Glenn Gates v. Rohm & Haas Co , 655 F.3d 255 ( 2011 )


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  •                                        PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ___________
    No. 10-2108
    ___________
    GLENN GATES; DONNA GATES, H/W,
    ON BEHALF OF THEMSELVES
    AND ALL OTHERS SIMILARLY SITUATED
    v.
    ROHM AND HAAS COMPANY;
    MORTON INTERNATIONAL, INC, ;
    ROHM AND HAAS CHEMICALS LLC;
    HUNTSMAN; HUNTSMAN POLYURETHANES;
    MODINE MANUFACTURING COMPANY
    Glenn Gates, Donna Gates,
    Appellants
    _______________________
    On Appeal from the United States District Court
    for the Eastern District of Pennsylvania
    D.C. Civil Action No. 06-cv-01743
    (Honorable Gene E.K. Pratter)
    ______________
    Argued November 3, 2010
    Before: SCIRICA, RENDELL and ROTH, Circuit Judges.
    (Filed: August 25, 2011)
    LOUIS C. RICCIARDI, ESQUIRE (ARGUED)
    Trujillo Rodriguez & Richards
    1717 Arch Street, Suite 3838
    Philadelphia, Pennsylvania 19103
    AARON J. FREIWALD, ESQUIRE
    Layser & Freiwald
    1500 Walnut Street, 18th Floor
    Philadelphia, Pennsylvania 19102
    Attorneys for Appellants
    CARL A. SOLANO, ESQUIRE (ARGUED)
    NILAM A. SANGHVI, ESQUIRE
    SAMUEL W. SILVER, ESQUIRE
    RALPH G. WELLINGTON, ESQUIRE
    Schnader Harrison Segal & Lewis
    1600 Market Street, Suite 3600
    Philadelphia, Pennsylvania 19103
    Attorneys for Appellees,
    Rohm and Haas Company,
    Morton International, Inc.,
    Rohm and Haas Chemicals LLC
    _________________
    OPINION OF THE COURT
    _________________
    SCIRICA, Circuit Judge.
    This is an interlocutory appeal under Fed. R. Civ. P.
    23(f) from the denial of class certification for medical
    2
    monitoring and property damage. Plaintiffs aver chemical
    companies dumped an alleged carcinogen at an industrial
    complex near their residences. The District Court found
    individual issues predominated on exposure, causation, and
    the need for medical monitoring and also found individual
    issues predominated as to a liability-only issue class for the
    property damage claims.
    I.
    Named plaintiffs Glenn and Donna Gates are residents
    of McCullom Lake Village, Illinois, a primarily residential
    area of approximately 2000 people and 400 homes.
    Defendants are chemical companies that owned and operated
    a facility in Ringwood, Illinois, one mile north of McCullom
    Lake Village. According to plaintiffs, defendants dumped
    wastewater containing vinylidene chloride into a nearby
    lagoon that seeped into an underground aquifer where it
    degraded into vinyl chloride, a carcinogen. Plaintiffs contend
    vinyl chloride evaporated into the air from the shallow aquifer
    and was swept by the wind over McCullom Lake Village.
    Plaintiffs seek certification of two classes: (1) a class
    seeking medical monitoring for village residents exposed to
    the airborne vinyl chloride between 1968 and 2002, and (2) a
    liability-only issue class seeking compensation for property
    damage from the exposure. At issue is whether the District
    Court erred in finding individual issues barred certification of
    the proposed trial classes under Fed. R. Civ. P. 23(b)(2) or
    23(b)(3). We will affirm.
    A.
    From 1951 to 2005, defendant Morton International
    3
    owned and operated the Ringwood facility. In June 1999,
    defendant Rohm & Haas Co. acquired Morton and from 2005,
    defendant Rohm & Haas Chemicals, LLC, a wholly-owned
    subsidiary of Rohm & Haas Co., has operated the Ringwood
    facility.1
    Morton made use of vinylidene chloride at the
    Ringwood facility and from 1960 to 1978, disposed
    wastewater containing vinylidene chloride into an on-site
    lagoon. In 1973, tests of the shallow aquifer under the
    Ringwood facility showed elevated levels of ammonia and
    chloride. This shallow aquifer does not extend under
    McCullom Lake Village. In 1978, Morton ceased using the
    on-site lagoon and covered it.
    In 1984, Morton conducted an environmental
    assessment of the Ringwood facility and installed nineteen
    monitoring wells at the facility. Samples from these wells
    contained vinylidene chloride and vinyl chloride.
    Subsequently, more than ninety monitoring wells were
    installed in the area around the Ringwood facility. 2 To date,
    neither vinylidene chloride nor vinyl chloride has been
    detected in tests of residential wells in McCullom Lake
    Village used to obtain drinking water. Plaintiffs contend
    1
    Additional     defendants    Huntsman    and    Huntsman
    Polyurethanes were dismissed by stipulation without
    prejudice and defendant Modine reached a class settlement
    that the District Court approved.
    2
    In 1991, Morton voluntarily enrolled the Ringwood facility
    in the Illinois Environmental Protection Agency‟s
    remediation program, an ongoing process. The remediation
    plan for the shallow aquifer involves using wells and a
    wastewater treatment plant to decontaminate the water.
    4
    these chemicals may be present at undetectable levels.
    B.
    In 2006, named plaintiffs filed a complaint alleging
    there were multiple pathways of contamination from multiple
    chemicals including vinyl chloride.3 The putative classes
    include only those with economic injury or exposure.
    Persons alleging physical injury (including brain cancer) are
    excluded from the classes.
    Despite asserting multiple potential pathways of
    contamination, plaintiffs limited their arguments at class
    certification to a single chemical, vinyl chloride, and a single
    pathway, via a shallow aquifer into the air. A deeper aquifer
    runs underneath the Ringwood facility, but the parties dispute
    whether it has become contaminated and whether the aquifer
    flows to the village. Plaintiffs originally alleged this deeper
    aquifer (“deeper plume”) carried vinyl chloride to the ground
    water under the village. They also alleged “air stripping”
    equipment used to remove contamination from the facility‟s
    groundwater caused contaminants to be released into the air.
    Despite asserting several claims for relief including
    medical monitoring, property damage claims, relief under the
    Comprehensive Environmental Response, Compensation, and
    Liability Act (CERCLA), 
    42 U.S.C. § 9601
     et seq., the
    Illinois Environmental Protection Act, 415 Ill. Comp. Stat. §
    5/1 et seq., and state-law fraudulent misrepresentation and
    willful and wanton misconduct claims, plaintiffs chose to
    proceed on a class basis only on the medical monitoring and
    3
    The other contaminants included trichloroethylene (TCE),
    and 1, 1-Dichloroethylene (DCE) both industrial solvents.
    5
    property damage claims and, as noted, solely with regard to
    vinyl chloride exposure. The proposed medical monitoring
    class includes:
    All individuals who lived for one year or more
    in total (whether consecutively or not) within
    McCullom Lake Village during the time period
    from January 1, 1968 to December 31, 2002.
    Excluded from the class are individuals for
    whom brain cancer has been detected and
    individuals bringing claims in any court of
    competent jurisdiction arising out of exposure
    to chlorinated solvents.
    The proposed property damage class includes:
    All persons who presently own real property
    within McCullom Lake Village, or who owned
    real property within McCullom Lake Village as
    of April 25, 2006 (the date of the filing of the
