Alberts v. Aurora Behavioral Health Care , 193 Cal. Rptr. 3d 783 ( 2015 )


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  • Filed 10/16/15
    CERTIFIED FOR PUBLICATION
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    SECOND APPELLATE DISTRICT
    DIVISION ONE
    VALERIE ALBERTS et al.,                         B248748
    Plaintiffs and Appellants,              (Los Angeles County
    Super. Ct. No. BC419340)
    v.
    AURORA BEHAVIORAL HEALTH
    CARE et al.,
    Defendants and Respondents.
    APPEAL from an order of the Superior Court of Los Angeles County,
    Elizabeth A. White, Judge. Reversed.
    Schonbrun DeSimone Seplow Harris & Hoffman, Michael D. Seplow and Erin M.
    Pulaski for Plaintiffs and Appellants.
    Sidley Austin, Douglas R. Hart and Max C. Fischer for Defendants and
    Respondents.
    ——————————
    Valerie Alberts and others (hereafter plaintiffs), formerly employed as members of
    the nursing staff at two acute care psychiatric hospitals owned and operated by Aurora
    Behavioral Health Care (Aurora), filed the instant wage and hour lawsuit alleging, on
    behalf of themselves and a class of similarly situated individuals, that Aurora’s uniform
    practices and de facto policies routinely denied nursing staff employees meal and rest
    periods required by California law. Plaintiffs allege Aurora intentionally understaffed its
    hospitals while simultaneously requiring nursing staff to remain at their posts and
    monitoring patients unless relieved, resulting in class members being denied meal and
    rest breaks (and failing to pay additional compensation required by California law).
    Plaintiffs further allege that Aurora required nursing staff members to complete
    outstanding assignments before leaving at the end of a shift, but actively discouraged or
    denied requests for overtime compensation and instructed employees to finish
    outstanding tasks off-the-clock. Plaintiffs proposed five subclasses: the meal break
    subclass, the rest break subclass, the overtime subclass, and two derivative subclasses for
    waiting time penalties owed and inaccurate wage statements.
    The trial court denied plaintiffs’ motion for class certification, finding a lack of
    “commonality” among the subclasses. We conclude the court relied on improper criteria
    and erroneous legal assumptions in denying certification. However, while we believe
    that the plaintiffs’ theory of liability presents a common question well-suited for class
    treatment, it is unclear what effect, if any, individual issues, such as damages, will have
    on the manageability of the case. As our Supreme Court has cautioned, “Trial courts
    must pay careful attention to manageability when deciding whether to certify a class
    action. In considering whether a class action is a superior device for resolving a
    controversy, the manageability of individual issues is just as important as the existence of
    common questions uniting the proposed class. If the court makes a reasoned, informed
    decision about manageability at the certification stage, the litigants can plan accordingly
    and the court will have less need to intervene later to control the proceedings.” (Duran v.
    U.S. Bank National Assn. (2014) 
    59 Cal. 4th 1
    , 29.) Here, the parties and the trial court
    2
    focused almost exclusively on the existence of common issues, to the exclusion of the
    issue of manageability. Accordingly, we reverse and remand the matter for further
    consideration consistent with our holding.
    FACTUAL AND PROCEDURAL BACKGROUND
    Defendants and respondents Aurora Las Encinas Hospital (Las Encinas)and
    Aurora Charter Oak Hospital (Charter Oak) are psychiatric hospitals owned and operated
    by defendant and respondent Aurora (collectively, the Hospital). The Hospital provides
    services at varying levels of care––inpatient, partial hospitalization and intensive
    outpatient programs––to patients suffering from various psychiatric illnesses, chemical
    dependency or both (co-occurring disorders).
    This action was initiated in August 2009. The operative fourth amended
    complaint alleges that Valerie Alberts, Rudolph Breilein, Robin Motola, Cyndi Lane,
    Shelby Edison and Aviance Contreras are members of a putative class of current and
    former nonexempt employees of the Hospital who, from August 6, 2005 to the present
    (class period), provided patient care and held the following positions on the Hospital’s
    nursing staff: Registered Nurse (RN), Licensed Vocational Nurse (LVN), Licensed
    Psychiatric Technician (LPT), and Mental Health Worker (also known as Behavior
    Health Specialist or Psychiatric Assistant, MHW). The complaint alleges unpaid
    overtime, failure to provide meal and rest periods, and failure to pay waiting time
    penalties, and failure to provide accurate itemized statements (Lab. Code,1 §§ 1194,
    226.7, 203, 226), among other statutory violations, and unfair competition based on these
    violations (Bus. & Prof. Code, § 17200).
    Plaintiffs sought class certification on behalf of approximately 1,053 putative class
    members. Plaintiffs proposed that the class be split into two primary subclasses, divided
    between individuals employed by Las Encinas and by Charter Oak. Those subclasses
    would in turn be divided into six additional subclasses, five of which are at issue here:
    1   All further statutory references are to the Labor Code unless otherwise indicated.
    3
    (1) a rest break subclass, (2) a meal break subclass, (3) an overtime subclass, (4) a
    waiting time subclass and (5) an itemized statement subclass.2 Plaintiffs argued the
    central question in establishing class-wide liability was whether class members were
    subjected to common practices and policies which denied them meal and rest breaks and
    overtime payments.
    In support of the class certification motion, plaintiffs submitted declarations by
    plaintiffs’ counsel, documentation and declarations from 25 (mostly) former employees
    of Las Encinas and Charter Oak, and excerpts from the depositions of Cheryl Cook,
    Director of Nursing (DON) at Las Encinas and the designated most knowledgeable
    witness regarding the Hospital policies at issue, Evaldo Casas, Las Encinas’s former
    staffing coordinator, and Brenda Nocon, Charter Oak’s DON. Plaintiffs also submitted
    two expert witness declarations. The first, from Dr. Brian Kriegler reflected his:
    (1) development of a sampling design to select representative samples of both potential
    class members and timekeeping and payroll data for Las Encinas, (2) analysis of Hospital
    timekeeping and payroll data for sample class members, and (3) analysis of data provided
    as a result of his first two tasks in light of plaintiffs’ allegations regarding class
    certification. The second expert declaration, by long-term psychiatric nurse Denise
    Rounds, related to standard practices in acute care psychiatric facilities, and contained
    Rounds’ analysis of the Hospital’s administration of its nursing staff, with a focus on the
    impact of staffing levels on the provision of meal and rest breaks to nursing staff
    employees, off-the-clock work and patient care.
    The Hospital opposed certification. The Hospital argued that it maintained lawful
    meal and rest break and policies, that employees were paid for all hours worked, and that
    plaintiffs had failed to proffer substantial credible evidence that an informal policy of
    failing to provide employees meal and rest breaks or to perform off-the-clock work could
    2    A sixth proposed subclass, seeking unreimbursed business expenses, is no longer
    at issue.
    4
    be proved on a class-wide basis with common evidence. The Hospital asserted that,
    absent substantial evidence that its allegedly unlawful practices and procedures were
    susceptible to class-wide proof, liability determinations necessarily hinged on individual
    determinations as to why meal or rest breaks were missed, and whether the Hospital
    knew or should have known an employee was working off-the-clock.
    In support of its opposition, the Hospital presented, among other things,
    documentation and the declarations of 34 (mostly) current nursing staff employees, as
    well as Charter Oak’s Chief Operating Officer, DON Cook and Hospital’s counsel, with
    attached excerpts from the depositions of Rounds, DON Cook, Casas, Kriegler and
    certain members of the putative class. The Hospital also submitted a declaration by its
    expert statistician Robert Crandall, containing his assessment of Kriegler’s report, and an
    analysis of “whether the available data is consistent with the hypothesis that systematic
    practices resulted in employees systematically not being provided meal breaks.” Finally,
    the Hospital lodged numerous evidentiary objections to (1) plaintiffs’ and other
    witnesses’ declarations, (2) the declaration of one of plaintiffs’ attorneys, (3) and the
    Kriegler and Round declarations.
    Plaintiffs in turn, filed a reply brief, an additional declaration by counsel, with
    documents, discovery materials and excerpts from numerous depositions attached, and an
    extensive supplemental declaration by Kriegler. Plaintiffs also responded to the
    Hospital’s evidentiary objections, and lodged objections of their own against the
    Hospital’s witness and employee declarations and the Crandall declaration. Both sides
    submitted briefs addressing then-recent changes in the law regarding class certification.
    The Hospital also filed responses to plaintiffs’ evidentiary objections, lodged additional
    objections of its own and moved to strike Kriegler’s supplemental declaration and
    portions of the reply brief.
    On April 10, 2013, following oral argument, the trial court adopted its tentative
    ruling and denied class certification on the ground that each proposed subclass lacked
    “commonality.” The trial court found the motion to strike moot. It also declined to
    5
    address the parties’ evidentiary objections, which it deemed irrelevant to the bases for its
    denial of certification. Plaintiffs filed this timely appeal. (Linder v. Thrifty Oil Co.
    (2000) 
    23 Cal. 4th 429
    , 435 (Linder) [order denying motion for class certification is
    appealable].)
