Philip Bobbitt v. Milberg LLP ( 2015 )


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  •                   FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    PHILIP BOBBITT, individually and on        No. 13-15812
    behalf of all others similarly
    situated; JOHN J. SAMPSON; JOHN               D.C. No.
    HALL; BRENDA HALL,                         4:09-cv-00629-
    Plaintiffs,        FRZ
    and
    OPINION
    LANCE LABER,
    Intervenor-Plaintiff–Appellant,
    v.
    MILBERG LLP; MELVYN I. WEISS;
    MICHAEL C. SPENCER; JANINE LEE
    POLLACK; LEE A. WEISS; BRIAN C.
    KER; UITZ & ASSOCIATES; RONALD
    A. UITZ; LUSTIGMAN FIRM;
    SHELDON S. LUSTIGMAN; ANDRE B.
    LUSTIGMAN; GABROY ROLLMAN &
    BOSSE PC; JOHN GABROY; RONALD
    M. LEHMAN,
    Defendants-Appellees.
    Appeal from the United States District Court
    for the District of Arizona
    Frank R. Zapata, Senior District Judge, Presiding
    2                   BOBBITT V. MILBERG LLP
    Argued and Submitted
    June 25, 2015—San Francisco, California
    Filed September 10, 2015
    Before: Sidney R. Thomas, Chief Judge, John B. Owens,
    Circuit Judge, and Anthony J. Battaglia,* District Judge.
    Opinion by Judge Owens
    SUMMARY**
    Class Certification / Choice of Law
    The panel vacated the district court’s order denying the
    motion for class certification brought by named plaintiffs
    Philip Bobbitt and John Sampson in their malpractice lawsuit
    against Milberg LLP and various other law firms and lawyers.
    The panel held that the district court properly applied the
    choice-of-law rules of the forum state Arizona. The panel
    noted that Arizona courts apply the Restatement (Second) of
    Conflict of Laws (1971) to determine the controlling law for
    multistate torts.
    *
    The Honorable Anthony J. Battaglia, District Judge for the U.S.
    District Court for the Southern District of California, sitting by
    designation.
    **
    This summary constitutes no part of the opinion of the court. It has
    been prepared by court staff for the convenience of the reader.
    BOBBITT V. MILBERG LLP                       3
    The panel held that the district court erred in holding that
    the law of each class member’s home state governed his or
    her individual claim, rather than the law of Arizona where the
    alleged malpractice occurred. The panel held that the district
    court abused its discretion by basing its class certification
    decision on an erroneous view of the proper choice of law,
    and remanded for further proceedings.
    COUNSEL
    Lawrence A. Kasten (argued), Robert H. McKirgan, and
    William G. Voit, Lewis Roca Rothberber LLP, Phoenix,
    Arizona; Guy M. Hohmann and Ryan T. Shelton, Hohmann,
    Taube & Summers LLP, Austin, Texas; R. James George, Jr.
    and Gary L. Lewis, George, Brothers, Kincaid & Horton,
    LLP, Austin, Texas, for Intervenor-Plaintiff-Appellant.
    Douglas J. Pepe (argued), Gregory P. Joseph, Honey L.
    Kober, and Jeffrey H. Zaiger, Joseph Hage Aaronson LLC,
    New York, New York; Peter Akmajian, Ed Moomjian II, and
    Michele G. Thompson, Udall Law Firm LLP, Tucson,
    Arizona, for Defendants-Appellees.
    OPINION
    OWENS, Circuit Judge:
    Intervenor-plaintiff-appellant Lance Laber appeals from
    the district court’s denial of the motion for class certification
    brought by named plaintiffs Philip Bobbitt and John Sampson
    in their malpractice lawsuit against defendant-appellee
    Milberg LLP and various other law firms and lawyers
    4                    BOBBITT V. MILBERG LLP
    (collectively “Milberg”). Because the district court erred in
    holding that the law of each class member’s home state
    governed his or her individual claim, rather than the law of
    Arizona where the alleged malpractice occurred, we vacate
    the district court’s order and remand this case for further
    proceedings.
    I. FACTS
    A. The VALIC litigation
    In 2001, Milberg, a national law firm specializing in class