    complaint) through the present. Excluded from
    the Class are individuals who have already
    brought claims in any court of competent
    jurisdiction arising out of exposure to
    chlorinated solvents.
    Plaintiffs sought certification of only these classes.
    At the class certification hearing both parties submitted
    expert evidence.4 Plaintiffs relied on a report from Paolo
    4
    By stipulation the parties agreed to delay consideration of a
    pending omnibus Daubert motion regarding their proposed
    experts. In the interim, we decided In re Hydrogen Peroxide
    6
    Zannetti and a report and testimony from Gary Ginsberg.
    Zannetti, an expert in modeling dispersion of air pollution,
    submitted a report estimating the dispersion of vinyl chloride
    over the village based on data from the monitoring wells.
    Ginsberg, a toxicologist at the Connecticut Department of
    Public Health, presented a risk assessment of exposure to
    vinyl chloride.
    To measure the exposure from pollutants such as vinyl
    chloride, the experts modeled the exposure of residents
    compared to their background levels of exposure absent the
    alleged pollution attributable to the defendants.5 Plaintiffs
    contend the natural background level is 0.042 micrograms per
    cubic meter (“µ/m3”), a measure contained in the federal
    Environmental Protection Agency‟s 1999 National-Scale Air
    Toxics Assessment.
    Zannetti‟s report modeled the emissions over the
    Antitrust Litig., 
    552 F.3d 305
     (3d Cir. 2008), which required a
    “rigorous analysis” of the proposed classes in light of the
    requirements for class certification. 
    Id. at 309
    . The District
    Court ordered supplementary briefing and informed the
    parties that they may need to address the reliability of expert
    evidence to the extent it related to class certification issues.
    The District Court‟s analysis turned largely on whether the
    experts‟ opinions qualified as common proof and not whether
    their methods were reliable.
    5
    Exposure is compared to background levels unless the
    defendant‟s contamination is so severe that it alters the
    baseline background level. See In re Paoli R.R. Yard PCB
    Litig., 
    113 F.3d 444
    , 461 (3d Cir. 1997). The District Court
    found the expert testimony did not meet that standard and
    plaintiffs do not challenge that finding on appeal.
    7
    village using data from monitoring wells to develop models
    for the concentration of vinyl chloride in the air during four
    time periods, 1940-67, 1968-89, 1990-96, and 1997-2006.
    Included in his report are maps of the village with isopleth
    lines6 showing the concentration of vinyl chloride exposure
    for persons within the isopleth during each time period. The
    isopleths are based on his “high scenario,” which was an
    estimate based on the highest single recorded concentration at
    each monitoring site. He also developed a scenario he termed
    the “low scenario,” which extrapolated exposure from the
    average of all recorded concentrations at each site. Zannetti
    used the highest recorded data because, in his opinion, the
    contamination had ended by the time the monitoring began
    and the historical levels were expected to be significantly
    higher than those measured. The exposure at the part of the
    village closest to the shallow plume ranged from 0.0266 µ/m3
    to 0.210 µ/m3 in the “high scenario” and 0.00554 µ/m3 to
    0.0159 µ/m3 in the “low scenario.”7
    6
    Isopleths are lines on a map joining points of equal value to
    show distributions of a specific variable, such as the use of
    contour lines on a topographical map to show elevation. The
    isopleth lines here demark areas in and around the village
    where the estimated concentration of vinyl chloride within the
    line equals or exceeds the stated value.
    7
    Three isopleth maps show the concentration during the class
    period. The isopleth modeling the high emission scenario
    from 1968 to 1989 shows a small fraction of the Village in an
    isopleth of 0.20 µ/m3 with the remainder of the Village in an
    isopleth of 0.08 µ/m3. The isopleth of the period from 1990
    to 1996 shows a significant portion of the Village in an
    isopleth of 0.08 µ/m3 and the rest in an isopleth of 0.022
    8
    Ginsberg testified that the average amount of exposure
    for residents of the village over a twenty-five year period
    from the shallow plume would be 0.127 µ/m3 (in addition to
    any background exposure). Ginsberg arrived at this figure by
    averaging the concentrations in Zannetti‟s isopleths based on
    the “high scenario.”8 The “high scenario” extrapolated
    exposure levels based on maximum detected concentration at
    monitoring wells from 1985 to 1990. He used the “high
    scenario” because “the contamination was likely higher in the
    past.” In his view, the scenario still probably underestimated
    the exposure. If the “low scenario” were used the average
    exposure for a twenty-five year period would be 0.011 µ/m3.
    Ginsberg disclaimed that his report9 was conclusive as
    µ/m3. The last isopleth map showing the period from 1997 to
    2006 shows a minority of the village in an isopleth of 0.026
    µ/m3 and the remainder in an isopleth of 0.008 µ/m3.
    8
    The District Court noted Ginsberg described his calculation
    of the 0.127 figure “in two different, contradictory ways” at
    the hearing and during his deposition. At his deposition
    Ginsberg testified he used Zannetti‟s “high scenario” which is
    calculated only for the point of the Village closest to the
    plume. But at the hearing, Ginsberg testified he averaged the
    two ends of the isopleth distribution—the point closest to the
    contamination and the point at the furthest end of the village.
    The District Court found that either explanation would not
    change the fact the number represents an average of class
    members‟ exposure.
    9
    The bulk of Ginsberg‟s report provides a detailed analysis of
    the carcinogenic nature of vinyl chloride. The defendants
    dispute whether vinyl chloride poses a cancer risk to humans.
    We need not address the issue as it presents a merits
    9
    to individual cases. At one point during his hearing
    testimony, Ginsberg stated the hypothetical risk calculations
    are “not meant to predict risk for a single individual under
    any specific scenario” because of “individual or personal
    variability—susceptibility.”
    The District Court denied class certification for both
    classes. It found the medical monitoring class lacked the
    cohesiveness needed to maintain a class under Rule 23(b)(2)
    and that common issues of law and fact did not predominate
    as required under Rule 23(b)(3). Both failed for the same
    reason—the “common” evidence proposed for trial did not
    adequately typify the specific individuals that composed the
    two classes. The court also found the remaining individual
    issues would require trial, undoing any efficiencies of class
    proceedings and possibly leading a second jury to reconsider
    evidence presented to the jury in the class proceeding.
    The court found plaintiffs failed to present common
    proof of three issues critical to recovering on the medical
    monitoring claim—(1) that plaintiffs suffered from exposure
    greater than normal background levels, (2) the proximate
    result of which is significantly increased risk of developing a
    serious disease, and (3) whether the proposed medical