    DISCUSSION
    I.     Applicable class action principles and the standard of review
    A.       Standards for class certification
    “Drawing on the language of Code of Civil Procedure section 382 and federal
    precedent,” our Supreme Court has articulated three requirements for the certification of
    a class. Specifically, “[t]he party advocating class treatment must demonstrate [1] the
    existence of an ascertainable and sufficiently numerous class, [2] a well-defined
    community of interest, and [3] substantial benefits from certification that render
    proceeding as a class superior to the alternatives.” (Brinker Restaurant Corp. v. Superior
    Court (2012) 
    53 Cal. 4th 1004
    , 1021 (Brinker).)
    The second factor, the “community of interest” factor, is comprised of three
    subfactors: “‘“(1) predominant common questions of law or fact; (2) class
    representatives with claims or defenses typical of the class; and (3) class representatives
    who can adequately represent the class.”’” 
    (Brinker, supra
    , 53 Cal.4th at p. 1021.) In
    deciding whether the common questions “predominate,” courts must do three things:
    “identify the common and individual issues”; “consider the manageability of those
    issues”; and “taking into account the available management tools, weigh the common
    against the individual issues to determine which of them predominate.” (Dunbar v.
    Albertson’s, Inc. (2006) 
    141 Cal. App. 4th 1422
    , 1432.)
    “A motion to certify a class action is not a trial on the merits, nor does it function
    as a motion for summary judgment.” (Carabini v. Superior Court (1994) 
    26 Cal. App. 4th 239
    , 245.) “A class certification motion is not a license for a free-floating inquiry into
    the validity of the complaint’s allegations; rather, resolution of disputes over the merits of
    a case generally must be postponed until after class certification has been denied.”
    6
    
    (Brinker, supra
    , 53 Cal.4th at p. 1023.) Nor may a court deny certification on the ground
    that class members must individually prove their damages. (Id. at p. 1022.)
    Class certification “‘“is essentially a procedural [question] that does not ask
    whether an action is legally or factually meritorious.”’” 
    (Brinker, supra
    , 53 Cal.4th at
    p. 1023; Sav-On Drug Stores, Inc. v. Superior Court (2004) 
    34 Cal. 4th 319
    , 326 (Sav-
    On); Jaimez v. DAIOHS USA, Inc. (2010) 
    181 Cal. App. 4th 1286
    , 1298 (Jaimez).)
    Although a trial court may consider the merits of a proposed class action, it may do so to
    only determine whether factual or legal questions common to all class members will
    likely predominate in driving the litigation, thus making the action amenable to class
    treatment. (Brinker, at pp. 1021, 1025.) The trial court should resolve legal or factual
    issues only if doing so is “necessary to a determination whether class certification is
    proper.” (Id. at p. 1023, italics omitted.) “As the focus in a certification dispute is on
    what type of questions—common or individual—are likely to arise in the action, rather
    than on the merits of the case [citations], in determining whether there is substantial
    evidence to support a trial court’s certification order, [the court] consider[s] whether the
    theory of recovery advanced by the proponents of certification is, as an analytical matter,
    likely to prove amenable to class treatment.’” (Sav-On, at p. 327; Ghazaryan v. Diva
    Limousine, Ltd. (2008) 
    169 Cal. App. 4th 1524
    , 1531.)
    “The ‘ultimate question’ the element of predominance presents is whether ‘the
    issues which may be jointly tried, when compared with those requiring separate
    adjudication, are so numerous or substantial that the maintenance of a class action would
    be advantageous to the judicial process and to the litigants.’ [Citations.] . . . A court must
    examine the allegations of the complaint and supporting declarations [citation] and
    consider whether the legal and factual issues they present are such that their resolution in
    a single class proceeding would be both desirable and feasible. ‘As a general rule if the
    defendant’s liability can be determined by facts common to all members of the class, a
    class will be certified even if the members must individually prove their damages.’”
    
    (Brinker, supra
    , 53 Cal.4th at pp. 1021–1022, fn. omitted.) “[The court] must determine
    7
    whether the elements necessary to establish liability are susceptible of common proof or,
    if not, whether there are ways to manage effectively proof of any elements that may
    require individualized evidence.” (Id. at p. 1024.)
    B.     Standard of review
    A ruling on class certification is reviewed for abuse of discretion. 
    (Brinker, supra
    ,
    53 Cal.4th at p. 1022; 
    Sav-On, supra
    , 34 Cal.4th at p. 326.) “‘Because trial courts are
    ideally situated to evaluate the efficiencies and practicalities of permitting group action,
    they are afforded great discretion in granting or denying certification.’” (Sav-On, at
    p. 326.) “A certification order generally will not be disturbed unless it (1) it is
    unsupported by substantial evidence, (2) it rests on improper criteria, or (3) it rests on
    erroneous legal assumptions.” (Brinker, at p. 1022; 
    Linder, supra
    , 23 Cal.4th at pp. 435–
    436.)
    An appeal from an order denying class certification presents an exception to
    customary appellate practice by which we review only the trial court’s ruling, not its
    rationale. If the trial court failed to conduct the correct legal analysis in deciding not to
    certify a class action, “‘an appellate court is required to reverse an order denying class
    certification . . . “even though there may be substantial evidence to support the court’s
    order.”’” (Bartold v. Glendale Federal Bank (2000) 
    81 Cal. App. 4th 816
    , 828–829.) In
    short, we must “‘consider only the reasons cited by the trial court for the denial, and
    ignore other reasons that might support denial.’ [Citation.]” 
    (Jaimez, supra
    , 181
    Cal.App.4th at pp. 1297–1298; accord Ramirez v. Balboa Thrift & Loan (2013) 
    215 Cal. App. 4th 765
    , 776.)
    II.     Pertinent wage and hour requirements
    “We begin by identifying the principal legal issues and examining the substantive
    law that will govern. In doing so, we do not seek to resolve those issues. Rather, the
    question at this stage is whether the operative legal principles, as applied to the facts of
    the case, render the claims susceptible to resolution on a common basis. [Citations.]”
    (Ayala v. Antelope Valley Newspapers, Inc. (2014) 
    59 Cal. 4th 522
    , 530 (Ayala).) Here,
    8
    as in Brinker, in which the California Supreme Court clarified the scope of an employer’s
    meal and rest break obligations and explained the criteria applied to assess motions to
    certify wage and hour claims, only a single element of class suitability, the community of
    interest question––predominance of common questions––is in dispute. (See 
    Brinker, supra
    , 53 Cal.4th at pp. 1021–1022.)
    Plaintiffs sought certification of three subclasses of claims: violation of meal
    period provisions, violation of rest period provisions and failure to pay compensation for
    missed breaks and overtime.3 California’s meal and rest break rules, and the rules
    governing overtime pay, are contained in wage orders issued by the Industrial Welfare
    Commission “on an industry-by-industry basis.” (Bradley v. Networkers, Internat., LLC
    (2012) 
    211 Cal. App. 4th 1129
    , 1149 (Bradley); see 
    Brinker, supra
    , 53 Cal.4th at
    pp. 1026–1027.) The putative class members in this case are covered by wage order
    No. 5-2001, which applies to healthcare workers in public facilities, including hospitals.
    (Cal. Code Regs., tit. 8, § 11050, subd. (2)(P)(4).) As set forth below, federal and state
    regulations require acute psychiatric care facilities to have adequate staff to serve patient
    needs. At a minimum, an RN must be on duty at all times. The Hospital requires every
    unit to have at least two staff members on duty, at least one of whom is an RN. The
    central legal issues are whether the Hospital’s alleged practice and policy of (1)
    purposefully understaffing units while also requiring nursing staff to remain on duty
    unless relieved resulted in class wide denial of meal and/or rest breaks, and (2) altering
    timekeeping records, requiring staff to perform work off-the-clock, and denying or
    discouraging employees from seeking compensation owed resulted in class-wide denial
    of overtime pay.
    Pertinent meal period provisions require that “[n]o employer shall employ any
    person for a work period of more than five (5) hours without a meal period of not less
    3The proposed subclasses for waiting time penalties and accurate itemized wage
    statements are derivative of these three subclasses.
    9
    than 30 minutes . . . .” (Cal. Code Regs., tit. 8, § 11050, subd. 11(A).) “[A]n employer’s
    obligation is to provide a first meal period after no more than five hours of work and a
    second meal period after no more than 10 hours of work.” 
    (Brinker, supra
    , 53 Cal.4th at
    1049.) To qualify as a lawful meal break under California law, an employee must be
    relieved of all duties for an uninterrupted 30 minutes. (Id. at p. 1040; Cal. Code Regs.,
    tit. 8, § 11050, subd. (A).) If an employer fails to comply with these requirements it must
    pay one hour of pay at the employee’s regular rate “for each workday that the meal
    period is not provided.” (Cal. Code Regs., tit. 8, §11050, subd. 11(B); § 226.7, subd. (c).)
    The wage order’s rest period provisions require employers to provide “10 minutes
    rest for shifts from three and one-half to six hours in length, 20 minutes for shifts more
    than six hours up to 10 hours, 30 minutes for shifts of more than 10 hours up to 14 hours,
    and so on.” 
    (Brinker, supra
    , 53 Cal.4th at p. 1029; see Cal. Code Regs., tit. 8, § 11050,
    subd. 12(A).) As with meal breaks, employers are required to pay one hour of
    compensation at the regular rate “for each workday that the rest period is not provided.”
    (Cal. Code Regs., tit. 8, § 11050, subd. 12(B); § 226.7, subd. (c).)
