestos. As it had done before in other cases, the Circuit Court for Baltimore City refused to permit the joinder of the [500]*500two sets of defendants on the special asbestos docket maintained by the court.

The issues in this appeal are largely procedural ones: whether there is a final judgment in the case; whether the plaintiffs appeal, in any event, is moot and should be dismissed on that ground; if the appeal is not moot, whether the Circuit Court erred or abused its discretion under Md. Rule 2-212 in denying joinder of the two sets of defendants; and, even if the appeal is moot, whether the Court of Special Appeals erred in addressing the joinder argument made by the plaintiff for guidance of the Circuit Court in other pending cases where joinder may be sought. We shall conclude:

(1) There is a final judgment in the case;
(2) The appeal, however, is moot and should be dismissed on that ground; and
(3) The Court of Special Appeals did not err in expressing its views on the joinder issue for the guidance of the lower court in other cases, but, now that the case is before us, we shall do so.

BACKGROUND

The Asbestos Docket in Baltimore City

Much has been -written about the avalanche of asbestos cases that began overwhelming courts throughout the country in the 1970s, and there is no need for us to repeat it all.1 Suffice it to say that the Circuit Court for Baltimore City was, [501]*501and continues to be, especially hard hit, in large part because of the shipbuilding industry that flourished in and around the City during and after World War II, in which asbestos products were stockpiled and commonly used.2 In ACandS v. Godwin, 340 Md. 334, 342, 667 A.2d 116, 119 (1995), this Court noted that, in September 1987, 1,000 asbestos cases had already been filed in that court, that by 1990, more than 4,900 such cases had been filed, and it was expected that 50 additional cases would be filed each week. This Court’s Standing Committee on Rules of Practice and Procedure heard testimony in 1995 that 10,000 cases were then pending. It is currently estimated that approximately 30,000 asbestos cases are pending in the Circuit Court for the City.

These cases presented at least three major problems. First, of course, was the sheer volume. They are almost always jury cases; how can one court, with ever-increasing criminal, juvenile, and domestic dockets, deal in a proper and timely manner with such a volume? Second, they are complex product liability cases, with myriads of derivative claims— cross-claims, counter-claims, and third-party claims — presenting issues not just of liability to the plaintiffs but of contribution and indemnity. They can take, and have taken, weeks or months to try. As we pointed out in Godwin, supra, 340 Md. at 342, 667 A.2d at 119-20, if, as anticipated in the Circuit Court’s 1990 case management plan, two judges would be designated to try ten consolidated plaintiffs’ actions at a time, one batch per judge each month, by the end of the century new filings would be ten times greater than the number of cases tried.

The third problem was that, in the great majority of these cases, the plaintiff, though perhaps able to demonstrate some biological effect from exposure to asbestos products, had yet [502]*502to suffer any symptoms, any serious illness.3 In order to avoid a problem with the statute of limitations, the cases needed to be filed because some injury had occurred, but they might not be ready to try for many years and there remained the real prospect of dismissal under Md. Rule 2-507 for inactivity. The combination of these problems tended to make these cases unique.

Like courts elsewhere, the Circuit Court tried a number of innovative techniques in an attempt to break the logjam, including an effort at global settlements through court-annexed mediation. None of those techniques cured the problem, or even made much of a dent in it. In 1990, the court made plans to consolidate 8,555 pending actions for trial on certain common issues — whether the defendants manufactured, sold, distributed, or installed defective products, whether they violated a duty to warn of dangers inherent in the products, and whether they could be liable for punitive damages. The cases of six of those plaintiffs would be tried on all issues except derivative claims, which were reserved for a later consolidated trial. With respect to the other 8,549 plaintiffs, if the verdicts on the common issues permitted a finding of liability, absent settlements, further trials would be necessary in each of those cases to resolve issues personal to the particular plaintiffs. The major consolidated trial lasted six months. The judgments entered in that case were appealed and resolved by this Court in Godwin. So-called “mini-trials” on the individual issues then ensued.

In the meanwhile, new cases were pouring in. Between 1990 and 1993, an additional 1,300 new asbestos cases were filed. Those cases were consolidated for trial on common liability issues arising from them and on the derivative claims that had been severed from the first consolidated trial. The second consolidated trial lasted eight months. The appeal took another seven years. See ACandS v. Abate, 121 Md.App. [503]*503590, 710 A.2d 944 (1998) and Crane v. Scribner, 369 Md. 369, 800 A.2d 727 (2002). In the meanwhile, for cases that were not settled, the “mini-trials” continued. See Keene Corp. v. Levin, 330 Md. 287, 623 A.2d 662 (1993). The device of major consolidated trials on common issues was abandoned in favor of trying clusters of smaller groups, mostly of mesothelioma and lung cancer cases.4

In 1987, while contemplating the consolidation approach and through a comprehensive master pre-trial order, the court created a special asbestos docket and special procedures that would govern asbestos cases. The order applied only to personal injury and wrongful death actions based on exposure to asbestos.

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Cite This Page — Counsel Stack

Bluebook (online)
141 A.3d 1, 448 Md. 497, 2016 Md. LEXIS 431, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rj-reynolds-tobacco-co-v-stidham-md-2016.