    monitoring regime is reasonably medically necessary.
    The court found the proposed expert evidence
    demonstrating the first element—exposure greater than
    normal background levels—did not reflect the exposure of
    any specified individuals within the class. The court rejected
    Ginsberg‟s risk analysis and use of the 0.127 µ/m3 figure
    determination that does not alter the analysis of the propriety
    of class certification.
    10
    because it represented an average exposure, not the exposure
    of any actual class member. The court also rejected as
    insufficient Zannetti‟s isopleths because the maps assumed a
    constant value for exposure during lengthy time periods. It
    found the isopleths were “overly simplistic” and averaged the
    class members‟ exposures, rendering them unsuitable as
    common proof.
    The court found no common proof of minimum
    exposure level above which class members were at an
    increased risk of serious disease. The court rejected the
    proposed value of 0.07 µ/m3—the EPA‟s regulatory standard
    for exposure to a mixed population of children and adults—
    because 0.07 µ/m3 is a precautionary value below which a
    mixed population is likely to be safe. It does not establish the
    converse, the required element—the point at which class
    members would likely be at risk.
    The court doubted that putative “common” proof could
    demonstrate whether the proposed monitoring regime is
    reasonably medically necessary. Plaintiffs wanted class
    members to receive serial MRIs to scan for cancerous tumors
    or CAT scans, if MRIs would pose health risks. The court
    did not believe a regime could be developed using common
    proof because of class members‟ differing ages, medical
    histories, genetic predispositions, and tolerance of serial
    MRIs.
    The court also denied certification of the property
    damage class, finding similar defects with the “common”
    proof. The court noted “[p]laintiffs rely on the same expert
    testimony that they offered to support their medical
    monitoring claim.” The court refused to certify a liability-
    only class because the common evidence could not establish
    11
    contamination at each property that was attributable to the
    defendants.
    II.
    The District Court‟s reasoned analysis of the denial of
    class certification makes clear it did not abuse its discretion.
    “Factual determinations necessary to make Rule 23 findings
    must be made by a preponderance of the evidence.”
    Hydrogen Peroxide, 552 F.3d at 320. We review the District
    Court‟s findings for abuse of discretion. Id. at 312. A district
    court abuses its discretion if its “decision rests upon a clearly
    erroneous finding of fact, an errant conclusion of law or an
    improper application of law to fact.” Id. (internal quotation
    marks omitted). Plaintiffs sought certification of the medical
    monitoring class under either Rule 23(b)(2) or 23(b)(3). We
    will first address denial of class certification under Rule
    23(b)(2).
    A.
    Rule 23(b)(2) applies when “the party opposing the
    class has acted or refused to act on grounds that apply
    generally to the class, so that final injunctive relief or
    corresponding declaratory relief is appropriate respecting the
    class as a whole.” Fed. R. Civ. P. 23(b)(2). The Supreme
    Court recently clarified “Rule 23(b)(2) applies only when a
    single injunction or declaratory judgment would provide
    relief to each member of the class.” Wal-Mart Stores, Inc., v.
    Dukes, --- U.S. ----, 
    131 S. Ct. 2541
    , 2557 (2011). Rule
    23(b)(2), in contrast to (b)(3), “does not authorize class
    certification when each class member would be entitled to an
    individualized award of monetary damages.” 
    Id.
     But the
    Court did not conclusively decide “whether there are any
    12
    forms of „incidental‟ monetary relief that are consistent with
    the interpretation of Rule 23(b)(2) we have announced and
    that comply with the Due Process Clause.” 
    Id. at 2561
    .
    1.
    Medical monitoring cannot be easily categorized as
    injunctive or monetary relief. A medical monitoring cause of
    action allows those exposed to toxic substances to recover the
    costs of periodic medical appointments and the costs of tests
    to detect the early signs of diseases associated with exposure.
    The few states that recognize medical monitoring as a remedy
    recognize it as a cause of action, like Pennsylvania, Redland
    Soccer Club, Inc. v. Dep’t of the Army, 
    696 A.2d 137
    , 142
    (Pa. 1997), or treat it as a type of relief granted in connection
    with a traditional tort cause of action, see, e.g., Bourgeois v.
    A.P. Green Indus., Inc., 
    716 So.2d 355
    , 359 (La. 1998).10
    10
    See Principles of the Law of Aggregate Litigation § 2.04
    reporter‟s notes cmt. b, at 124 (2010) (“As a matter of
    substantive law, courts are split on the viability of, and proper
    approach to medical monitoring actions.”); 7AA Charles Alan
    Wright, Arthur R. Miller & Mary Kay Kane, Federal Practice
    & Procedure § 1775, at 55-56 (3d ed. 2005) (“One type of
    order about which there is some disagreement in the courts is
    a request for medical monitoring. Some courts have deemed
    that request the equivalent of one for an injunction; others
    have treated it as a form of damage relief.” (footnote
    omitted)); 1 Joseph M. McLaughlin, McLaughlin on Class
    Actions: Law and Practice § 5:18, at 5-70 (3d ed. 2006)
    (“Medical monitoring is a controversial, cutting-edge concept
    that has not undergone widespread scrutiny in the state courts,
    let alone gained widespread acceptance.”). Only a handful of
    states have allowed plaintiffs to recover the costs of medical
    13
    The remedy of medical monitoring has divided courts on
    whether plaintiffs should proceed under Rule 23(b)(2) or Rule
    23(b)(3).11 The Pennsylvania Supreme Court has endorsed
    awarding medical monitoring damages as a trust fund which
    “compensates the plaintiff for only the monitoring costs
    actually incurred.” Redland Soccer Club, 696 A.2d at 142
    n.6. It has not yet decided whether medical monitoring
    awards can be in the form of a lump-sum verdict. Id. We
    have previously reviewed the certification of a Pennsylvania-
    law medical monitoring class under Rule 23(b)(2) without
    comment on whether medical monitoring claims are
    predominately claims for injunctive or monetary relief. See
    Barnes v. Am. Tobacco Co., 
    161 F.3d 127
    , 143 (3d Cir.
    1998).
    The District Court here denied certification under both
    monitoring without other physical injury. See Burns v.
    Jaquays Mining Corp., 
    752 P.2d 28
    , 33-34 (Ariz. Ct. App.
    1987); Potter v. Firestone Tire and Rubber Co., 
    863 P.2d 795
    , 822-23 (Cal. 1993); Ayers v. Twp. of Jackson, 
    525 A.2d 287
    , 314 (N.J. 1987); Redland Soccer Club, Inc. v. Dep’t of
    the Army, 
    696 A.2d 137
    , 142 (Pa. 1997); Hansen v. Mountain
    Fuel Supply Co., 
    858 P.2d 970
    , 979-80 (Utah 1993); Bower v.
    Westinghouse Elec. Corp., 
    522 S.E.2d 424
    , 429-30 (W.Va.
    1999); see also Adkins v. Thomas Solvent Co., 
    487 N.W.2d 715
    , 720 (Mich. 1992) (recognizing threats or impending
    threats to health as actionable under a private nuisance cause
    of action).
    11
    Compare, e.g., Boughton v. Cotter Corp., 
    65 F.3d 823
    , 827
    (10th Cir. 1995) with Zinser v. Accufix Research Inst. Inc.,
    