    Finally, California’s overtime provisions require, in part, that each employee
    receive one and a half times their regular rate of pay for all hours worked in excess of 40
    hours in a workweek, one and a half times their regular pay for all hours worked in
    excess of eight hours in a single day, and double their regular rate of pay for all hours
    worked in excess of 12 hours in a single day. (Cal. Code Regs., tit. 8, § 11050,
    subd. (3)(A)(1)(a) & (b).) Labor Code section 1194 provides employees a cause of action
    for unpaid overtime against their employer. (See Martinez v. Combs (2010) 
    49 Cal. 4th 35
    , 49–50.)
    III.   The trial court erred in denying plaintiffs’ motion for certification of the meal
    and rest break subclasses
    A.     Staffing at Charter Oak and Las Encinas: the backdrop
    Charter Oak and Las Encinas provide inpatient, partial hospitalization and
    intensive outpatient programs to treat adults and adolescents with psychiatric illnesses
    10
    and chemical dependency problems. Each facility is divided into units according to the
    type of patient and degree of intensity of treatment required. The Hospital is licensed and
    subject to inspection by the State of California, Department of Public Health. Residential
    treatment is licensed and certified by the California Department of Alcohol and Drug
    programs. Staffing for acute care facilities is governed by federal and state regulations,
    which require the Hospital to have enough qualified staff to meet patients’ needs. (See
    42 C.F.R. § 482.23(b) [acute psychiatric care facility must “have adequate numbers
    of . . . personnel to provide nursing care to all patients, as needed”]; Cal. Code Regs., tit.
    22, §§ 71213, subd. (f) [hospital is required to have “staffing based on assessment of
    patient needs”], 71215, subds. (c)(2) & (d) [there must be “[s]ufficient registered nursing
    personnel” in order to provide “direct nursing care based on patient need,” and each unit
    must have at least one RN on duty at all times].)4
    The Hospital maintains a strict policy requiring that every unit have at least two
    staff members on duty at all times, at least one of whom is a registered nurse. Staffing
    needs fluctuate, depending on the number of patients in a given unit (the unit’s “census”)
    and the level of care a patient requires (the patient’s “acuity”). For purposes of staff
    scheduling, patient acuity is measured on a scale of 1 to 4, expressed as a function of the
    number of “patient care hours” a patient requires. A level 1 patient demands little
    staffing attention while, at the extreme end, a level 4 patient––requiring that a care
    provider be within arm’s reach of the patient at all times to ensure the safety of the
    patient or others––requires eight patient care hours per eight-hour shift, a 1:1 staffing
    ratio.
    Charter Oak applies a mathematical formula (census multiplied by acuity) to
    determine the number of staff required to adequately staff each unit for each of three
    shifts, ranging from the lowest to highest acuity levels: (1) 1.10 patient care hours,
    Adequate staffing is also a condition of the Hospital’s participation in Medicare.
    4
    (42 C.F.R. § 482.23.)
    11
    (2) 1.50 patient care hours, (3) 2.0 patient care hours and (4) 8.0 patient care hours. At
    Las Encinas, staffing needs are determined using a 1:6 ratio of licensed staff to patients.
    For the first six patients the licensed staff must be an RN, and an additional RN or LVN
    is added for each additional group of up to six patients. Thus, a unit with 12 patients is to
    be staffed by at least one RN, plus another RN or LVN, a unit with 14 patients is staffed
    by at least one RN plus another two RNs or LVN’s. MHW’s are added as required based
    on unit census and patient acuity.
    Staffing at both facilities requires both advance planning and the flexibility to
    make rapid adjustments Staffing needs can fluctuate rapidly and radically, depending on
    changes in census (patients admitted or discharged) and/or patient acuity levels (which
    may shift quickly, especially among patients treated for psychiatric disorders, e.g., a
    previously low-acuity patient suddenly threatens bodily injury, thus necessitating 1:1
    care). Despite advance planning, staffing levels are dynamic and may require immediate
    adjustment if a unit finds itself with too many staff (due to discharges) or too few (due to
    a shift in acuity necessitating that staff be pulled from elsewhere to attend to the patient).
    Because the Hospital provides treatment to patients suffering from various
    psychiatric disorders there is an ever-present risk patients will act out or become violent.5
    Accordingly, the Hospital has stressed that patient safety is its “number one” priority, and
    management regularly and repeatedly instructs employees that it is critical that nursing
    staff remain vigilant and that patients be constantly monitored. To ensure patient safety
    and maintain adequate staffing levels, no member of the nursing staff is permitted to
    leave his or her unit for any break unless he or she is relieved. The Hospital has
    repeatedly stressed to nursing staff that this is a “zero tolerance issue” and employees
    who violate the policy are subject to discipline. An RN may be relieved only by another
    5According to declarations submitted by plaintiffs in support of their motion,
    there have been a number of dangerous incidents at the Hospital, including patient
    escape, deaths, suicide, rape and patient assaults on staff or other patients.
    12
    RN. An LVN may be relieved by an LVN or an RN; MHW’s may be relieved by any
    member of the patient care staff. RN’s and LVN’s have independent obligations to
    provide patient care at a level required to maintain their professional licenses. An RN
    who abandons patients without being properly relieved of duty, places his or her
    professional license in jeopardy.6 If a conflict arises between patient needs and an
    employee’s right to take a break, patient needs must always prevail.
    Hospital policy requires that members of the nursing staff ensure that their duties
    are covered while away from their units. The reason for this policy is obvious: staffing
    levels depend on the number of nursing staff workers required to address patient care
    needs, so if an assigned staff member takes a break, another appropriate patient care
    worker (e.g., a RN for a RN) must step in to ensure that patient care needs are met. In
    November 2005, Las Encinas began scheduling an RN to “float” among units to provide
    meal break relief for members of the nursing staff. Hospital policy also provides for 10-
    minute rest breaks, but neither Las Encinas nor Charter Oak schedules any staff to
    provide relief for rest breaks. Employees must arrange for any rest breaks on their own.
    Plaintiffs claim that both Las Encinas and Charter Oak are chronically
    understaffed, and that the Hospital schedules additional staff for break relief only
    sporadically, thereby placing tremendous pressure on employees not to leave their units,
    6 RN’s are licensed by the State of California, and must conform with Board of
    Nursing regulations and standards of competency. Failure to do so may put an RN’s
    license at risk. (Cal. Code Regs., tit. 16 § 1443.5.) On a related note, the Code of Ethics
    for Nurses provides that the nurses “primary commitment is to the patient” and that the
    nurse “promotes, advocates for, and strives to protect the health, safety, and rights of the
    patient.” Guide to the Code of Ethics for Nurses: Interpretation and Application
    (American Nurses Association, 2010 Re-Issue), pp. 11, 23, available at
    [as of September 23,
    2015]. (The 2015 version of the Guide can be viewed at
    http://www.nursingworld.org/DocumentVault/Ethics_1/Code-of-Ethics-for-Nurses.html.)
    In addition, a nurse is “responsible and accountable for individual nursing practice and
    determines the appropriate delegation of tasks consistent with the nurse’s obligation to
    provide optimum patient care.” (Id. at p. 41, italics added.)
    13
    even when they are due and need a break. If no one is scheduled to provide break relief,
    staff members are generally forced to rely on coworkers to cover for them in order to take
    a break.7 Often, this means one person is left to cover the job duties of two, while the
    other staff member runs out to grab food. In violation of staffing ratios, the person
    covering has twice an acceptable patient load, creating a potentially unsafe condition.
    Even when relief staff is scheduled, plaintiffs argue that such relief is routinely
    unavailable because the floater is called away to perform other duties, or has insufficient
    time in his or her own schedule to enable staff members to take a full 30 minute break.8
    The Hospital has a “Timekeeping Adjustment Form (TAF, or “kronos”) that
    employees may use to request compensation for missed meal breaks or overtime.
    Sometime after this lawsuit was filed, Las Encinas modified its TAF to permit employees
    to seek compensation for missed rest breaks. However, the Hospital conceded in
    discovery responses that its payroll system does not differentiate between meal and rest
    breaks, and it cannot confirm that any employee has ever been paid for a missed rest
    breaks.
    B.     Plaintiff’s allegations regarding the denial of meal and rest breaks
    Against this backdrop, plaintiffs allege that, in order to reduce expenses and boost
    profits, the Hospital maintains a policy and engages in an intentional business practice to
    provide only skeletal staffing resulting in units being chronically understaffed, and fails
    to provide sufficient relief staff to enable employees to take breaks to which they are
    lawfully entitled. This policy and practice results in class members effectively being
    forced to remain on duty and routinely being denied legally compliant meal and rest
    7In addition to the floating break reliever, relief coverage may be provided by
    nursing staff freed from other units (due to a decrease in census), or a nursing supervisor.
    8 During a typical eight-hour shift an RN cannot provide break relief for all staff
    both because there simply is not enough time in his or her workday, and because of the
    time occupied by travel between units (e.g., the Las Encinas campus occupies over 20
    acres, and some units are quite distant from others).
    14
    breaks or compensation therefor, and endangers patients and staff. Plaintiffs further
    allege that, in order to reduce expenses and increase profits while also meeting patient
    needs, maintaining appropriate staffing ratios and ensuring timely completion of required
    documents and paperwork, Hospital management regularly directs them to perform duties
    off-the-clock, while also actively discouraging employees from seeking or refusing to pay
    overtime wages.