    actions, filed a lawsuit in Arizona district court against
    Variable Annuity Life Insurance Company, Inc. (“VALIC”),
    for alleged securities law violations. In January 2004, the
    district court certified a class of plaintiffs, a significant
    accomplishment in any class action litigation.1
    But things went downhill for Milberg and the class.
    Milberg failed to meet certain mandatory disclosure
    deadlines, and in August 2004, the district court struck the
    plaintiffs’ expert testimony and witness list as a sanction.
    Milberg could not prove class-wide damages without
    witnesses, so the court vacated class certification. And,
    because Milberg could not, without witnesses, establish
    causation and damages for the named plaintiffs, the court
    entered judgment for VALIC, ending the case. Milberg did
    not alert any of the absent class members to the certification
    1
    Although not relevant to this appeal, Milberg argues that the class was
    never “certified in accordance with the strictures of Rule 23” because the
    district court entered no findings of fact related to class certification. We
    express no opinion on the validity of the certification in the VALIC
    litigation.
    BOBBITT V. MILBERG LLP                              5
    or decertification of the class or the dismissal of the action,
    nor did it otherwise attempt to preserve the class’s claims.2
    B. The Milberg Litigation
    Plaintiffs in this appeal sued Milberg for malpractice for
    failing to meet the discovery requirements in the VALIC class
    action. Plaintiffs named as defendants four law firms as well
    as various lawyers who worked for them. The firms are
    located in New York, Washington, D.C., and Arizona. The
    lawyer defendants are residents of Florida, New York,
    Washington, D.C., Virginia, New Jersey, and Arizona. The
    two lead plaintiffs are Texas residents.
    After some litigation, the plaintiffs moved for class
    certification. Defendants opposed on various grounds,
    arguing the plaintiffs could not meet the requirements of Rule
    23(a) and (b)(3). The district court denied the motion for
    class certification, ruling that plaintiffs had failed to meet the
    predominance requirement of Rule 23(b)(3). The court held
    that individual questions predominated over common
    questions, because the law applicable to each unnamed class
    member’s claim was the law of that member’s domicile state.
    Because the laws of up to fifty states were implicated and
    plaintiffs had failed to meet their burden to show that
    conflicts between the fifty states’ laws did not defeat the
    predominance requirement, the court denied class
    certification.
    2
    On appeal, this court affirmed, holding that Milberg’s “failure to meet
    the deadlines was neither substantially justified nor harmless.” Drnek v.
    VALIC, 261 F. App’x 50, 51 (9th Cir. 2007).
    6                 BOBBITT V. MILBERG LLP
    Named appellants Bobbitt and Sampson moved for
    voluntary dismissal of their individual claims. The court
    granted the motion on March 29, 2013, creating a final
    judgment. Laber, an unnamed member of the putative class,
    successfully moved to intervene for the limited purpose of
    bringing this appeal.
    II. ANALYSIS
    A. Jurisdiction
    We have jurisdiction over this appeal pursuant to Baker
    v. Microsoft Corp., — F.3d —, 
    2015 WL 4393964
    , at *4 &
    n.4 (9th Cir. July 20, 2015), and Berger v. Home Depot USA,
    Inc., 
    741 F.3d 1061
    , 1065–66 (9th Cir. 2014).
    B. Standard of Review
    We review the denial of class certification for an abuse of
    discretion. Stearns v. Ticketmaster Corp., 
    655 F.3d 1013
    ,
    1018 (9th Cir. 2011). A district court abuses its discretion
    when it makes an error of law, or when it reaches a result that
    is illogical, implausible, or without support in inferences that
    may be drawn from the record. United States v. Hinkson,
    