    253 F.3d 1180
    , 1194-96, amended, 
    273 F.3d 1266
     (9th Cir.
    2001).
    14
    subsections for reasons unrelated to the injunctive or
    monetary nature of the relief sought. In light of the Supreme
    Court‟s recent decision in Wal-Mart Stores, Inc., v. Dukes, ---
    U.S. ----, 
    131 S. Ct. 2541
     (2011), we question whether the
    kind of medical monitoring sought here can be certified under
    Rule 23(b)(2) but we do not reach the issue. As noted, the
    Court held “Rule 23(b)(2) applies only when a single
    injunction or declaratory judgment would provide relief to
    each member of the class” but left open the question
    “whether there are any forms of „incidental‟ monetary relief
    that are consistent with the interpretation of Rule 23(b)(2) we
    have announced and that comply with the Due Process
    Clause.” 
    Id. at 2557, 2561
     (quoting Allison v. Citgo
    Petroleum Corp., 
    151 F.3d 402
    , 415 (5th Cir. 1998)). If the
    plaintiffs prevail, class members‟ regimes of medical
    screenings and the corresponding cost will vary individual by
    individual. But we need not determine whether the monetary
    aspects of plaintiffs‟ medical monitoring claims are incidental
    to the grant of injunctive or declaratory relief. “[A] single
    injunction or declaratory judgment” cannot “provide relief to
    each member of the class” proposed here, id. at 2557, due to
    individual issues unrelated to the monetary nature of the
    claim. For its part, the District Court found certification
    improper under either category for reasons apart from the
    monetary nature of plaintiffs‟ claims.
    2.
    Although Rule 23(b)(2) classes need not meet the
    additional predominance and superiority requirements of Rule
    23(b)(3), “it is well established that the class claims must be
    cohesive.” Barnes, 
    161 F.3d at 143
    . Rule 23(b)(2) requires
    that “the party opposing the class has acted or refused to act
    on grounds that apply generally to the class.” Fed. R. Civ. P.
    15
    23(b)(2). “The key to the (b)(2) class is „the indivisible
    nature of the injunctive or declaratory remedy warranted—the
    notion that the conduct is such that it can be enjoined or
    declared unlawful only as to all of the class members or as to
    none of them.‟” Wal-Mart Stores, Inc, 
    131 S. Ct. at 2557
    (quoting Richard A. Nagareda, Class Certification in the Age
    of Aggregate Proof, 
    84 N.Y.U. L. Rev. 97
    , 132 (2009)).
    “Indeed, a (b)(2) class may require more cohesiveness than a
    (b)(3) class.” Barnes, 
    161 F.3d at 142
    .12
    As all class members will be bound by a single
    judgment, members of a proposed Rule 23(b)(2) injunctive or
    declaratory class must have strong commonality of interests.
    The Supreme Court in Wal-Mart recently highlighted the
    importance of cohesiveness in light of the limited protections
    for absent class members under subsections (b)(1) and (b)(2):
    Classes certified under (b)(1) and (b)(2) share
    the most traditional justifications for class
    treatment—that individual adjudications would
    be impossible or unworkable, as in a (b)(1)
    12
    Commentators have noted that certification requirements
    under Rule 23(b)(2) are more stringent than under (b)(3). See
    7AA Charles Alan Wright, Arthur R. Miller & Mary Kay
    Kane, Federal Practice and Procedure, § 1784.1, at 343 (3d
    ed. 2005) (“[T]he common-question and superiority standards
    of Rule 23(b)(3) are in some ways much less demanding than
    that of either Rule 23(b)(1) or Rule 23(b)(2) . . . .”); see also 1
    Joseph M. McLaughlin, McLaughlin on Class Actions: Law
    and Practice § 5:15, at 5-57 (3d ed. 2006) (“[I]t is well
    established that a rule 23(b)(2) class should actually have
    more cohesiveness than a Rule 23(b)(3) class.” (internal
    quotations omitted)).
    16
    class, or that the relief sought must perforce
    affect the entire class at once, as in a (b)(2)
    class. For that reason these are also mandatory
    classes: The Rule provides no opportunity for
    (b)(1) or (b)(2) class members to opt out, and
    does not even oblige the District Court to afford
    them notice of the action.
    Wal-Mart Stores, Inc., 
    131 S. Ct. at 2558
     (footnote omitted).
    The “disparate factual circumstances of class members” may
    prevent a class from being cohesive and, therefore, make the
    class unable to be certified under Rule 23(b)(2). Carter v.
    Butz, 
    479 F.2d 1084
    , 1089 (3d Cir. 1973).
    Because causation and medical necessity often require
    individual proof, medical monitoring classes may founder for
    lack of cohesion. See In re St. Jude Med. Inc., 
    425 F.3d 1116
    ,
    1122 (8th Cir. 2005); Ball v. Union Carbide Corp., 
    385 F.3d 713
    , 727-28 (6th Cir. 2004); Zinser v. Accufix Research Inst.,
    Inc., 
    253 F.3d 1180
    , 1195-96, amended, 
    273 F.3d 1266
     (9th
    Cir. 2001); Barnes, 
    161 F.3d at 143-46
    ; Boughton v. Cotter
    Corp., 
    65 F.3d 823
    , 827 (10th Cir. 1995). Rule 23(b)(2)
    “does not authorize class certification when each class
    member would be entitled to an individualized award of
    monetary damages.”13 Wal-Mart, 
    131 S. Ct. at 2557
    .
    The District Court found individual issues were
    significant to certain elements of the medical monitoring
    claims here. To prevail on a medical monitoring claim under
    13
    As noted, the Court left open whether monetary awards
    incidental to the grant of declaratory or injunctive relief were
    permissible. 
    Id. at 2561
    .
    17
    Pennsylvania law,14 plaintiffs must prove:
    (1) exposure greater than normal background
    levels;
    (2) to a proven hazardous substance;
    (3) caused by the defendant‟s negligence;
    (4) as a proximate result of the exposure,
    plaintiff has a significantly increased risk of
    contracting a serious latent disease;
    (5) a monitoring procedure exists that makes the
    early detection of the disease possible;
    (6) the prescribed monitoring regime is different
    from that normally recommended in the absence
    of the exposure; and
    (7) the prescribed monitoring regime is
    reasonably       necessary       according     to
    contemporary scientific principles.
    Redland Soccer Club, 696 A.2d at 145-46. “Expert testimony
    is required to prove these elements.” Sheridan v. NGK
    Metals Corp., 
    609 F.3d 239
    , 251 (3d Cir. 2010) (citing
    Redland Soccer Club, 696 A.2d at 145-46). The District
    Court identified individual issues that would eclipse common
    issues in at least three of the required elements, noting several
    potential variations in proving exposure above background, a
    significantly increased risk of a serious latent disease, and the
    reasonable necessity of the monitoring regime. Plaintiffs
    14
    Neither party challenges the trial court‟s conclusion that
    Pennsylvania law applies or that, if Illinois law applied, the
    Illinois Supreme Court would adopt a cause of action for
    medical monitoring with the same essential elements as
    Pennsylvania law.
    18
    contend the court misinterpreted and improperly evaluated the
    evidence on the merits, rather than under a class certification
    standard, an error compounded by the parties‟ stipulation that
    consideration of Daubert issues would be put off until after
    class certification.
    3.
    The District Court did not err in considering whether
    the proposed common proof would accurately reflect the
    exposure of individual members of the class to vinyl
    chloride.15 “Frequently the „rigorous analysis‟ will entail
    some overlap with the merits of the plaintiff‟s underlying
    claim.” Wal-Mart Stores, Inc, 
    131 S. Ct. at 2551
    . “[T]he
    court may „consider the substantive elements of the plaintiffs‟
    case in order to envision the form that a trial on those issues
    would take.‟” Hydrogen Peroxide, 552 F.3d at 317 (quoting
    Newton v. Merrill Lynch, Pierce, Fenner & Smith, Inc., 
    259 F.3d 154
    , 166 (3d Cir. 2001)).
    Plaintiffs proposed to show the exposure of class
    members through the expert opinions of Zannetti and
    Ginsberg. On appeal, plaintiffs contend the court failed to
    concentrate on Zannetti‟s isopleths and failed to recognize
    that the isopleths provide average exposure per person, not a
    class-wide average across class members.
    15
    Plaintiffs were aware that the issues of class certification
    were linked to the merits of their claims. In their reply brief
    to the District Court, plaintiffs stated “[a]lthough typically a
    party moving for class certification need not present expert
    opinions on the merits (as opposed to the experts‟ proposed
    methodologies), in this case, merits and certification are
    closely linked.”
    19
    The District Court found that the isopleths could not
    constitute common proof of exposure above background
    levels. It noted several problems—that the isopleths only
    showed average daily exposure, not minimum exposure, used
    average exposure over very long periods of time when
    exposure likely varied, and could not show that every class
    member was exposed above background.16
    Instead of showing the exposure of the class member
    with the least amount of exposure, plaintiffs‟ proof would
    show only the amount that hypothetical residents of the
    village would have been exposed to under a uniform set of
    assumptions without accounting for differences in exposure
    year-by-year or based upon an individual‟s characteristics. At
    most, the isopleths show the exposure only of persons who
    lived in the village for the entire period the isopleth represents
    and who behaved according to all assumptions that Zannetti
    made in creating the isopleth.
    Plaintiffs cannot substitute evidence of exposure of
    actual class members with evidence of hypothetical,
    composite persons in order to gain class certification. Cf.
    Principles of the Law of Aggregate Litigation § 2.02 cmt. d,
    at 89 (2010) (“Aggregate treatment is thus possible when a
    trial would allow for the presentation of evidence sufficient to
    demonstrate the validity or invalidity of all claims with
    respect to a common issue under applicable substantive law,
    16
    While plaintiffs argue the court committed error by
    describing their evidence as “averages,” plaintiffs themselves
    stated in their reply brief to the District Court that “[p]laintiffs
    will prove that daily average levels of vinyl chloride during
    the defined periods of time migrated from defendants‟
    manufacturing sites to the Village.” (emphasis added).
    20
    without altering the substantive standard that would be
    applied were each claim to be tried independently and without