    Plaintiffs argued that the Hospital has common practices and policies which
    violate the California law requiring that employees be permitted to take a 30-minute
    uninterrupted meal break, relieved of all duties, for each five hours of work, and be
    permitted 10-minute rest breaks after the second and sixth hours of work in an eight-hour
    shift. In plaintiffs’ view, the Hospital was intentionally and chronically understaffed, a
    practice which routinely denied nursing staff the opportunity to exercise the right to an
    uninterrupted 30-minute meal break within the first five hours of a shift. For purposes of
    class certification, the question is whether this theory of recovery can be “proved (or
    disproved) through common facts and law.” 
    (Brinkley, supra
    , 211 Cal.App.4th at p.
    1143.)
    C.       The trial court’s reasons for denial of class certification
    On appeal, we must “‘consider only the reasons cited . . . for the denial.’”
    
    (Jaimez, supra
    , 181 Cal.App.4th at p. 1297.) The trial court provided several reasons for
    its conclusion that plaintiffs’ meal and rest break claims could not be determined through
    common proof.9
    First, it found that the “facial legality” of the Hospital’s written policies regarding
    meal and rest breaks in its employee handbook was (virtually) undisputed. Accordingly,
    it required plaintiffs to demonstrate the existence of a “systematic practice by supervisors
    and managers of denying employees the benefits afforded to them” by those policies.
    Plaintiffs failed to satisfy this requirement because there was “too much variance between
    9   The court did not assess the meal break and rest break claims separately.
    15
    the declarations and deposition responses of putative class members to indicate [the
    Hospital had] a universal practice of denying employees their meal and rest breaks.”
    Second, the court concluded that, even if plaintiffs had shown that employees had
    missed breaks, the evidence also showed that their reasons for doing so “varied, ranging
    from understaffing and coercive hospital policy . . . to simple choice.” The court found a
    similar evidentiary variation with regard to whether nursing staff were compensated for
    missed breaks, or dissuaded by supervisors from seeking such compensation.
    Third, although “both Plaintiffs and [the Hospital] presented statistical evidence as
    to the existence (or lack thereof) of a systematic policy discouraging meal and rest
    breaks,” the trial court found it “telling that Plaintiffs’ statistical evidence [did] not
    account for the possibility that some (or most) of the employees voluntarily worked
    through or delayed their breaks.” “Ultimately,” the crux of the court’s denial of
    certification was its overarching conclusion that plaintiffs’ motion relied too heavily “on
    anecdotal evidence to prove the existence of a systematic violation of overtime and break
    laws.”
    As discussed below, each of these reasons is without merit.
    1.     Plaintiffs disputed the facial legality of the Hospital’s written
    policy
    The trial court found that because the “facial legality” of the Hospital’s written
    policy regarding meal breaks was undisputed, plaintiffs were required––but had failed––
    to demonstrate the existence of a “universal practice” by management to deny nursing
    staff the benefit of that policy. The trial court’s conclusion rests on a flawed premise.
    Plaintiffs do in fact dispute the “facial” legality of the Hospital’s break policies.
    The meal break policy––which applies to all putative class members––states that
    employees are entitled to “an unpaid thirty-minute break for a meal period,
    approximately half way between the beginning and ending of the employee’s shift.”
    California law, however, requires that a meal break be provided during the first five hours
    of an employee’s shift. (See 
    Brinker, supra
    , 53 Cal.4th at pp. 1048–1049.) Plaintiffs
    16
    submitted substantial evidence that, on those occasions when nursing staff were able to
    take a meal break, the break was almost always not taken during the first five hours of
    their shift.
    California law also requires that an employee be entitled to take a second meal
    break for shifts that exceed 10 hours. 
    (Brinker, supra
    , 53 Cal.4th at p. 1049.) Plaintiffs
    submitted evidence showing that Hospital policy does not provide for a second meal
    break, and staff are routinely not provided a second 30-minute meal break in shifts over
    10 hours. For example, although the vast majority of the 35 employee declarations
    submitted by the Hospital contain testimony that the employee sometimes worked
    overtime, none contains testimony that the employee received a second meal period
    during shifts that exceeded 10 hours. Further, only one of the Hospital’s 35 employee
    declarants was paid a meal period premium when the employee was unable to take a meal
    break within the first five hours of a shift. According to plaintiffs’ statistical expert,
    approximately one-third of the meal breaks recorded were not provided within the first
    five hours of an employee’s shift.
    The Hospital’s rest break policy is similarly noncompliant; it does not require that
    rest breaks be provided for each four hours worked, or a “major fraction” thereof, and
    does not provide for a third rest break in shifts exceeding 10 hours. (See 
    Brinker, supra
    ,
    53 Cal.4th at pp. 1032–1033 [finding that plaintiffs’ claim that employer adopted a
    uniform rest break policy that failed to give full effect to the “major fraction” language of
    the applicable Wage Order was the sort of claim “routinely, and properly, found suitable
    for class treatment”].) The witness declarations submitted by the Hospital do not
    undermine plaintiffs’ central theories of recovery. (See 
    Jaimez, supra
    , 181 Cal.App.4th
    at pp. 1300–1301 [concluding trial court focused improperly on evaluating conflicting
    issues of fact raised by defendant’s declarations, rather than evaluating whether plaintiff’s
    theory of recovery was likely to prove amenable to class treatment].)
    In short, the trial court’s underlying premise that the parties agreed the Hospital’s
    written break policies were legally compliant was incorrect. Because denial of class
    17
    certification rested, in part, on that flawed premise, reversal is in order. However, as
    discussed below, there are more substantive reasons for reversal.
    2.      Evidence that some employees took breaks is not a basis for denial
    of class certification
    Even if we assume (as the trial court did) that the Hospital’s written meal and rest
    break policy is “facially legal” and its facial legality is undisputed by plaintiffs, the mere
    existence of a lawful break policy will not defeat class certification in the face of actual
    contravening policies and practices that, as a practical matter, undermine the written
    policy and do not permit breaks. (See, e.g., 
    Brinker, supra
    , 53 Cal.4th at p. 1040 [an
    “employer may not undermine a formal policy of providing meal breaks by pressuring
    employees to perform their duties in ways that omit breaks”]; 
    Jaimez, supra
    , 181
    Cal.App.4th at p. 1303; [Ibid.; Boyd v. Bank of America Corp. (2014) 
    300 F.R.D. 431
    ,
    442); cf. Cicairos v. Summit Logistics, Inc. (2005) 
    133 Cal. App. 4th 949
    , 963 [reversing
    summary judgment for employer based, in part, on evidence that truck drivers “felt
    pressured” not to take rest breaks, and management knew some drivers were not taking
    breaks].)
    Nor was the court correct to require, at the certification stage, that plaintiffs
    demonstrate a “universal practice” on the part of management to deny nursing staff the
    benefit of the Hospital’s written break policy.10 The trial court failed to analyze the
    proper question––whether plaintiffs had articulated a theory susceptible to common
    resolution. (Benton v. Telecom Network Specialists, Inc. (2013) 
    220 Cal. App. 4th 701
    ,
    726 (Benton) [“the proper inquiry is ‘whether the theory of recovery advanced by the
    10 The Hospital argued that declarations from its witnesses and some of plaintiffs’
    witnesses showed that employees––including putative class members––understood its
    break policy and were able to take breaks as desired. It also argued that, although some
    of plaintiffs’ declarants did not take breaks, the evidence shows they did so for a variety
    of reasons such as personal preference, or because they didn’t feel a need for or forgot to
    take a break.
    18
    plaintiff is likely to prove amendable to class treatment’”]; 
    Sav-On, supra
    , 34 Cal.4th at
    p. 327.) Instead, it asked whether the evidence was sufficient to establish plaintiffs’
    ultimate right to recovery. At the certification stage, plaintiffs need only establish that
    the question of whether the Hospital’s practices or procedures resulted in the denial of
    lawful breaks can be determined on a class-wide basis. Instead of undertaking this
    analysis, the trial court held that plaintiffs had to prove class members missed all breaks
    to which they were entitled. This is an incorrect standard for certification that, as other
    courts have also found, if correct, would prevent certification of virtually any wage and
    hour class. (See, e.g., Bufil v. Dollar Financial Group, Inc. (2008) 
    162 Cal. App. 4th 1193
    , 1207 (Bufil) [“a class is not inappropriate merely because each member at some
    point may be required to make an individual showing as to eligibility for recovery”]);
    Benton, at pp. 725–728 [reversing order denying certification despite evidence that some
    putative class members received breaks].)
