Thomas v. Mobil Oil Corp.

14 So. 3d 7, 2008 La.App. 4 Cir. 0541, 2009 La. App. LEXIS 594, 2009 WL 1027168
CourtLouisiana Court of Appeal
DecidedMarch 31, 2009
Docket2008-CA-0541
StatusPublished
Cited by6 cases

This text of 14 So. 3d 7 (Thomas v. Mobil Oil Corp.) is published on Counsel Stack Legal Research, covering Louisiana Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Thomas v. Mobil Oil Corp., 14 So. 3d 7, 2008 La.App. 4 Cir. 0541, 2009 La. App. LEXIS 594, 2009 WL 1027168 (La. Ct. App. 2009).

Opinion

JOAN BERNARD ARMSTRONG, Chief Judge.

| iPlaintiffs-appellants, Mr. and Mrs. Adam Thomas, Sr., et al., appeal a judgment denying their request for class action certification against the defendants-appel-lees, Exxon Mobil Corporation (“Exxon”) and Chalmette Refining, L.L.C. The original petition was filed on December 5, 1990, on behalf of residents of Algiers, but residents of St. Bernard parish were added as a class by a later supplemental and amending petition. Murphy Oil Corporation and Calciner Industries, Inc. were dropped by the plaintiffs as defendants when the Louisiana Supreme Court rendered its decision denying class action certification in Ford v. Murphy Oil, U.S.A., Inc., 96-2913 (La.9/9/97), 703 So.2d 542, a case with a lot in common with the instant case.

The plaintiffs allege personal injury and property damage resulting from emissions (flaring) from petrochemical facilities operated by the defendants over a period of years beginning on January 1, 1989, and running to 2003. The defendants in this case are charged with basically the same emissions issues they were charged with in the Ford case.

While the petition and amended petition allegations cover emissions from 1989 to 2003, the plaintiffs submitted approximately 7,000 claims forms from | ^potential class members for alleged pollution emissions from 1990 to 1997, but specifically January 19,1996. However, the claim forms do not specify on what dates any of the purported class members may have suffered from any one or more of the types of damage allegedly suffered by the class. The forms merely ask the class members to check off from a list of possible damages they allegedly sustained during the years 1990 to 1997. We cannot tell on which date or dates the claimants may have allegedly sustained the damages checked off and it is not credible to believe that all potential claimants suffered from the damages they checked off on each of the emission dates called for in the class action petitions.

The putative class action representatives in the instant case were also part of the putative class in Ford, among them being the same Mr. Ford for whom the Ford case is named. Mr. Ford was the only one of the class representatives to testify on behalf of the St. Bernard class in the instant case.

As we will explain in the following analysis, we find that the instant case is afflicted with the same impediments to class action certification that the Louisiana Supreme Court found to be most material in Ford.

While the plaintiffs attempt to distinguish Ford, we find that Ford, while not identical in all respects to the instant case, *9 reaches many conclusions that really cannot be distinguished from the case now before this Court and are determinative to the outcome of this case. The following pronouncements in Ford, which we find to be the foundation of the Louisiana Supreme Court’s decision in that case, are equally applicable and compelling in the instant case:

The court of appeal made the following erroneous crucial finding based on McCastle that “[o]ffering the same facts, all class members will attempt to establish that the activities of Mobil and Murphy emitted hazardous, toxic, corrosive, or noxious odors, fumes, gases or particulate ^matter that caused them damage. The issue of these defendants duty predominates over individual questions.” 681 So.2d at 407. However, far from offering the same facts, each class member will necessarily have to offer different facts to establish that certain defendants’ emissions, either individually or in combination, caused them specific damages on yet unspecified dates (which dates may run into the hundreds or even thousands). The causation issue is even more complicated considering the widely divergent types of personal, property and business damages claimed and considering each plaintiffs’ unique habits, exposures, length of exposures, medications, medical conditions, employment, and location of residence or business. In addition, each plaintiff will have to prove that the specific harm he suffered surpassed the level of inconvenience that is tolerated under C.C. art 668. [FN11 omitted.] By the very nature of the claims that have been made, the length of time involved, and the vast geographical area in which the class members live, the degree of inconvenience or damage suffered will vary greatly as to the individual plaintiffs. Lastly, the mere finding of “defendants duty” not to pollute will do little to advance the issues in this case. There appear to be far too many individual liability issues which could not be tried separately, as that is prohibited by article 593.1(C)(1). As aptly stated by Judge Schott in his dissent, “[o]ne plaintiff cannot prove individual causation and individual damage based on the exposure of another plaintiff to a particular emission.” 681 So.2d at 411.

Id., 96-2913, 96-2917 & 96-2929, pp. 11-12, 703 So.2d at pp. 548-549.

While the Ford court went on to find that the “[pjlaintiffs ‘synergy theory’ is novel and untested,” we conclude from our reading of Ford that the “synergy theory” was not material to the Court’s decision in Ford. We find that the factors material to the Court’s decision to reject class action status in Ford was instead based on the problems quoted above. Thus, the mere recasting of the complaint in the instant suit to eliminate the “synergy theory” is insufficient to overcome the major and most material objections raised in Ford which are also to be found in the |4instant case. The following findings of the trial court in this case echo the language of Ford:

Mr. and Mrs. Thomas complained of having experienced several different alleged symptoms as a result of exposure during releases, there are many class members who allege experiencing one, two or no symptoms at all as a result of the releases. Neither Mr. and Mrs. Thomas, nor any of the other class representatives who testified at the Class Certification Hearing, have the same habits, lifestyle, medical history, medication, location and/or overall exposure as the other proposed class members. Plaintiffs have not met their burden of proving adequacy of representation, commonality and typicality in accor *10 dance with Louisiana code of Civil Procedure Articles 591-592.

The trial court found that the “class members are too diverse for the class representatives to adequately protect the absent members.” In denying the plaintiffs’ motion to certify the class, the trial judge stated in his judgment, which included reasons for judgment, that, “the Court adopts and supports in toto the Special Master’s Report and Recommendation ...” The plaintiffs argue that there are errors in the Special Master’s Report sufficient to compel this Court to reverse the judgment of the lower court. However, as the trial court did not simply adopt the Special Master’s Report and Recommendation as the judgment of the court, but instead issued its own written reasons for judgment, errors in the Special Master’s Report, if any, cannot alone serve as a basis for reversing the judgment of the trial court.

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Bluebook (online)
14 So. 3d 7, 2008 La.App. 4 Cir. 0541, 2009 La. App. LEXIS 594, 2009 WL 1027168, Counsel Stack Legal Research, https://law.counselstack.com/opinion/thomas-v-mobil-oil-corp-lactapp-2009.