    585 F.3d 1247
    , 1261, 1263 (9th Cir. 2009) (en banc). Choice
    of law questions are reviewed de novo. Coneff v. AT&T
    Corp., 
    673 F.3d 1155
    , 1157 (9th Cir. 2012).
    C. Class Certification
    Under Federal Rule of Civil Procedure 23, a class may be
    certified if it meets all four class action prerequisites set forth
    in Rule 23(a) and satisfies the requirements of at least one of
    the three types of class actions of Rule 23(b)(1) to (3).
    BOBBITT V. MILBERG LLP                       7
    Plaintiffs here sought certification as a Rule 23(b)(3) class,
    and the district court denied class certification because, in its
    view, the law applicable to each individual class member’s
    claim is the law of that member’s domicile state. The court
    thus held that common questions of law did not predominate
    as required under Rule 23(b)(3).
    D. Choice of Law
    The district court properly applied the choice-of-law rules
    of the forum state, Arizona. Nelson v. Int’l Paint Co.,
    
    716 F.2d 640
    , 643 (9th Cir. 1983). Arizona courts apply the
    Restatement (Second) of Conflict of Laws (1971) (hereinafter
    “Restatement”) to determine the controlling law for multistate
    torts. Bates v. Superior Court, 
    749 P.2d 1367
    , 1369–70
    (Ariz. 1988). The Restatement instructs courts to look to the
    state that has “the most significant relationship to the
    occurrence and the parties” of any tort claim. Restatement
    § 145(1). The “especially relevant contacts” to be considered
    include:
    1. The place where the injury occurred;
    2. The place where the conduct causing the
    injury occurred;
    3. The domicile, residence, nationality, place
    of incorporation and place of business of the
    parties;
    4. The place where the relationship, if any,
    between the parties is centered.
    8                 BOBBITT V. MILBERG LLP
    
    Bates, 749 P.2d at 1370
    (quoting Restatement § 145(2)).
    “The inquiry is qualitative, not quantitative. The court must
    evaluate the contacts ‘according to their relative importance
    with respect to the particular issue.’” 
    Id. (citation omitted)
    (quoting Restatement § 145(2)).
    The first § 145 factor, the place of injury, supports
    application of Arizona law. The unnamed class members
    were injured when Milberg failed to meet deadlines and make
    timely filings in the Arizona court. The result of that alleged
    negligence was vacatur of the class certification order, which
    also occurred in the Arizona court. The unnamed class
    members lost the potential benefits of class certification in the
    Arizona litigation. This injury occurred in Arizona.
    Indeed, most courts applying § 145 in analogous
    situations agree that negligent behavior in litigation injures
    the client in the forum state of the court, whether or not the
    client is physically present in the state. See Patton v. Cox,
    
    276 F.3d 493
    , 497 (9th Cir. 2002) (considering the location of
    a quasi-judicial proceeding as the “most persuasive” factor in
    choice-of-law analysis); ACE Am. Ins. Co. v. Sandberg,
    Phoenix & Von Gontard, PC, 
    900 F. Supp. 2d 887
    , 896 (S.D.
    Ill. 2012) (place of litigation controlled because “[t]he gist of
    this action is that [defendant] bungled the defense of the . . .
    case”); Foulke v. Dugan, 
    187 F. Supp. 2d 253
    , 257 (E.D. Pa.
    2002) (injury resulting from legal malpractice was having
    case dismissed, and that injury occurred where litigation was
    pending); In re Kaiser Grp. Int’l, Inc., Adversary No. 09-
    52317-MFW, 
    2010 WL 3271198
    , at *5 (Bankr. D. Del. Aug.
    17, 2010) (“Because the bankruptcy case, and the actions
    giving rise to the alleged attorney malpractice, occurred in
    Delaware, the Court concludes that Delaware is the place of
    injury.”); see also David B. Lilly Co., Inc. v. Fisher, 18 F.3d
    BOBBITT V. MILBERG LLP                        9
    1112, 1119–20 (3d Cir. 1994) (injury occurred where, “[a]s
    a practical matter, . . . [legal] services were rendered”).
    The district court appeared to assume that any economic
    injury necessarily occurs in the victim’s domicile state.
    While this general principle may apply in many cases, certain
    economic interests may be held—and may be injured—out of
    state. Our inquiry focuses not on the place where the victim
    feels the consequences of the injury, but on the location of
    injury itself. Cf. Fields v. Legacy Health Sys., 
    413 F.3d 943
    ,
    952–53 (9th Cir. 2005) (in wrongful death case, the injury
    occurred where the decedent was harmed, not where she
    died). The interest here is not the right to recover on the
    underlying claim, since the unnamed class members’
    underlying claims remained intact after the decertification of
    the class. Rather, the interest at issue is the potential recovery
    in Arizona litigation. That interest was held in Arizona, and
    thus the place of injury is Arizona.
    Milberg cites Johnson v. Nextel Commc’ns Inc., 
    780 F.3d 128
    (2d Cir. 2015), in which the Second Circuit applied § 145
    to the claims of unnamed class members in a class action
    alleging attorney malpractice. Johnson is distinguishable
    because the defendants in that case actually developed an
    attorney-client relationship with the unnamed class members
    in their respective home states. 
    Id. at 132.
    The plaintiffs
    alleged that the legal services they received in their home
    states were marred by a conflict of interest. 
    Id. at 133.
    In
    contrast to the present case, the allegedly defective legal
    services resulted in the final resolution of the plaintiffs’
    underlying claims. 
    Id. Under those
    circumstances, the
    plaintiffs were injured in their home states, not the state
    where their claims happened to be resolved. Johnson does
    10                BOBBITT V. MILBERG LLP
    not aid Milberg here, where all critical actions leading to
    injury and the injury itself occurred in Arizona.
    Similarly, the second § 145 factor—where the conduct
    causing the injury occurred—favors application of Arizona
    law. Although the district court correctly concluded that the
    various defendant law firms and attorneys performed legal
    services across several states, the critical conduct causing the
    injury was the failure to meet court deadlines in Arizona.
    Arizona has a strong interest in regulating attorney conduct
    in courts within its borders. See 
    Patton, 276 F.3d at 497
    ;
    Trierweiler v. Croxton & Trench Holding Corp., 
    90 F.3d 1523
    , 1536 (10th Cir. 1996); Restatement § 145(2) cmt. e
    (“[W]hen the primary purpose of the tort rule involved is to
    deter or punish misconduct, the place where the conduct
    occurred has peculiar significance.”).
    The fourth § 145 factor—the center of the relationship of
    the parties—also supports application of Arizona law. The
    relationship between the unnamed Drnek class members and
    their lawyers existed only in Arizona. The district court
    discounted this factor, reasoning that Milberg had only a
    minimal relationship with the unnamed class members. The
    choice-of-law test, however, looks for the state with the most
    significant relationship to the claim; the test thus focuses not
    on the magnitude of the relationship between the parties, but
    on the state where the relevant relationship existed and that
    state’s interest in the claim. See Bryant v. Silverman,
    