    The trial court also improperly denied class certification on the basis that plaintiffs
    “rel[ied] too much on anecdotal evidence to prove the existence of systemic violation[s]”
    of wage and hour laws. First, much of the evidence on which plaintiffs rely is not merely
    anecdotal. Plaintiffs relied on the Hospital’s own practices and policies, schedules and
    internal correspondence. Plaintiffs also relied on the findings of an independent survey
    undertaken in September 2008 by the Department of Health, which revealed that, on the
    day of the inspection, the Hospital failed to provide requisite staff-to-patient ratios, and
    failed to ensure that staff assigned to monitor patients on a 1:1 basis had no other job
    duties in order to ensure a safe and secure patient environment. That survey also
    concluded that staff-to-patient ratios were exceeded when staff members provided break
    relief for coworkers by assuming their job duties. In addition, plaintiffs relied on
    testimony by DON’s Cook and Nocon who were aware and instructed staffing
    coordinators and supervisors to require that staff clocked out and in for meal breaks
    (whether or not taken) and return immediately to work, and that the Hospital’s staffing
    coordinator was authorized to alter time cards to avoid paying meal period premiums, and
    19
    routinely did so. Plaintiffs also presented a declaration from their staffing expert, an
    experienced psychiatric RN, Denise Rounds. Rounds did not take issue with the manner
    in which the Hospital made its staffing projections, only its failure to adhere to those
    projections.11
    Furthermore, both sides presented some anecdotal evidence. Plaintiffs presented
    the declarations of 25 witnesses who claimed they were rarely or never authorized to take
    rest and meal breaks due to understaffing or the Hospital’s failure to provide break
    coverage, and were routinely forced to work off-the-clock or overtime without
    compensation. In rebuttal, the Hospital submitted 34 declarations by witnesses who said
    they were routinely authorized to take meal and rest breaks for which break coverage was
    provided, regularly took breaks (which they had not chosen to waive or delay) on time,
    understood the process to obtain and received pay for missed breaks and overtime, and
    were not forced to work off-the-clock.
    The Hospital argued that, to the extent witnesses missed breaks, they did so for a
    variety of reasons, not all of which depended on workplace demands. The Hospital also
    argued that, when pressed at depositions, a number of plaintiffs’ witnesses disavowed
    parts of their declarations, confirming that they had in fact taken meal and rest breaks.
    The Hospital misstates the record. There is no question that some of plaintiffs’ declarants
    testified they occasionally had an opportunity to take breaks. However, the fact that
    some employees may have taken some breaks is an issue that goes to damages. It is not a
    proper basis on which to deny certification. “‘[A] class action,’” as clarified by our
    Supreme Court, “‘is not inappropriate simply because each member of the class may at
    some point be required to make an individual showing as to his or her eligibility for
    11  The Hospital asserts that Rounds’ conclusions were not formed on the basis of
    reliable methodology, were based on an analysis only of evidence regarding Las Encinas,
    and were formed before conducting her actual analysis of staffing materials. These
    assertions find no support in the record and were not cited by the trial court as a basis for
    its rejection of Rounds’ declaration.
    20
    recovery or as to the amount of his or her damages.’” (
    Sav-On, supra
    , 34 Cal.4th at
    p. 333.) And, as 
    Jaimez, supra
    , 
    181 Cal. App. 4th 1286
    explained more recently, “The fact
    that individual [workers] may have different damages does not require denial of the class
    certification motion.” (Italics omitted.) “‘That calculation of individual damages may at
    some point be required does not foreclose the possibility of taking common evidence on
    the misclassification questions.’ [Citation.] In sum, ‘individualized proof of damages is
    not per se an obstacle to class treatment. . . .’ [Citation.] It is no bar to certification ‘that
    individual class members may ultimately need to itemize their damages.’” (Id. at
    pp. 1301–1302.)
    Plaintiffs do not claim they were universally denied all breaks, nor must they do so
    to warrant certification. 
    Brinker, supra
    , 
    53 Cal. 4th 1004
    does not require class
    proponents to establish the universal application of an allegedly illegal policy; rather, a
    class proponent need only show a “consistent[ ]” application of the policy. (See 
    id. at p.
    1033.) In Brinker’s wake, courts have repeatedly found that a defendant employer’s
    evidence of an inconsistent application of an illegal policy to be insufficient on its own to
    defeat class certification. For example, in Benton, the court reversed the denial of class
    certification, stating, “The mere fact that some technicians may have taken breaks (or
    declined to take breaks) . . . ‘“does not show that individual issues will predominate in
    the litigation.”’” 
    (Benton, supra
    , 220 Cal.App.4th at p. 730.) Similarly, in Faulkinbury
    v. Boyd & Associates, Inc. (2013) 
    216 Cal. App. 4th 220
    (Faulkinbury), the court reversed
    the denial of class certification, explaining that “[i]n opposition to the motion for class
    certification, [the defendant employer] submitted declarations from current
    employees. . . . [I]n light of Brinker, this evidence at most establishes individual issues
    of damages, which would not preclude class certification.” (Id. at p. 237.) In Hall v. Rite
    Aid Corp. (2014) 226 CalApp.4th 278, the Court of Appeal, in reversing the denial of
    class certification, stated that with regard to Brinker’s progeny “[t]hose courts
    have . . . agreed that, where the theory of liability asserts the employer’s uniform policy
    violates California’s labor laws, factual distinctions concerning whether or how
    21
    employees were or were not adversely impacted by the allegedly illegal policy do not
    preclude certification.” (Id. at p. 289.) And in 
    Bradley, supra
    , 
    211 Cal. App. 4th 1129
    , the
    court reversed the trial court’s decision to deny class certification due to variations
    among putative class members, explaining that Brinker has “expressly rejected . . . [the
    idea] that evidence showing some employees took rest breaks and others were offered
    rest breaks but declined to take them made . . . certification inappropriate.” (Id. at
    p. 1143.)
    Instead, Plaintiffs argue that the Hospital’s system governing rest and meal
    breaks––which applies to all putative class members––does not comply with California
    law. This inquiry is amenable to class certification. As our Supreme Court has stated,
    “The theory of liability—that [the employer defendant] has a uniform policy, and that
    that policy, measured against wage order requirements, allegedly violates the law—is by
    its nature a common question eminently suited for class treatment.” 
    (Brinker, supra
    , 53
    Cal.4th at p. 1033.)
    3.       Disregard of statistical evidence
    The trial court chose to ignore Kriegler’s statistical analysis, in part, because he
    failed “to account for the possibility that some (or most) employees voluntarily worked
    through or delayed their breaks . . . .” This was error.
    First, as a preliminary matter, it should be noted that the trial court’s choice of
    language—“voluntary”—does not comport with Plaintiff’s theory of recovery. In
    determining whether a class should be certified, a trial court must examine all of the
    evidence presented by the parties and must do so “under the prism of plaintiff’s theory of
    recovery.” (Department of Fish & Game v. Superior Court (2011) 
    197 Cal. App. 4th 1323
    , 1349, italics added.) A “voluntary” act is defined by Black’s Law Dictionary as
    one being “[u]nconstrained by interference; not impelled by outside influence.” (Black’s
    Law Dict. (10th ed. 2014) p. 1806, col. 1.) Here, plaintiffs’ theory of recovery is that the
    missed breaks were not voluntary, but were constrained and compelled by the Hospital’s
    policies. Specifically, plaintiffs have identified several mutually reinforcing policies that
    22
    sharply circumscribed the employees’ freedom of action: (1) the Hospital’s policy of
    chronic understaffing; (2) the Hospital’s policy of making patient safety the “number one
    priority”; and (3) the Hospital’s policy of having “zero tolerance” for staff who take a
    break without first being relieved. To these policies must be added the nurses’ code of
    ethics, which, as discussed above, requires that a nurse’s “primary commitment” be to the
    patient” and that the nurse must take all steps to provide “optimum patient care.” The
    Hospital’s policies, as understood through the prism of plaintiffs’ theory, effectively and
    unfairly leverage a reasonable nurse’s ethical obligations, making missed break
    mandatory, not voluntary. A reasonable/ethical nurse under such circumstances would
    not risk the life or health of his/her patient suffering from a psychiatric disorder in order
    to take a mandated meal or rest break.
    Moreover, the trial court’s focus on the purported “voluntary” nature of the
    employees’ missed breaks does not comport with the law. California courts routinely
    consider “pattern and practice evidence, statistical evidence, sampling evidence, expert
    testimony, and other indicators of a defendant’s centralized practices in order to evaluate
    whether common behavior towards similarly situated plaintiffs makes class certification
    appropriate.” (
    Sav-On, supra
    , 34 Cal.4th at p. 333; 
    Jaimez, supra
    , 181 Cal.App.4th at
    p. 1298.) If an employer fails to provide legally compliant meal or rest breaks, the court
    may not conclude employees voluntarily chose to skip those breaks. 
    (Brinker, supra
    , 53
    Cal.4th at p. 1033 [“No issue of waiver ever arises for a rest break that was required by
    law but never authorized; if a break is not authorized, an employee has no opportunity to
    decline to take it”]; 
    Bradley, supra
    , 211 Cal.App.4th at p. 1151 [“employer is obligated to
    provide the rest and meal breaks, and if an employer does not do so, the fact that an
    employee did not take the break cannot reasonably be considered a waiver”], italics
    omitted; 
    Faulkinbury, supra
    , 216 Cal.App.4th at p. 236.) Thus, if as plaintiffs claim,
    notwithstanding its written policy, the Hospital actually operates under policies that
    render illusory its employees’ ability to take meal and rest breaks in the first place, it
    cannot be argued that individual issues predominate because some putative class
    23
    members “chose” to forego meal and rest breaks. The trial court’s flawed rationale that
    certification was not warranted because some nursing staff “voluntarily” skipped breaks
    disregards plaintiffs’ theory of recovery, i.e., that there was no real choice to be made
    “voluntarily.”