    compromising the ability of the defendant to dispute
    allegations made by claimants or to raise pertinent substantive
    defenses.”). The evidence here is not “common” because it is
    not shared by all (possibly even most) individuals in the class.
    Averages or community-wide estimations would not be
    probative of any individual‟s claim because any one class
    member may have an exposure level well above or below the
    average.
    Attempts to meet the burden of proof using modeling
    and assumptions that do not reflect the individual
    characteristics of class members have been met with
    skepticism. See In re Fibreboard Corp., 
    893 F.2d 706
    , 712
    (5th Cir. 1990) (“It is evident that these statistical estimates
    deal only with general causation, for population-based
    probability estimates do not speak to a probability of
    causation in any one case; the estimate of relative risk is a
    property of the studied population, not of an individual‟s
    case.” (internal quotation omitted) (emphasis in original)); In
    re “Agent Orange” Prod. Liab. Litig. MDL No. 381, 
    818 F.2d 145
    , 165 (2d Cir. 1987) (noting that “generic causation and
    individual circumstances concerning each plaintiff and his or
    her exposure to Agent Orange . . . appear to be inextricably
    intertwined” and expressing concern that if the class had been
    certified for trial “the class action would have allowed generic
    causation to be determined without regard to those
    characteristics and the individual‟s exposure”); see also 2
    Joseph M. McLaughlin, McLaughlin on Class Actions: Law
    and Practice § 8:9, at 8-55 to -57 (3d ed. 2006) (“Permitting a
    class to proceed with its suit without linking its proof to even
    a single class member would contravene the overwhelming
    21
    authority recognizing the individualized nature of the
    causation inquiry in mass tort cases.”).
    There are several reasons the amount of vinyl chloride
    exposure for class members would differ from the exposure
    estimated by Zannetti‟s isopleths. Levels of vinyl chloride
    varied within the periods the isopleth measures. Zannetti
    assumes one constant level of exposure for 1968 to 1989,
    another for 1990 to 1996 and a third for 1997 to 2006. But
    another part of Zannetti‟s report notes the temporal level of
    exposure varied drastically—even hourly. He states “hourly
    concentration impacts are frequently one order of magnitude
    (i.e., 10 times) greater and even two orders of magnitude (i.e.,
    100 times) greater than the annual average.” The implication
    of Zannetti‟s statement is that for the average to be at the
    calculated level there would be periods when the
    concentration would be significantly lower than the period
    average, in addition to the periods when the concentration is
    significantly higher. This fluctuation makes the specific
    period of time and amount of time class members were in the
    village critical in deciding whether they were exposed to
    higher than background levels. As the court noted, within
    each of these periods, the exposure varied and only persons
    residing within the village the entire period would have their
    personal average exposure equal the average exposure within
    the isopleth lines.
    Plaintiffs‟ experts contended that, because the
    dumping of vinylidene chloride stopped in 1978, the
    concentration of vinyl chloride fell during much of the class
    period. But under the plaintiffs‟ proposed modeling and
    isopleths, a class member who lived in the village from 1988-
    89—a full decade after the dumping ended—would be
    assumed to have been exposed to the same concentration of
    22
    vinyl chloride as a person living in the same neighborhood
    from 1968-69 when dumping occurred.
    Moreover, the isopleths do not reflect that different
    persons may have different levels of exposure based on
    biological factors or individual activities over the class
    period. Factors which affect a person‟s exposure to toxins
    can include activity level, age, sex, and genetic make-up. See
    Federal Judicial Center, Reference Manual on Scientific
    Evidence 430 (2d ed. 2000). On cross-examination, Ginsberg
    stated that “[s]ome people will have higher breathing rates per
    body weight, et cetera,” which would create a disparity
    between the concentrations of vinyl chloride (based on
    estimated exposure as opposed to actual exposure).
    Each person‟s work, travel, and recreational habits
    may have affected their level of exposure to vinyl chloride.
    Ginsberg admitted that differences in the amount of time
    spent outside the village would create different average
    concentrations to which the class members were exposed. A
    person who worked outside the village would have been
    exposed less than a stay-at-home parent, or retiree. The
    isopleths assume exposure to the same concentration for class
    members who may have spent very different amounts of time
    in the village.
    Plaintiffs argue unconvincingly that the isopleths
    reflect average exposure of individuals rather than a
    classwide average. They contend the isopleth represents a
    concentration which is the “least exposure of anyone within
    the area circumscribed by the isopleth line.” But one cannot
    evaluate the accuracy of this claim unless plaintiffs presented
    some way to measure the actual minimum levels of exposure
    of individual class members. Plaintiffs‟ model assumes away
    23
    relevant variations between the hundreds of residents within
    the same isopleth lines that would result in exposure to
    different concentrations of vinyl chloride.17 Their model does
    not provide individual average exposures of actual class
    members.
    4.
    The District Court did not abuse its discretion in
    finding plaintiffs would be unable to prove a concentration of
    vinyl chloride that would create a significant risk of
    contracting a serious latent disease for all class members.
    Nor was there common proof that could establish the danger
    point for all class members.
    The court identified two problems with the proposed
    evidence.      First, it rejected the plaintiffs‟ proposed
    threshold—exposure above 0.07 µ/m3, developed as a
    regulatory threshold by the EPA for mixed populations of
    adults and children—as a proper standard for determining
    liability under tort law. Second, the court correctly noted,
    even if the 0.07 µ/m3 standard were a correct measurement of
    the aggregate threshold, it would not be the threshold for each
    class member who may be more or less susceptible to
    diseases from exposure to vinyl chloride.18
    17
    Zannetti‟s report does not list the assumptions made that
    would affect the concentration of exposure, such as the
    amount of time spent in the village. Ginsberg, in reaching his
    average, assumed the residents were present 350 days in a
    year for 24 hours-a-day, 7 days-a-week for twenty-five years.
    18
    Plaintiffs‟ experts agreed risk levels varied by individual.
    Melissa Neiman, a board certified neurosurgeon, noted
    24
    Although the positions of regulatory policymakers are
    relevant, their risk assessments are not necessarily conclusive
    in determining what risk exposure presents to specified
    individuals. See Federal Judicial Center, Reference Manual
    on Scientific Evidence 413 (2d ed. 2000) (“While risk
    assessment information about a chemical can be somewhat
    useful in a toxic tort case, at least in terms of setting
    reasonable boundaries as to the likelihood of causation, the
    impetus for the development of risk assessment has been the
    regulatory process, which has different goals.”); id. at 423
    (“Particularly problematic are generalizations made in
    personal injury litigation from regulatory positions. . . . [I]f
    regulatory standards are discussed in toxic tort cases to
    provide a reference point for assessing exposure levels, it
    must be recognized that there is a great deal of variability in
    the extent of evidence required to support different
    regulations.”).
    “[i]ndividuals in the class will likely have varying degrees of
    risk regarding the development of brain tumors,” although in
    her opinion all exposed persons would have a higher risk than
    the average non-exposed person. Ginsberg‟s report states
    exposure to vinyl chloride has “greater cancer effects in early
    life for liver and other tumor sites.” Therefore, exposure at
    the screening target of 0.07 µ/m3 used for “mixed
    populations” may pose little risk for healthy adults, but may
    pose a great risk for children. For example, Ginsberg testified
    that EPA Region 3 considers 0.16 µ/m3 as the “de minimis
    risk threshold” but, according to Ginsberg, the EPA uses “a
    lower screening level [the 0.07 µ/m3 standard] for
    community risk if it‟s a mixed population, meaning young
    children and adults.”
    25
    Thus, plaintiffs could not carry their burden of proof
    for a class of specific persons simply by citing regulatory
    standards for the population as a whole. Cf. Wright v.
    Willamette Indus., Inc., 
    91 F.3d 1105
    , 1107 (8th Cir. 1996)
    (“Whatever may be the considerations that ought to guide a
    legislature in its determination of what the general good
    requires, courts and juries, in deciding cases, traditionally
    make more particularized inquiries into matters of cause and
    effect.”).
    Plaintiffs have failed to propose a method of proving
    the proper point where exposure to vinyl chloride presents a
    significant risk of developing a serious latent disease for each
    class member. Plaintiffs propose a single concentration
    without accounting for the age of the class member being
    exposed, the length of exposure, other individual factors such
    as medical history, or showing the exposure was so toxic that
    such individual factors are irrelevant. The court did not abuse
    its discretion in concluding individual issues on this point
    make trial as a class unfeasible, defeating cohesion.
    5.
    Nor did the court abuse its discretion in determining
    individual issues defeat cohesion with respect to whether the
    proposed monitoring regime is reasonably medically
    necessary. We have been skeptical that the necessity for
    individuals‟ medical monitoring regimes can be proven on a
    class basis. See Barnes, 
    161 F.3d at 146
     (“Although the
    general public‟s monitoring program can be proved on a
    classwide basis, an individual‟s monitoring program by
    definition cannot.”); see Principles of the Law of Aggregate
    Litigation § 2.04 reporter‟s notes cmt. b, at 126 (2010)
    (“[A]fter Barnes, courts often have withheld class
    26
