Roberts v. C.R. Eng., Inc.

321 F. Supp. 3d 1251
CourtDistrict Court, D. Utah
DecidedMarch 21, 2018
DocketCase No. 2:12–cv–00302–RJS–BCW
StatusPublished
Cited by7 cases

This text of 321 F. Supp. 3d 1251 (Roberts v. C.R. Eng., Inc.) is published on Counsel Stack Legal Research, covering District Court, D. Utah primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Roberts v. C.R. Eng., Inc., 321 F. Supp. 3d 1251 (D. Utah 2018).

Opinion

ROBERT J. SHELBY, United States District Judge

Plaintiffs Charles Roberts and Kenneth McKay bring this class action on behalf of themselves and other truck drivers. They assert claims against two affiliated trucking companies, C.R. England, Inc. and Opportunity Leasing, Inc. Plaintiffs claim Defendants fraudulently induced thousands of individuals to enroll in C.R. England's driver training schools, then fed students misinformation to convince them to lease trucks and become independent contractor lease operators.

On January 31, 2017, the court certified a nationwide class of independent contractor lease operators who meet certain qualifications, for claims of fraud, negligent misrepresentation, breach of fiduciary duty, and unjust enrichment, and for claimed violations of the Utah Consumer Sales Practices Act (UCSPA), Utah Business Opportunity Disclosure Act (UBODA), and Utah Truth in Advertising Act (UTIAA).1 The class was certified under *1254Rule 23(b)(3) of the Federal Rules of Civil Procedure.2

On April 26, 2017, Defendants filed a Motion to Alter or Amend [the] Class Certification Order.3 In their Motion, Defendants initially sought several amendments to the Class Certification Order;4 however, they later agreed to defer all but one of the issues raised: whether Plaintiffs' claims are subject to a mandatory opt-in notice requirement under Utah law.5 Defendants also moved to certify a number of questions to the Utah Supreme Court.6 The court now takes up these two issues.

I. Notice Requirement

Under the UCSPA, class action claims are subject to an opt-in notice requirement. Defendants argue this requirement applies not only to Plaintiffs' UCSPA claims, but to all of Plaintiffs' claims under Utah statutory and common law. However, Rule 23 of the Federal Rules of Civil Procedure calls for opt-out notice in federal class action claims. As a federal court sitting in diversity jurisdiction, the court must determine whether Federal Rule 23 or the opt-in provision of the UCSPA controls.

A. Shady Grove

A Supreme Court decision, Shady Grove Orthopedic Associates, P.A. v. Allstate Insurance Company , provides the controlling authority for determining whether Federal Rule 23 or the UCSPA opt-in requirement applies in this case.7 In Shady Grove , the Court addressed a conflict between Rule 23 and a New York statute prohibiting class action suits to recover statutory penalties, including statutory interest.8 The plaintiff brought a putative class action in federal court under a separate state law providing for statutory interest. The issue was whether New York's prohibition on class action suits for penalties or Federal Rule 23 (which would allow the suit) controlled.

Five justices held that Rule 23, not the state law restriction, applied.9 The decision was fragmented; Justice Scalia wrote for the plurality, Justice Stevens joined in the holding but concurred separately, and four justices dissented.10 In light of this split, the Tenth Circuit instructs that Justice Stevens's concurrence is controlling.11 Because Justice Stevens joined in Sections I and II-A of the plurality opinion, those parts also control.12

*1255Shady Grove reiterates the "familiar" two-step framework that applies when a federal rule and a state law both seemingly govern.13 First, courts determine whether the federal rule directly conflicts with the state law.14 A direct conflict between a federal rule and state law exists if the federal rule "answers the question in dispute,"15 or put differently, if it is "sufficiently broad to control the issue before the Court."16

If there is a direct conflict, the federal rule applies as long as it represents a valid exercise of Congress's rulemaking authority under the Rules Enabling Act (REA).17 A federal rule runs afoul of the REA if it "abridge[s], enlarge[s], or modif[ies] any substantive right."18

Justice Scalia, writing for the plurality in Shady Grove , read this REA limitation to require only that a federal rule "really regulate procedure."19 This approach places the focus on the nature of the federal rule, not the conflicting state law. If the federal rule "governs only the manner and the means by which the litigants' rights are enforced, it is valid; if it alters the rules of decision by which [the] court will adjudicate [those] rights, it is not."20 Applying that test, Justice Scalia likened Rule 23 to traditional joinder rules, finding it procedural in nature and therefore valid under the REA.21

Justice Stevens concurred in the result but advanced a different approach. Under his reading of the REA, a federal rule is invalid if its application in a case would effectively abridge, enlarge, or modify a state-created right or remedy.22 Unlike the plurality, Justice Stevens's approach focuses on the nature of the competing state law. The form of the state law, whether traditionally substantive or procedural, is not dispositive; rather, the question is whether the law "function[s] as part of the State's definition of substantive rights and remedies."23 Federalism concerns appear to animate Justice Stevens's view.24 Thus, a state might choose to employ a "traditionally procedural vehicle as a means of defining the scope of substantive rights or remedies, [and] federal courts must recognize and respect that choice."25

Even while narrowing the scope of instances in which a federal rule preempts state law, however, Justice Stevens cautioned that the bar for finding an REA violation is still "a high one." There must *1256be "little doubt" that application of the federal rule would alter a state-created substantive right.26 Almost all state laws have the potential to alter litigation outcomes, but only those "intimately bound up in the scope of a substantive right or remedy" can displace federal rules.27

Based on his "plain textual reading" of the statute before the Court, Justice Stevens concluded that New York's prohibition on class actions for statutory penalties did not clear this high bar. The law reflected "a policy judgment about which lawsuits should proceed in New York courts in a class form," not a rule "intimately bound up in the scope of a substantive right or remedy."28

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Bluebook (online)
321 F. Supp. 3d 1251, Counsel Stack Legal Research, https://law.counselstack.com/opinion/roberts-v-cr-eng-inc-utd-2018.