    Second, the trial court erred in dismissing plaintiffs’ statistical evidence because
    Kriegler’s analysis was at odds with Crandall’s.12 The court’s conclusion is based on a
    misconception regarding the role of statistical evidence in the context of a certification
    motion. According to the trial court, the fact that the parties’ statistical evidence differed
    meant that plaintiffs failed to satisfy their burden of proof. This reasoning is faulty in
    several respects. First, it is predicated on an incorrect assumption that plaintiffs had an
    obligation to prove the merits of their claims at the certification stage. That is simply not
    the case. “A motion to certify a class action is not a trial on the merits . . . .” (Carabini v.
    Superior 
    Court, supra
    , 26 Cal.App.4th at p. 245; 
    Sav-On, supra
    , 34 Cal.4th at p, 327.)
    “A class certification motion is not a license for a free-floating inquiry into the validity of
    the complaint’s allegations; rather, resolution of disputes over the merits of a case
    generally must be postponed until after class certification has been decided.” 
    (Brinker, supra
    , 53 Cal.4th at p. 1023).
    Third, the trial court erred in disregarding entirely Kriegler’s statistical analysis
    because Crandall reached a contrary conclusion (particularly where, as plaintiff pointed
    out, Crandall’s analysis may have failed to account for some important factors). Crandall
    opined that the Hospital’s timekeeping records reflected wide variation in the percentage
    of meal breaks missed per employee, thus suggesting a need for individualized inquiry.
    But, as noted in Kriegler’s supplemental declaration, Crandall’s analysis does not account
    12  Specifically, during the hearing on the motion the court observed it had been
    presented with “a lot of statistical evidence which appears to be at odds. The [Hospital’s]
    statistical data . . . shows that there was 96.7 percent compliance in terms of the meal
    breaks. And, yet, from the plaintiffs’ side, I see something completely different. And
    how that reconciles, I don’t know. But, again, the burden is on the plaintiff.”
    24
    for an obvious reason for such variation: employees worked different amounts of time
    and the more shifts they worked, the more missed meal periods they were likely to have.
    For example, Crandall opined that a sampling of records indicated that 12
    employees had missed over 95 percent of their meal breaks while 22 employees had
    received all required breaks. However, according to Kriegler, Crandall failed to consider
    that, the records for the 22 employees whom he found had received all required breaks,
    reflected that 21 of them worked fewer than 14 shifts, and 16 had worked fewer than five
    shifts. Kriegler observed that, once the variation in the difference in the number of days
    worked by employees was taken into account, 94 percent of the variance to which
    Crandall referred could be explained by objective information contained in the sampling
    data, thus negating the need for individualized inquiries. Further, Kriegler observed that
    for both Charter Oak and Las Encinas there was a strong correlation between the number
    of missed meal breaks and the number of shifts worked.
    The Hospital takes issue with Kriegler’s analysis, in part, because he conceded he
    made “no assumptions and offer[ed] no conclusions about whether meal breaks were
    provided,” and thus could not offer an opinion on the ultimate issue––whether the
    Hospital’s informal policy caused classwide deprivation of meal breaks.13 However, as
    plaintiffs point out, Kriegler was not tasked with responsibility to offer a conclusion
    regarding whether employees actually received lawful meal breaks. Rather, Kriegler’s
    declaration was offered to show that the Hospital’s time-keeping and payroll data
    confirmed plaintiffs’ theory that class-wide policies led to the denial of meal breaks for
    13 Rest periods are included within an employee’s worktime and are therefore not
    recorded in the Hospital’s timekeeping records. (See Cal. Code Regs., tit. 8, § 11090,
    subd. 7(A)(3) [unlike meal breaks for which employers must keep records, “authorized
    rest periods need not be recorded”]). Accordingly, both parties’ statistical experts
    conducted their analyses based only on meal break data.
    25
    putative class members. The trial court erred in refusing to consider statistical
    evidence.14
    4.     There is substantial common evidence of understaffing resulting in
    denial of breaks
    Plaintiffs presented substantial evidence, including the testimony of DON’s Cook
    and Nocon, and documentary evidence that Hospital policy strictly prohibits staff from
    leaving their units for breaks without designated relief. State regulations require that the
    Hospital have sufficient RN’s on duty to provide for patient needs and staff supervision.
    (Cal. Code Regs., tit. 22, §§ 71225, subd. (c), 71215, subd. (c).) Accordingly, Hospital
    staffing policy requires that staffing ratios be maintained and that an RN, and at least one
    additional nursing employee be on duty in each unit at all times. Without additional
    break relief, employees must cover for one another in order to take breaks, causing
    staffing ratios to increase to an unacceptable level and exposing patients and staff to
    potential danger.15 Plaintiffs argue that the Hospital’s policy requiring employees to
    remain on the job unless relieved, combined with its failure to ensure adequate staffing,
    conflicts with the Hospital’s obligation to provide employees with meal and rest breaks.
    Through Kriegler, plaintiffs presented evidence that the Hospital failed to comply
    with its scheduling projections and that scheduling data reflects it provided only sporadic
    break relief. In addition, a staffing coordinator from Las Encinas acknowledged that
    even when break relief staff was scheduled, those staff members were
    14We need not address the Hospital’ additional challenges to Kriegler’s report.
    None of these reasons was addressed by the trial court in denying class certification, and
    none may be considered as a basis for upholding its ruling. 
    (Ayala, supra
    , 58 Cal.4th at
    p. 530.)
    15 As discussed above, only an RN may relieve another RN, LVN’s may only be
    relieved by an LVN or a RN, and MHW’s may be relieved by either. Nursing
    supervisors may relieve any staff, but the record reflects such relief was rarely available
    because the supervisors were, in the words of one putative class member, “so busy that
    they frequently had to work through their own meal breaks.”
    26
    “often . . . assign[ed] . . . to tasks that would prevent them from doing any break relief.”
    There is similar evidence that only sporadic meal break relief was provided at Charter
    Oak. Plaintiffs argue that the net effect of the Hospital’s failure to adequately staff units
    was that employees were unable to take the breaks to which they were entitled, and
    remained responsible for patients throughout an entire shift. Further, even when the
    Hospital did provide relief for meal breaks, neither its written policies or actual practice
    comply with the requirement that the first meal break be provided within the first five
    hours of an employee’s shift, or that staff were provided the requisite uninterrupted 30
    minutes.
    Staffing coordinators from Las Encinas and DON Cook testified that Las Encinas
    does not provide or schedule any designated relief for rest breaks. Similarly, there is
    evidence that relief for rest breaks was never or rarely available at Charter Oak.
    Although the Hospital’s written policy provides for some rest breaks, at both facilities it
    was left to employees to try to obtain coverage in order to take rest breaks; management
    took no responsibility to make such arrangements.
    Common evidence shows the Hospital’s break policies and practices applied to all
    putative class members. Plaintiffs’ meal and rest break claims depend on the common
    contention: Whether the Hospital’s policies and practice fulfill its obligation to provide
    lawful breaks. (See 
    Brinker, supra
    , 53 Cal.4th at p. 1033; 
    Faulkinbury, supra
    , 216
    Cal.App.4th at p. 237 [employer’s alleged company-wide practice requiring employees to
    remain at their posts throughout their shifts was a common question appropriate for
    certification]; 
    Bufil, supra
    , 162 Cal.App.4th at pp. 1205–1206 [allegation that policy
    prohibited store employees from locking store or ignoring customers without relief
    constitutes a common question suitable for certification].)
    The authorities in which the Hospital primarily relies do not advance its cause.
    Kenny v. Supercuts, Inc. (N.D. Cal 2008) 
    252 F.R.D. 641
    , and Brown v. Federal Express
    Corp. (C.D. Cal 2008) 
    249 F.R.D. 580
    , were decided according to standards governing
    Federal Rules of Civil Procedure (FRCP), rule 23, and before Brinker which governs the
    27
    certification of wage and hour claims under California law. 
    (Brinker, supra
    , 53 Cal.4th at
    p. 1033.) Stiller v. Costco Wholesale Corp. (S.D.Cal. 2014) 
    298 F.R.D. 611
    , actually
    advances plaintiffs’ cause. There the court refused an effort to decertify a class for lack
    of commonality under FRCP, rule 23(a)––even under the more exacting federal standard
    announced in Wal-Mart Stores, Inc. v. Dukes (2011) 564 U.S. ___ [
    131 S. Ct. 2541
    , 
    180 L. Ed. 2d 374
    ]––where grocery chain employer argued its liability for unpaid detention
    time could not be answered in the same way for each class member. (Stiller, at pp. 623,
    625.) The court concluded that commonality was still satisfied because a single common
    question existed as to whether the employer had a de facto policy of detaining warehouse
    employees during closing procedures without pay, and enforced that policy on a
    classwide basis. (Ibid.) And, in Dailey v. Sears, Roebuck and Co. (2013) 
    214 Cal. App. 4th 974
    , the court affirmed denial of certification in a case alleging
    misclassification of auto center employees as exempt on the ground that determining
    whether employee class members were misclassified (because employer had
    implemented policies and practices that caused the employees to spend most of their time
    engaging in nonexempt work) would require an examination of each employee’s specific
    duties. (Id. at pp. 996–997.) Such individual inquiries are not necessary to establish
    liability in a case such as this in which all putative class members are required to remain
    on duty absent relief.