    certification for medical monitoring due to the presence of
    individualized issues . . . .”). Plaintiffs‟ proposed common
    evidence and trial plan do not resolve any of the issues in
    proving medical necessity on an aggregate basis.
    The District Court did not err in rejecting plaintiffs‟
    conclusory allegation they could prove the need for serial
    MRIs on a classwide basis. There were conflicting expert
    reports. Ginsberg‟s report contended class members were at
    increased risk due to exposure but did not discuss possible
    monitoring and treatment regimes. Melissa Neiman, a
    neurosurgeon, suggested that serial MRIs and neurological
    examinations can be used to detect types of brain cancer
    associated with exposure to vinyl chloride without
    explanation of their effectiveness or potential risk. None of
    plaintiffs‟ experts addressed how medical monitoring would
    proceed. Defendants‟ expert Peter Valberg, a toxicologist,
    maintained the negative health effects of screening may
    outweigh any potential benefits. Another defense expert,
    Henry Friedman, a neuro-oncologist, contended a regime of
    serial MRIs would be contraindicated and potentially risky
    because the contrast agent used for MRIs poses dangers to
    those with kidney disease. The court did not err in crediting
    defense experts‟ detailed discussions of why the medical
    monitoring regime would present individual rather than
    common issues. See Hydrogen Peroxide, 552 F.3d at 323
    (“Weighing conflicting expert testimony at the certification
    stage is not only permissible; it may be integral to the
    rigorous analysis Rule 23 demands.”).
    Plaintiffs‟ proposed common evidence and trial plan
    would not be able to prove the medical necessity of plaintiffs‟
    proposed monitoring regime without further individual
    proceedings to consider class members‟ individual
    27
    characteristics and medical histories and to weigh the benefits
    and safety of a monitoring program. Plaintiffs cannot show
    the cohesiveness required for certification of a Rule 23(b)(2)
    class. The court did not abuse its discretion in refusing to
    certify a class that would be able to resolve few if any issues
    that would materially advance resolution of the underlying
    claims.
    B.
    1.
    Plaintiffs also sought certification under Rule 23(b)(3).
    The requirements of predominance and superiority19 for
    19
    Rule 23(b)(3) requires “that the questions of law or fact
    common to class members predominate over any questions
    affecting only individual members, and that a class action is
    superior to other available methods for fairly and efficiently
    adjudicating the controversy.” Fed. R. Civ. P. 23(b)(3). It
    lists factors relevant to the predominance and superiority
    requirements:
    (A) the class members‟ interests in individually
    controlling the prosecution or defense of
    separate actions;
    (B) the extent and nature of any litigation
    concerning the controversy already begun by or
    against class members;
    (C) the desirability or undesirability of
    concentrating the litigation of the claims in the
    particular forum; and
    (D) the likely difficulties in managing a class
    action.
    Id.
    28
    maintaining a class action under Rule 23(b)(3) are less
    stringent than the cohesiveness requirement of Rule
    23(b)(2).20 See Barnes, 
    161 F.3d at 143
    ; In re St. Jude Med.
    Inc., 
    425 F.3d at 1121
    . But the two inquiries are similar.
    “The Rule 23(b)(3) predominance inquiry tests whether
    proposed classes are sufficiently cohesive to warrant
    adjudication by representation.” Amchem, 521 U.S. at 623.
    Courts have generally denied certification of medical
    monitoring classes when individual questions involving
    causation and damages predominate over (and are more
    complex than) common issues such as whether defendants
    released the offending chemical into the environment. See In
    re St. Jude Med., Inc., 
    522 F.3d 836
    , 840 (8th Cir. 2008)
    (reversing the decision to certify a Rule 23(b)(3) class for
    “the highly individualized remedy of medical monitoring”);
    see generally 7AA Charles Alan Wright, Arthur R. Miller,
    Mary Kay Kane & Richard L. Marcus, Federal Practice &
    Procedure § 1782 (3d ed. 2005) (“[T]o the extent that
    different injuries are alleged to have occurred to different
    class members and over different periods of time, it is
    difficult to show that common issues predominate and that a
    class action would be superior.”).
    As discussed, the inquiries into whether class members
    were exposed above background levels, whether class
    members face a significantly increased risk of developing a
    serious latent disease, and whether a medical monitoring
    regime is reasonably medically necessary all require
    considering individual proof of class members‟ specific
    20
    The parties do not address the court‟s findings that a class
    action would not be a superior method of adjudication. In
    any event, we see no error here.
    29
    characteristics. The court did not abuse its discretion in
    finding individual issues predominate over any issues
    common to the class.
    2.
    Plaintiffs contend an alternative class could have been
    certified. They offer three possible modifications—only one
    of which they presented to the District Court. Plaintiffs
    suggested in a footnote in their trial reply brief that, if their
    proposed common proof were insufficient, they could create
    isopleths measuring exposure in each calendar year. The jury
    would then use these yearly isopleths to determine if
    residents‟ exposure levels in that year satisfied the elements
    of Pennsylvania‟s medical monitoring cause of action.
    The court did not err in rejecting plaintiffs‟ alternative
    class definition. “A party‟s assurance to the court that it
    intends or plans to meet the requirements is insufficient.”
    Hydrogen Peroxide, 552 F.3d at 318 (citing Newton, 259 F.3d
    at 191). “Rule 23 does not set forth a mere pleading standard.
    A party seeking class certification must affirmatively
    demonstrate his compliance with the Rule—that is, he must
    be prepared to prove that there are in fact sufficiently
    numerous parties, common questions of law or fact, etc.”
    Wal-Mart Stores, Inc., 
    131 S. Ct. at 2551
    . “[A] district court
    errs as a matter of law when it fails to resolve a genuine legal
    or factual dispute relevant to determining the requirements.”
    Hydrogen Peroxide, 552 F.3d at 320. Plaintiffs did not
    present yearly isopleths to the trial court, did not show such
    isopleths to be feasible given the limited data available, and
    did not explain how these yearly determinations would
    correspond to actual class members.
    30
    On appeal, plaintiffs suggest for the first time two
    further refinements to their class definition. Plaintiffs
    contend common issues would predominate if the class
    definition were (1) amended to include only class residents
    who lived in the village for the entire period represented by
    the isopleths presented to the trial court, or (2) amended to
    include only class members who lived in the village for an
    entire calendar year and yearly isopleths were created. These
    alternatives are not properly before us, having never been
    presented to the trial court. Even if we were to consider
    plaintiffs‟ arguments, their alternatives do not resolve the
    defects in the isopleths nor provide enough detail to
    determine how the claims of such a class would be tried.
    C.
    1.
    Plaintiffs also sought certification of a Rule 23(b)(3)
    class of property owners who allegedly suffered loss in
    property values due to defendants‟ contamination under
    theories of public nuisance, private nuisance, strict liability,
    CERCLA, conspiracy, negligence, negligence per se, and
    trespass. The court noted “[p]laintiffs rely on the same expert
    testimony that they offered to support their medical
    monitoring claim.” Accordingly, it found common questions
    did not predominate over individual questions because
    “[a]lthough many aspects of [p]laintiffs‟ claims may be
    common questions, the parties agree that resolution of those
    questions leaves significant and complex questions
    unanswered, including questions relating to causation of
    contamination, extent of contamination, fact of damages, and
    amount of damages.”
    31
    The District Court properly explained its reasons for
    finding that individuals issues predominated over common
    issues. Plaintiffs cannot fault the court for failing to examine
    each element of their purported causes of action when they
    failed to present arguments or propose common proof for
    each element. As the arguments for certification of the
    property class relied on the same purported “common”
    evidence as the medical monitoring class, the court did not err
    by denying certification of the property damage class.
    The trial court properly considered and rejected the
    arguments plaintiffs did make. Plaintiffs rely on other
    instances of property contamination where the courts found
    common issues predominated. But those cases presented
    simpler theories of contamination or discrete incidents of
    contamination. In Mejdrech v. Met-Coil Systems Corp., 
    319 F.3d 910
     (7th Cir. 2003), the plaintiffs alleged the improper
    handling of chemicals contaminated the soil and groundwater
    beneath their properties. The court certified an issue class on
    the defendant‟s negligence and the extent of contamination
    but left damages to be resolved individually. But the Seventh
    Circuit, in affirming the order certifying the class, noted the
    question of the “geographical scope of the contamination”
    was “not especially complex.” 
    Id. at 912
    .
    Similarly, in Sterling v. Velsicol Chemical Corp., 
    855 F.2d 1188
     (6th Cir. 1988), the plaintiffs alleged groundwater
    contamination that could be discovered merely by testing
    local wells. 
    Id. at 1193
    . The Sixth Circuit affirmed the
    certification order but noted a class action is only suited for
    situations when “the cause of the disaster is a single course of
    conduct which is identical for each of the plaintiffs.” 
    Id. at 1197
    . The court warned:
    32
    In complex, mass, toxic tort accidents, where no
    one set of operative facts establishes liability,
    no single proximate cause equally applies to
    each potential class member and each
    defendant, and individual issues outnumber
    common issues, the district court should
    properly question the appropriateness of a class
    action for resolving the controversy.
    