    703 P.2d 1190
    , 1195 (Ariz. 1985). Whether or not Milberg
    established a full attorney-client relationship with the
    unnamed class members, there was some relationship.
    Indeed, had the class remained certified and proceeded to a
    valid final judgment, the unnamed class members would
    BOBBITT V. MILBERG LLP                               11
    likely have been bound by the final judgment.                           That
    relationship was centered in Arizona.
    The three factors discussed above weigh strongly in favor
    of application of Arizona law, and when the place of injury
    and the conduct causing the injury coincide, “that state will
    usually be the state of the applicable law[,] . . . particularly
    . . . with respect to issues involving standards of conduct.”
    Restatement § 145(2) cmt. e. The district court rested its
    contrary conclusion largely on the third § 145 factor: the
    domicile of the parties. The court reasoned that the domiciles
    of the millions of plaintiffs scattered throughout the fifty
    states weighed strongly in favor of application of the laws of
    all fifty states. The Rule 23(b)(3) predominance question,
    however, asks whether common questions of law related to
    each class member’s individual claim predominate. To
    answer that question, we must determine the applicable law
    individually, rather than collectively. Each class member’s
    claim has one plaintiff, not millions of plaintiffs.
    Defendants are domiciled in Florida, New York,
    Washington, D.C., Virginia, New Jersey, and Arizona. The
    unnamed class members reside in all fifty states. Because
    there is no single state where a number of parties are
    “grouped,” this factor is entitled to little weight. See
    Restatement § 145(2) cmt. e.3
    3
    Although some Arizona cases placed extreme weight on the domicile
    of the plaintiff, reasoning that the state of domicile is the only state with
    an interest in ensuring the plaintiff’s recovery, Baroldy v. Ortho Pharm.
    Corp., 
    760 P.2d 574
    , 579 (Ariz. Ct. App. 1988); Ambrose ex rel. Ambrose
    v. Ill.-Cal. Express, 
    729 P.2d 331
    , 334 (Ariz. Ct. App. 1986) (citing
    Bryant, 
    703 P.2d 1190
    ), recent Arizona Supreme Court authority confirms
    that under the § 145 test, the domicile of the plaintiff is entitled to little
    weight when it bears little relation to the injury. Pounders v. Enserch
    12                  BOBBITT V. MILBERG LLP
    Each of the § 145 factors either supports application of
    Arizona law or is neutral. Arizona has the most significant
    relationship to these plaintiffs’ claims of attorney malpractice
    occurring in an Arizona court, and thus Arizona law applies
    to each individual class member’s claim. The district court
    abused its discretion by basing its class certification decision
    on an erroneous view of the proper choice of law. See
    
    Hinkson, 585 F.3d at 1261
    .4
    The order denying class certification is VACATED, and
    the matter is REMANDED for further proceedings. The
    parties shall bear their own respective costs on appeal.5
    E&C, Inc., 
    306 P.3d 9
    , 14 (Ariz. 2013); see also Garcia v. Gen. Motors
    Corp., 
    990 P.2d 1069
    , 1076 (Ariz. Ct. App. 1999) (clarifying that the
    victim’s domicile is important in personal injury cases).
    4
    Because we conclude that Arizona law applies to each individual class
    member’s claim, we need not resolve Laber’s alternative contention that
    Milberg is judicially estopped from denying that Arizona law applies.
    5
    We express no opinion on whether the other requirements of the Rule
    23 test are satisfied.