    In sum, reversal is required with respect to the meal and rest break claims because
    the trial court’s order denying class certification rests on erroneous assumptions,
    improper criteria, and, in some respects, insubstantial evidence. While plaintiffs’ theory
    of liability with respect to the meal and rest break claims presents a common question
    suitable for class treatment, it is unclear from the record below whether individual issues,
    such as damages, or common issues will predominate—that is, whether a class
    proceeding is not only manageable but superior to the alternatives. Accordingly, we
    remand for further consideration.
    28
    IV.    The trial court erred in denying plaintiffs’ motion for certification of the
    overtime and off-the-clock compensation claims
    “For the same reasons” it denied plaintiffs’ meal and rest break claims, the trial
    court found that plaintiffs “failed to show a systematic policy of denying employees
    overtime,” instead “provid[ing] only anecdotal evidence that employees were denied
    overtime or forced to work off the clock.”
    A.     Background
    In seeking certification, plaintiffs argued that Hospital management was not only
    aware that its practices denied employees lawful breaks, management also refused to
    compensate employees for missed breaks, covered-up its violations by altering time
    records and insisted employees work off-the-clock during meal breaks. Further, in
    accordance with California regulations, the Hospital requires that nursing staff complete
    all assigned tasks and paperwork before the end of each shift. Nursing staff often are
    unable to complete paperwork during their regular shift due to the press of attending to
    patients’ immediate needs. As a result, staff are effectively forced to continue working
    beyond the end of their scheduled shifts to complete required paperwork. Plaintiffs assert
    that the Hospital actively discouraged employees from seeking overtime compensation
    and instructed employees to complete outstanding tasks off-the-clock, and that liability
    on this claim was subject to class-wide proof.
    B.     Class-wide evidence of denied compensation for missed breaks
    Plaintiffs asserted that, regardless of the Hospital’s written policies and despite
    management’s awareness that lawfully compliant breaks were routinely denied, the
    Hospital had a strict policy of requiring employees to clock out for a 30-minute meal
    break each shift, regardless of whether the employee actually took that break. Nursing
    staff was purportedly instructed by supervisors to clock out and continue working
    through their meal breaks. Supervisors, in turn, were instructed by management,
    including DON’s Cook and Nocon, to ensure that employees under their supervision
    engaged in this practice.
    29
    Some putative class members said they were threatened with discipline by Casas if
    they failed to clock out for meal breaks even when there was no one to provide break
    relief. Others testified to the effect that their supervisors insisted that employees’ time
    records reflect that meal and rest breaks were taken even when it was virtually impossible
    to take such breaks. Plaintiffs also presented evidence that nursing staff was directed and
    pressured to clock out for meal breaks, then immediately to resume caring for patients on
    their units, and that high level Hospital management was aware of––indeed directly
    implemented––this practice.
    For example, according to Ramirez, a former staffing coordinator at Las Encinas,
    DON Cook instructed her that employees must clock out for meal breaks without regard
    to whether breaks were actually received. Putative class members received similar
    instructions from Casas or their immediate supervisors. For example, Casas told one
    class member he had failed to clock out for meal periods and would be suspended if that
    practice continued. The class member declared, “I believe that I told [Casas] that I didn’t
    punch out because I didn’t take my break. Mr. Casas’ response was simply that I had to
    clock out and back in to show a meal period.” Another putative class member declared
    that, when she “told [her] supervisor . . . that [she] had no relief to take a meal break, [the
    supervisor] would simply instruct [her] to clock out, continue working and clock back in
    after thirty minutes had lapsed.” Numerous other class members levied similar
    accusations. Plaintiffs claimed the same practice was in effect at Charter Oak. Plaintiff
    Robin Motola, formerly a nursing supervisor at Charter Oak, declared that she was
    instructed by DON Nocon that Motola and her staff “should simply clock out for breaks
    and then go back to the unit and continue to work so that it would appear that [they] had
    not missed [their] meal break.”
    Further, plaintiffs argued that, if employees failed to clock out for a meal break not
    taken, the staffing coordinators adjusted time records to “correct this.” According to
    Kriegler, his statistical analysis of a representative sampling of the Hospital’s scheduling
    and payroll records demonstrated that “nearly one out of every five recorded meal breaks
    30
    was either added or edited by a supervisor.” Plaintiffs’ declarations supported this
    conclusion. One putative class member declared that “[e]ven if we forgot to clock in and
    out [for meal breaks not taken], it didn’t matter because the Hospital would simply alter
    the hours on our payslips so that we were not paid for the extra time.” Another testified
    that Casas “told [her] that he would manually add [the employee’s] meal breaks by hand
    to [her] time cards even if [she] did not take them.” Ramirez declared that when she was
    staffing coordinator at Las Encinas, she was instructed to alter time records if they
    showed an employee had not received a full 30-minute lunch. Based on this evidence
    plaintiffs argue that common evidence demonstrates that the Hospital was not only aware
    that the policies and practices employed at its facilities routinely deprived employees of
    lawful breaks, it actively attempted to cover-up and avoid compensating employees for
    those unlawful practices.
    The Hospital argues that TAF’s (or Kronos) are used as a mechanism by which
    employees can fill out a form to request premium pay if they missed a meal break and
    continued working. The Hospital presented evidence that some employees, including
    some plaintiffs, were aware and availed themselves of this practice. Plaintiffs assert this
    evidence is misleading because Hospital policy placed the onus on employees to justify,
    and obtain authorization for, missed meal compensation at the same time management
    actively discourages employees from requesting such compensation, and routinely denies
    such requests. Plaintiffs’ declarants stated that nursing supervisors were reluctant to sign
    off on TAF’s because upper management placed pressure on them not to authorize
    overtime or missed meal compensation. Supervisors were purportedly afraid to authorize
    missed meal break compensation because they believed employees would suffer
    discipline, or that they would themselves get in trouble with their supervisors or the
    DON.
    As for rest breaks, neither Las Encinas nor Charter Oak had a mechanism to
    enable employees to seek compensation for missed rest breaks. DON Cook and staffing
    coordinator Casas each confirmed that the Hospital lacked “any method for staff to report
    31
    missed rest breaks and be paid for them.” Charter Oak’s Chief Operating Officer
    testified she had “never seen a request for a missed rest break premium.” The TAF’s
    used by each facility (through which employees request compensation for missed meals
    or overtime) did not permit employees to request compensation for missed rest breaks.16
    The record contains no evidence of any instance in which a putative class member was
    paid for a missed rest break.
    Plaintiffs assert that these common policies and practices were implemented
    directly by Hospital management and applied to all nursing staff on a class-wide basis.
    As a result of these practices, they argue that employees were systematically denied
    missed break premiums mandated by state law.
    Plaintiffs also submitted a statistical analysis performed by Kriegler (based on his
    analysis of Hospital timekeeping and payroll data) which they argued demonstrates that
    the Hospital’s class-wide practices violate California law. According to plaintiffs,
    Kriegler’s analysis shows:
    1. A small fraction of missed meal premiums were paid relative to the total
    number of missed meal breaks (e.g., although Hospital records show 67 late, short or
    completely missed meal breaks per 100 shifts, only 3.5 missed meal or rest premiums
    were paid per 100 shifts);
    2. Almost half (44.6 percent) of the meal breaks recorded were less than 30
    minutes long;
    3. Over one-third (34.3 percent) of meal breaks recorded were taken more than six
    hours after the start of a shift;
    4. Most (over 80 percent) of an employee’s first recorded meal breaks were either
    less than 30 minutes long or started more than six hours after the start of his or her shift;
    16 After this lawsuit was filed, Las Encinas modified its TAF to permit employees
    to request missed break compensation.
    32
    5. The majority (87.4 percent) of all work periods longer than 10 hours did not
    reflect that a second meal break was taken;
    6. Among work periods in excess of 10 hours that did have a second meal break
    recorded, roughly one-third (33.6 percent) of those breaks were under 30 minutes and
    three-fourths (73.0 percent) were taken more than eleven hours after a shift started.
    Fewer than 1 percent of second meal breaks examined were both 30 minutes long and
    timely provided;17
    7. There was a widespread practice by which management modified timekeeping
    records: 24.5 percent of the first and 46 percent of the second recorded meal breaks were
    “round punch meal breaks” (added or edited by supervisors), and most (84 percent) of all
    sampled class members’ time records showed “round punch work periods”;
    8. On days on which no break relief was reflected in the Hospital’s daily
    schedules, timekeeping records still reflected an average of 2.2 meal breaks per day
    (suggesting that the timekeeping data overreports the number of meal breaks.
    For purposes of class certification, plaintiffs’ evidence, including Krieger’s
    analysis, constitutes persuasive common proof of the Hospital’s uniform policies and
    practices resulting in class-wide denial of lawfully compliant breaks to nursing staff. The
    statistical evidence reflects a common practice by which management modified
    timekeeping records, and substantiates declarants’ testimony that the Hospital undertook
    active efforts to hide its wage and hour violations. Further, the fact that only a few
    missed meal premiums were actually paid relative to the total number of missed meal
    breaks, combined with evidence that management actively discouraged employees from
    seeking missed break compensation, reflects a common practice by the Hospital of failing
    to compensate employees for hours worked and constitutes common proof of liability.