    Id.
     Not all claims of property damage based on exposure are
    alike. Single instances or simple theories of contamination
    may be more apt for consolidated proceedings than extensive
    periods of contamination with multiple sources and various
    pathways. See In re Methyl Tertiary Butyl Ether (“MTBE”)
    Prods. Liab. Litig., 
    241 F.R.D. 435
    , 447 (S.D.N.Y. 2007)
    (certifying class for damage to property from water
    contamination but noting “[c]ourts have repeatedly drawn
    distinctions between proposed classes involving a single
    incident or single source of harm and proposed classes
    involving multiple sources of harm occurring over time”);
    Reilly v. Gould, Inc., 
    965 F. Supp. 588
    , 602 (M.D. Pa. 1997)
    (noting in refusing to certify a property damage class “it is the
    presence of additional individualized factors affecting
    individual plaintiffs which wreaks havoc on the notion that all
    plaintiffs‟ injuries have been caused solely by the defendant‟s
    actions”).
    Here, plaintiffs contend varied levels of vinylidene
    chloride at various times seeped into a shallow aquifer,
    degraded into vinyl chloride, diffused from the aquifer to the
    ground above, and evaporated into the air to be carried over
    the village. Given the potential difference in contamination
    on the properties, common issues do not predominate. Cf.
    Fisher v. Ciba Specialty Chems. Corp., 
    238 F.R.D. 273
    , 305
    33
    n.70 (S.D. Ala. 2006) (“[A] property-by-property inquiry will
    unquestionably be necessary to determine whether that source
    and that pathway have any bearing on the experience of a
    particular property owner within the Proposed Class Area.”).
    The District Court did not abuse its discretion in finding the
    property damage class members‟ individual issues
    predominated over the issues common to the class.
    2.
    Alternatively, plaintiffs contend that, even if common
    issues do not predominate, the court should have certified an
    “issue only” class on liability. The court found an issue class
    was not feasible and would not advance the resolution of
    class members‟ claims. The court noted both the fact of
    damages and the amount of damages “would remain
    following the class-wide determination of any common
    issues,” and further that causation and extent of
    contamination would need to be determined at follow-up
    proceedings. Due to the numerous individual issues that
    would remain, the court declined to certify a liability-only
    class.
    “[A] court‟s decision to exercise its discretion under
    Rule 23(c)(4),[21] like any other certification determination
    under Rule 23, must be supported by rigorous analysis.”
    Hohider v. United Parcel Serv., Inc., 
    574 F.3d 169
    , 200-01
    (3d Cir. 2009). Rule 23(c)(4) “both imposes a duty on the
    court to insure that only those questions which are appropriate
    for class adjudication be certified, and gives it ample power to
    21
    Fed. R. Civ. P. 23(c)(4) states: “Particular Issues. When
    appropriate, an action may be brought or maintained as a
    class action with respect to particular issues.”
    34
    „treat common things in common and to distinguish the
    distinguishable.‟” Chiang v. Veneman, 
    385 F.3d 256
    , 267 (3d
    Cir. 2004) (quoting Jenkins v. United Gas Corp., 
    400 F.2d 28
    ,
    35 (5th Cir. 1968)).         “The interaction between the
    requirements for class certification under Rule 23(a) and (b)
    and the authorization of issue classes under Rule 23(c)(4) is a
    difficult matter that has generated divergent interpretations
    among the courts.” Hohider, 
    574 F.3d at
    200 n.25.
    Courts have disagreed over the extent to which the
    ability to certify issue classes alters the predominance
    requirement. Some appellate courts have viewed Rule
    23(c)(4) as a “housekeeping rule” allowing common issues to
    be certified only when the cause of action, taken as a whole,
    meets the predominance requirement. See Castano v. Am.
    Tobacco Co., 
    84 F.3d 734
    , 745 n.21 (5th Cir. 1996). Others
    have allowed certification of issue classes even if common
    questions do not predominate for the cause of action as a
    whole. See In re Nassau County Strip Search Cases, 
    461 F.3d 219
    , 226 (2d Cir. 2006); Gunnells v. Healthplan Servs.,
    Inc., 
    348 F.3d 417
    , 439 (4th Cir. 2003); Valentino v. Carter-
    Wallace, Inc., 
    97 F.3d 1227
    , 1234 (9th Cir. 1996). We noted
    the split of authority in Hohider. 
    574 F.3d at
    200 & n.25.
    The District Court here found “resolution of [common]
    questions leaves significant and complex questions
    unanswered.” We agree, as the common issues here are not
    divisible from the individual issues. See Hohider, 
    574 F.3d at
    200 n.25. Following Hohider, the District Court conducted a
    rigorous analysis on the effect “partial certification would
    have on the class action going forward.” 
    Id. at 202
    . In
    Hohider, we provided relevant considerations on when a
    district court may wish to carve at the joints to form issue
    classes and cited the ALI‟s Proposed Final Draft of the
    35
    Principles of the Law of Aggregate Litigation. The ALI‟s
    final draft preserved and expanded its discussion of these
    important considerations. See Principles of the Law of
    Aggregate Litigation §§ 2.02-05, 2.07-2.08 (2010).
    Rather than joining either camp in the circuit
    disagreement, we believe the considerations set forth in
    Hohider and more recently in the Final Draft of the ALI‟s
    Principles of Aggregate Litigation provide the most sound
    guidance in resolving this complicated area of class action
    procedure.
    In light of the adoption of the Final Draft of the
    Principles of Aggregate Litigation, when deciding whether or
    not to certify an issue class, the trial court should consider:
    the type of claim(s) and issue(s) in question; the overall
    complexity of the case; the efficiencies to be gained by
    granting partial certification in light of realistic procedural
    alternatives; the substantive law underlying the claim(s),
    including any choice-of-law questions it may present and
    whether the substantive law separates the issue(s) from other
    issues concerning liability or remedy; the impact partial
    certification will have on the constitutional and statutory
    rights of both the class members and the defendant(s); the
    potential preclusive effect or lack thereof that resolution of
    the proposed issue class will have; the repercussions
    certification of an issue(s) class will have on the effectiveness
    and fairness of resolution of remaining issues; the impact
    individual proceedings may have upon one another, including
    whether remedies are indivisible such that granting or not
    granting relief to any claimant as a practical matter
    determines the claims of others; and the kind of evidence
    presented on the issue(s) certified and potentially presented
    on the remaining issues, including the risk subsequent triers
    36
    of fact will need to reexamine evidence and findings from
    resolution of the common issue(s). See Principles of the Law
    of Aggregate Litigation §§ 2.02-05 (2010); Hohider, 
    574 F.3d at 201
    . This non-exclusive list of factors should guide courts
    as they apply Fed. R. Civ. P. 23(c)(4) “to „treat common
    things in common and to distinguish the distinguishable.‟”
    Chiang, 
    385 F.3d at 256
     (quoting Jenkins, 
    400 F.2d at 35
    ).
    When certifying an issue class the court should clearly
    enumerate the issue(s) to be tried as a class as required by
    Fed. R. Civ. P. 23(c)(1)(B). See Wachtel v. Guardian Life
    Ins. Co. of Am., 
    453 F.3d 179
    , 184-85 (3d Cir. 2006). It
    should also explain how class resolution of the issue(s) will
    fairly and efficiently advance the resolution of class
    members‟ claims, including resolution of remaining issues.
    See Principles of the Law of Aggregate Litigation §§ 2.02(e)
    (2010).
    The trial court here did not abuse its discretion by
    declining to certify a liability-only issue class when it found
    liability inseverable from other issues that would be left for
    follow-up proceedings. Nor did the court err in finding no
    marked division between damages and liability.
    Plaintiffs have neither defined the scope of the
    liability-only trial nor proposed what common proof would be
    presented.22 The claims and issues here are complex and
    22
    Plaintiffs appear to rely on the same purported common
    proof used for the medical monitoring class. But the common
    evidence presented for the medical monitoring class shows
    present levels of contamination to be very low, undercutting
    the claims of the class seeking damages for present
    contamination of their property.
    37
    common issues do not easily separate from individual issues.
    A trial on whether the defendants discharged vinlydine
    chloride into the lagoon that seeped in the shallow aquifer and
    whether the vinyl chloride evaporated from the air from the
    shallow aquifer is unlikely to substantially aid resolution of
    the substantial issues on liability and causation.
    Certification of a liability-only issue class may unfairly
    impact defendants and absent class members. Plaintiffs‟ bald
    assertion that class members claims share “the same nucleus
    of operative facts” is a mere “assurance to the court that it
    intends or plans to meet the requirements.” Hydrogen
    Peroxide, 552 F.3d at 318 (citing Newton, 259 F.3d at 191).
    Plaintiffs appear to rely on the same “common” evidence
    used for the medical monitoring class, but fail to explain how
    their estimates of exposure to residents over substantial
    periods of time corresponds to the level of contamination
    currently present at each home. It may prejudice absent class
    members whose properties may be shown to have suffered
    greater contamination.23
    Given the inability to separate common issues from
    issues where individual characteristics may be determinative,
    23
    Cf. Boughton, 
    65 F.3d at
    827 n.1 (“[W]here, as here, there
    are multiple types of claims, more than one form of relief
    sought and the parties disagree about the number of models
    necessary to deal with the various ways in which properties
    may have become contaminated it may not be so simple as to
    err on the side of certification just to keep the option open
    because there may be mutually exclusive ways of defining
    subclasses and any attempt to certify subclasses before it is
    clear what the common issues are carries with it the potential
    for making the case less manageable.”)
    38
    the District Court did not abuse its discretion in refusing to
    certify a liability-only property damage class.
    III.
    For the foregoing reasons the District Court did not
    abuse its discretion in denying the plaintiffs‟ motion for class
    certification under Fed. R. Civ. P. 23(b)(2) and (b)(3). We
    will affirm its judgment.
    39
    

