South Carolina Department of Health & Environmental Control v. Atlantic Steel Industries, Inc.

85 F. Supp. 2d 596, 49 ERC (BNA) 1174, 1999 U.S. Dist. LEXIS 18604, 1999 WL 1111505
CourtDistrict Court, D. South Carolina
DecidedAugust 5, 1999
DocketCiv.A. 2:97-726-12, Civ.A. 2:98-345-12 and Civ.A. 2:98-1571-12
StatusPublished
Cited by1 cases

This text of 85 F. Supp. 2d 596 (South Carolina Department of Health & Environmental Control v. Atlantic Steel Industries, Inc.) is published on Counsel Stack Legal Research, covering District Court, D. South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
South Carolina Department of Health & Environmental Control v. Atlantic Steel Industries, Inc., 85 F. Supp. 2d 596, 49 ERC (BNA) 1174, 1999 U.S. Dist. LEXIS 18604, 1999 WL 1111505 (D.S.C. 1999).

Opinion

PROCEDURAL HISTORY

HOUCK, Chief Judge.

On March 19, 1997, the South Carolina Department of Health and Environmental Control (DHEC) instituted this action against Atlantic Steel Industries, Inc., Am-eristeel Corporation (fka Florida Steel Corporation), Georgetown Steel Corporation, I. Schumann and Company, Meherrin Agricultural and Chemical Company, Mueller Brass Company, National Metals, Inc., Nucor Corporation, Nucor-Yamato Steel Company, SMI Steel, Roanoke Electric Steel Corporation, Federal Metals Company, Stackpole Corporation, and Waterbury Rolling Mills, Inc., (collectively the “defendants”) pursuant to Section 107 of the Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA), 42 U.S.C. § 9607, as amended by the Superfund Amendments and Reau-thorization Act of 1986 (SARA), Public Law No. 00-499, lOO.Stat 1613 (1986), and pursuant to the South Carolina Hazardous Waste Management Act (HWMA). The complaint alleges that each of the fourteen above named defendants (“defendants”) is responsible for

the release and threatened release of hazardous substances at (1) the former fertilizer manufacturing facility located at 7747 Highway 17 South, Jericho, South Carolina; (2) the three disposal *598 areas located nearby along TNT Road (the “Satellite Areas”); and (3) the transportation corridor between the property located at 7747 Highway 17 South and the Satellite Areas (collectively the “Site”).

Complaint at 2. The complaint further alleges that DHEC “has incurred, and will continue to incur in the future, response costs for actions taken at the Site as those terms are defined in Sections 101(23), (24), and (25) of CERCLA, 42 U.S.C. § 9601(23), (24), (25)” and that “DHEC has incurred, and will continue to incur in the future, costs pursuant to the South Carolina HWMA.” Complaint at 4. DHEC also alleges the defendants are “liable under CERCLA and under the HWMA as responsible parties for removal, remedial and response costs incurred and to be incurred.” Id. DHEC settled its claims against the defendants and the complaint seeks the court’s approval of the Settlement Agreement (“Agreement”) which DHEC asserts “DHEC and the defendants have negotiated” and which purports to

expedite implementation of the cleanup at the Site and to establish certain rights and obligations as between them with respect to both claims asserted [in the complaint] and any claims that might arise or be asserted in the future in connection with the Site and to fully and finally resolves defendants’ liability for all such claims as set forth in the Agreement.

Id.

Between April 4, 1997, and May 20, 1997, Kerr-McGee Chemical Corporation. Macalloy Corporation, Lucent Technologies, Inc., Gaston Copper Recycling Corporation, Southwire Company and Clariant Corporation (collectively “the Interve-nors”) moved to intervene in this action Each of the movants asserted that it had an interest in the subject matter of the complaint, that its interest would be impaired by the outcome of the suit, and that it was not adequately represented by the existing parties to the action. The Inter-venors also asserted that the proposed Agreement unfairly established a cap of liability for the settling parties and that it left the Intervenors subject to a much greater liability than the liability the Agreement imposes upon the settlors. The Intervenors claim the potential liability imposed on them by the Agreement is disproportionate to their responsibility for the environmental damage at the site. On May 29,1997, the court heard argument on the motions to intervene and granted the same by oral order.

At the conclusion of the May 29, 1997, hearing the court discussed the Interve-nors desires to engage in discovery. During the May 29, 1997, hearing the court did not determine the scope of any discovery that might be allowed in the case but instead gave the Intervenors an opportunity to present the court with proposals regarding the scope of and deadlines for the same. The Intervenors were given thirty days to submit their requests for limited discovery. On June 30, 1997, the Intervenors filed briefs with the court setting forth their proposals regarding discovery. The Intervenors also filed a proposed case management order. DHEC filed a detailed response in opposition to the Intervenors’ request for discovery and the Intervenors’ request for entry of the proposed case management order urging the court to deny any request for discovery on the grounds that the court is to make its decision regarding the Agreement based solely upon the administrative record prepared by DHEC. On October 7, 1997, the court heard argument from the parties regarding discovery. Ruling from the bench, the court denied the motion for entry of the proposed case management order but issued a schedule for limited discovery. The court declined to expand discovery to include depositions or interrogatories. Instead, the court ordered DHEC to produce the documents referenced in the privilege log which is part of its administrative record or to properly *599 assert within thirty days a privilege objection to disclosing the same.

The parties filed extensive briefs regarding the fifty documents referenced in the privilege log and the asserted privileges relating to the same. On February 9, 1998, the court heard the' arguments of the parties regarding those privileges. The court rejected DHEC’s arguments that the documents were protected and ordered DHEC to produce all of the documents listed in the privilege log except for four entries therein consisting of three documents and one larger reference in the log which pertained to several documents. 1 The parties were allowed to submit additional briefs regarding production of the four entries.

On June 1, 1998, the court held a status conference to discuss the remaining four entries in the privilege log and the Inter-venors’ desires for further discovery. During the hearing counsel for DHEC withdrew DHEC’s objection to producing one of the documents and the court ordered DHEC to produce the remaining documents. After hearing counsel for DHEC and counsel for the Intervenors regarding what further discovery, if any, was needed, the court ordered DHEC to designate a witness pursuant to Federal Rule of Civil Procedure 30(b)(6) to be deposed by the Intervenors. The court further ordered the deposition to be limited to four hours.

Pursuant to Rule 42(a) of the Federal Rules of Civil Procedure, on July 16, 1998, the court signed an order consolidating Civil Action Numbers 2:98-345-12 and 2:98-1571-12 with this one. All three of the actions involve the same site, common questions of law and fact, and counsel for DHEC has represented to the court that the agreements in the subsequently filed actions can only be approved if the court first approves the one involved herein.

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Bluebook (online)
85 F. Supp. 2d 596, 49 ERC (BNA) 1174, 1999 U.S. Dist. LEXIS 18604, 1999 WL 1111505, Counsel Stack Legal Research, https://law.counselstack.com/opinion/south-carolina-department-of-health-environmental-control-v-atlantic-scd-1999.