Weihl v. Asbestos Corp.

129 P.3d 748, 204 Or. App. 255, 2006 Ore. App. LEXIS 227
CourtCourt of Appeals of Oregon
DecidedFebruary 15, 2006
Docket0211-11911; A122068
StatusPublished
Cited by4 cases

This text of 129 P.3d 748 (Weihl v. Asbestos Corp.) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Weihl v. Asbestos Corp., 129 P.3d 748, 204 Or. App. 255, 2006 Ore. App. LEXIS 227 (Or. Ct. App. 2006).

Opinion

BREWER, C. J.

Plaintiff1 appeals from the trial court’s dismissal of his claim for damages for the mesothelioma that he allegedly developed as the result of exposure to asbestos in his employment. Each defendant moved for summary judgment on the ground that plaintiff had failed to identify any asbestos product to which plaintiff was exposed and for which that defendant was responsible. The trial court refused to consider evidence that plaintiff presented in opposition to the motions because plaintiff had failed to comply with an order that the court had entered regulating the pleading of product identification information in asbestos cases. On appeal, plaintiff attacks the validity of the order. We affirm.

The relevant facts are procedural and are generally undisputed. On November 22, 2002, plaintiff filed his complaint against defendants2 and others, alleging that defendants had installed asbestos products during construction projects on various Portland public schools, that the asbestos subsequently released respirable fibers, and that plaintiff, who spent a number of years as a school district maintenance employee, had developed mesothelioma as a result of his contact with that asbestos. Plaintiff sought damages on theories of strict liability, negligence, and civil conspiracy. In the caption of the complaint plaintiff noted that it was a complex case and that it was subject to existing case management orders.

Plaintiff filed his complaint in Multnomah County, which has become the primary venue for state court asbestos litigation in Oregon. When the trial court entered the general orders that we discuss below, there were approximately 70 [260]*260pending asbestos cases. At the time of the motions for summary judgment in this case, there were more than 130 pending cases. In order to manage those cases effectively, in 2001 the presiding judge of the Multnomah County Circuit Court designated all asbestos cases as complex cases under UTCR 7.030 and assigned all of them to the same judge.3 On August 31, 2001, the trial court entered several general orders governing different aspects of procedure in asbestos cases, including a “General Order Re: Administrative Matters.” It explained that, in asbestos cases, “individual plaintiffs routinely file suit against a large number of defendants. A small number of law firms represent all the plaintiffs * * *. Many of the defendants are involved in many of the pending case[s].” In addition, “[t]here are substantial similarities in the issues involved in the asbestos exposure cases. They involve issues of law, fact, and case management that are different [from] other civil cases.” Before it entered the general orders, the court gave lawyers who commonly represent either plaintiffs or defendants in asbestos cases, including plaintiffs attorneys, an opportunity to comment on the proposed orders. Plaintiffs attorneys were fully aware of the requirements of the general orders.

In its “General Order Re: Pleadings and Product Identification” (the general order), the trial court set out a procedure for the parties to follow in developing their pleadings. Its purpose in doing so was to “facilitate ease in pleadings, and to avoid numerous and redundant ORCP 21 motions to dismiss and to make more definite and certain [.]” To achieve that purpose, the general order permits plaintiffs “to proceed on complaints that might otherwise not be sufficiently specific to comply with Oregon’s Tact pleading’ requirements,” provided that they comply with the “product identification report” (PID) procedures that the general order establishes. Under the general order, a plaintiff must,

“not later than 60 days after filing the complaint or 10 days after service of process, whichever is later,* * * file and provide to each defendant a written ‘product identification report’ specifying with reasonable particularity any alleged exposures of plaintiff to asbestos containing products for [261]*261which plaintiff seeks to establish liability as to each defendant.”

The plaintiff may supplement and update the original PID by serving an amended PID no later than 105 days before trial. The court treats an amended PID as an amendment to the complaint. The general order explains that the

“purpose of the product identification report is to simplify the pleading of these claims and to assist defendants in evaluating their potential liability by requiring plaintiffs to supply sufficient information about the claims plaintiff expects to present at trial so as to enable defendants to defend plaintiffs claims. ‘Product identification’ is not to be construed as a ‘discovery’ obligation of plaintiff, but instead, as a ‘pleading’ obligation of plaintiff.”

The general order requires the plaintiff to include in the PID the identity of the plaintiffs employer, if any, the dates and duration of exposure to asbestos, the site of the exposure, the product to which the plaintiff was exposed, and the defendant’s connection with that exposure. A plaintiff who does not know all of the necessary information should include as much as the plaintiff does know. Failing to provide a PID has significant consequences:

“If a plaintiff fails to produce any product identification as to a particular product and a particular defendant in a timely manner (or does not otherwise plead the Complaint in a manner that complies with Oregon’s ‘fact pleading' requirement) as required by this General Order, unless the Court allows plaintiff to file and serve an amended product identification report, pursuant to the standards set forth in ORCP 23 A, plaintiff shall not he permitted to offer product identification evidence as to a particular product and a particular defendant in response to motions for summary judgment or at trial.”

(Emphasis added.)

In his complaint, plaintiff first identified each defendant and its business in a general fashion. He then alleged that defendants were “regularly engaged in the business of manufacturing, designing, processing, marketing, distributing, applying, repairing, and/or selling products containing asbestos fiber for use in electrical products and supplies and [262]*262other materials in the construction and maintenance of buildings and/or vessels” and that respirable asbestos fibers capable of causing pulmonary disease were released in the use of defendants’ asbestos-containing products. The complaint contains no further details concerning the actions of any defendant. Plaintiff concluded the strict liability count by alleging that the products were unreasonably dangerous and defective and, as a result, caused plaintiffs illness. He concluded the negligence count by alleging that defendants acted negligently, causing plaintiffs illness.

On various dates beginning on January 22, 2003, which was 61 days after he filed the complaint, plaintiff sent letters to defendants, each of which provided farther details of that defendant’s alleged actions.4 5He did not file any of the letters with the court. In each letter, plaintiff identified one or more contracts between the defendant and the Portland Public Schools for construction or remodeling work on a public school; among other things, each contract involved installing asbestos products. Those contracts related to work done in the 1940s, 1950s, and 1960s.

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Cite This Page — Counsel Stack

Bluebook (online)
129 P.3d 748, 204 Or. App. 255, 2006 Ore. App. LEXIS 227, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weihl-v-asbestos-corp-orctapp-2006.