Document Info

Docket Number: 10-2108

Citation Numbers: 655 F.3d 255, 80 Fed. R. Serv. 3d 604, 41 Envtl. L. Rep. (Envtl. Law Inst.) 20278, 2011 U.S. App. LEXIS 17756, 2011 WL 3715817

Judges: Scirica, Rendell, Roth

Filed Date: 8/25/2011

Precedential Status: Precedential

Modified Date: 11/5/2024

Authorities (26)

monica-valentino-michael-a-hackard-hugo-s-jennings-wanda-s-oconnor , 97 F.3d 1227 ( 1996 )

in-re-st-jude-medical-inc-silzone-heart-valve-products-liability , 425 F.3d 1116 ( 2005 )

robin-zinser-individually-and-on-behalf-of-all-others-similarly-situated , 253 F.3d 1180 ( 2001 )

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gail-watson-chiang-lynda-alexander-muhammad-jacqueline-carr-denise-pittman , 385 F.3d 256 ( 2004 )

Bourgeois v. AP Green Industries, Inc. , 1998 La. LEXIS 2343 ( 1998 )

Fannie Ball (02-6289) Stephen Heiser (02-6311) v. Union ... , 385 F.3d 713 ( 2004 )

katie-carter-on-behalf-of-the-household-of-thomasena-tindall-deceased , 479 F.2d 1084 ( 1973 )

In Re "Agent Orange" Product Liability Litigation Mdl No. ... , 818 F.2d 145 ( 1987 )

louis-e-wright-individually-and-as-parent-and-next-friend-of-jamie-l , 91 F.3d 1105 ( 1996 )

prodliabrep-cch-p-15407-william-barnes-ciaran-mcnally-catherine-potts , 161 F.3d 127 ( 1998 )

Thomas L. Jenkins v. United Gas Corporation and Allan B. ... , 400 F.2d 28 ( 1968 )

Wal-Mart Stores, Inc. v. Dukes , 131 S. Ct. 2541 ( 2011 )

Sheridan v. NGK Metals Corp. , 609 F.3d 239 ( 2010 )

Hohider v. United Parcel Service, Inc. , 574 F.3d 169 ( 2009 )

Lynn and Deyon Boughton v. Cotter Corporation , 65 F.3d 823 ( 1995 )

zev-wachtel-linda-wachtel-individually-and-on-behalf-of-their-minor , 453 F.3d 179 ( 2006 )

robin-zinser-individually-and-on-behalf-of-all-others-similarly-situated , 273 F.3d 1266 ( 2001 )

in-re-paoli-railroad-yard-pcb-litigation-mabel-brown-individually-and-on , 113 F.3d 444 ( 1997 )

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