    17 The Hospital argues that Kriegler’s conclusion on this point is “fatally
    deficient” because he assumed all time card edits were “‘suspicious’” and admitted that
    his calculations could not reveal which changes to time records were made at the request
    of employees.
    33
    C.     Denied compensation for work performed off-the-clock
    Hospital policy requires overtime be approved in advance, and failure to seek
    approval for overtime may subject an employee to discipline. Plaintiffs assert that the
    Hospital actively discouraged nursing staff from requesting overtime by criticizing and
    threatening to discipline employees who worked too much overtime, criticizing and
    intimidating employees who requested overtime and repeatedly denying legitimate
    overtime requests. At the same time, employees––especially RN’s, who were required to
    complete charts and other mandatory paperwork––were placed under pressure to ensure
    that all their work was completed each shift. DON Cook testified that “it was critical that
    nursing staff complete documentation on their patients.” As a result, employees were
    routinely forced to clock out after their shifts, then return to work to complete paperwork.
    Plaintiffs argue that Hospital management knew employees routinely worked off-the-
    clock after their shifts, and actively condoned and encouraged such conduct. One of
    plaintiffs’ declarants testified that DON Nocon told her “that working off the clock was
    the normal practice at Las Encinas because the hospital did not want to pay overtime but
    expected that all work would be completed before the end of the shift.”18 Toward that
    end, plaintiffs also presented evidence that the Hospital instructed management to adjust
    time records and eliminate overtime. As a result of these policies and practices,
    employees were routinely denied compensation for overtime.
    The trial court articulated three reasons supporting its conclusion that the overtime
    subclass lacked commonality: (1) plaintiffs’ evidence failed to address the possibility
    that employees worked off-the-clock by choice; (2) anecdotal evidence submitted by both
    18  Another former employee testified she “explained to [DON Nocon] that [her]
    staff did not have enough time to complete their work and that they would have to clock
    out and finish the work off the clock. Ms. Nocon said that this was too bad but that the
    hospital did not have enough staff and needed to cut down on overtime.” A number of
    former employees said that when supervisors from the next shift saw them working after
    a shift, they would ask what they were doing and ensure they were off-the-clock.
    34
    sides demonstrated variation as to whether employees were denied overtime or forced to
    work off-the-clock; and (3) Under 
    Brinker, supra
    , 53 Cal.4th at p. 1051, the fact that an
    employee is clocked out creates a presumption that he or she is not working, and
    plaintiffs failed to rebut this presumption.
    With regard to its first reason, the error in the trial court’s factual and legal
    analysis is readily apparent. First, this basis is pure speculation in light of the fact that
    the record contains no evidence that any employee did work––or could have––worked
    overtime by choice. Hospital policy expressly forbids off-the-clock work. Second, even
    if we assume there is evidence some members of the nursing staff voluntarily worked
    uncompensated overtime, such a “choice” is impermissible under California law. A
    nonexempt employee (such as the putative class members here) may not lawfully
    volunteer to work off-the-clock without compensation. (See Cal. Code Regs., tit. 8,
    § 11090, subd. (3)(A) [requiring compensation for “all hours worked,” and overtime pay
    for “all hours worked” in excess of a 40-hour workweek].)
    The court’s second stated basis––evidentiary variations as to the number of
    employees pressured or forced to work uncompensated overtime––goes to the question of
    damages, not liability. Such evidence does not undermine the propriety of class
    certification based on plaintiffs’ theory that Hospital management routinely instructed
    and pressured supervisors to refuse to approve employee overtime and required nursing
    staff to perform uncompensated off-the-clock work (both by requiring staff to clock out
    and in for 30-minute meal breaks not taken, and requiring that staff complete assignments
    before leaving after a shift). (See Jones v. Farmers Ins. Exchange (2013) 
    221 Cal. App. 4th 986
    , 996–997 [reversing certification denial despite variations in extent to
    which employees were required to perform off-the-clock work, because trial court
    applied improper criteria by focusing on individual damages issues, and ignored
    plaintiff’s theory of recovery]; see also 
    Bradley, supra
    , 211 Cal.App.4th at p. 1155.)
    Finally, the trial court’s reliance on Brinker to support its conclusion that plaintiffs
    failed to rebut the presumption that an employee who has clocked-out is not working was
    35
    misplaced. First, this rationale improperly delves into the merits of the case. At the class
    certification stage the issue is not whether plaintiffs can definitively rebut the
    presumption. Plaintiffs need show only that the presumption can be addressed with
    common evidence. 
    (Brinker, supra
    , 53 Cal.4th at pp. 1051–1052.) Second, Brinker is
    inapposite on this point. In Brinker, the court found that plaintiffs failed to identify any
    common policies or practices that may have resulted in employees being forced to work
    off-the-clock. (Id. at p. 1051.) Here, by contrast, plaintiffs presented evidence of
    common practices and a de facto policy that resulted in systemic forced off-the-clock
    work. (See Williams v. Superior Court (2013) 
    221 Cal. App. 4th 1353
    , 1358, 1369–1370
    [reversing decertification order where dispute centered on whether application of a
    uniform policy (including, prior approval required for overtime) was lawful. If unlawful,
    some class members would be damaged and some might not be, but the employer faced
    liability as to each].)
    In short, reversal is required with respect to the overtime and off-the-clock
    compensation claims because the trial court’s order denying class certification rests on
    improper criteria, erroneous legal assumptions and, in some respects, insubstantial
    evidence. 
    (Brinker, supra
    , 53 Cal.4th at p. 1022; 
    Linder, supra
    , 23 Cal.4th at pp. 435–
    436.) However, as with the meal and rest break claims, it is unclear from the record
    below whether common issues predominate over individual ones so as to make a class
    proceeding superior to the alternatives.
    V.     Remand is required as to derivative claims subclasses
    Plaintiffs’ remaining claims regarding certification of subclasses for waiting time
    penalties (§ 203) and inaccurate itemized wage statements (§ 226, subd. (e)), which are
    predicated on the claims for rest and meal breaks and overtime, are remanded for further
    consideration regarding predominance and manageability. (See Dilts v. Penske Logistics,
    LLC (S.D.Cal. 2010) 
    267 F.R.D. 625
    , 640.)
    36
    DISPOSITION
    The order denying the motion for class certification is reversed and remanded for
    further consideration in accordance with our holding. The parties are to bear their own
    costs on appeal.
    CERTIFIED FOR PUBLICATION.
    JOHNSON, J.
    I concur:
    CHANEY, J.
    37
    Rothschild, P. J., concurring:
    I concur with some of the majority’s reasoning, and I concur in the judgment.
    Like the majority, I believe that this case presents questions that may be subject to
    common proof, and that the case must be remanded to the trial court for determination as
    to whether those common questions predominate and can be managed efficiently in a
    single trial. I write separately because I believe the majority has not accurately described
    the nature of the common questions, and as a consequence, they underestimate the
    difficulties of managing the trial of this case.
    The majority opines that plaintiffs called into question the facial legality of the
    Hospital’s policy regarding meal and rest breaks. But this is true only to a limited extent.
    The policy as written provided for a meal break “approximately half way between the
    beginning and ending of the employee’s shift.” It also allowed for two 10-minute
    rest periods “approximately halfway between starting time and an employee’s meal
    period, and between the meal period and an employee finishing work for the day.”
    For employees working what the Hospital defined as a “normal work schedule” of
    “eight hours per workday,” the policy on its face plainly provided for a meal break within
    the first five hours of work, as required by Labor Code section 512, subdivision (a) and
    associated regulations.1
    Plaintiffs have not based their theory of recovery primarily on the facial illegality
    of the Hospital’s policy. Instead, they have proceeded on the theory that the Hospital’s
    practices amounted to a de facto illegal policy. Plaintiffs have alleged that the Hospital
    systematically understaffed its nursing positions, making it impossible for all employees
    to take all the breaks to which they were entitled. The question of whether such a policy
    1       Although the policy did not specifically provide for a second meal break for
    employees working more than 10 hours per day, it did not prohibit such a break. In any
    case, if the putative class were limited to employees who were denied a second meal
    break while working overtime, plaintiffs might be able to proceed on a claim that the
    policy was facially illegal.
    existed presents a common question, subject to common proof. (See Duran v. U.S. Bank
    National Assn. (2014) 
    59 Cal. 4th 1
    , 37 (Duran) [stating that certification could be
    appropriate if an employer “knowingly encouraged a uniform de facto practice
    inconsistent with” labor law]; Brinker Restaurant Corp. v. Superior Court (2012) 
    53 Cal. 4th 1004
    , 1051 [indicating that certification could be proper if the plaintiffs could
    provide “substantial evidence of a systematic company policy to pressure or require
    employees to work off-the-clock”].) As the majority notes, the Charter Oak Hospital
    applies a mathematical formula to determine the number of staff members needed,
    depending on the number of patients and severity of their conditions. (Maj. op. ante,
    at pp. 11-12.) If the parties in this case introduce evidence establishing the number of
    nurses required according to the formula and the number of staff actually assigned to
    work at different times, they will go a long way toward determining whether plaintiffs’
    theory, that the hospital was systematically understaffed, is correct.
    Yet as the majority acknowledges, the existence of a common question or theory
    of recovery is not the entire story. For certification to be appropriate, the issues subject
    to common proof must predominate over individual issues. In addition, the court must
    be able to manage the litigation of individual issues within a trial. Although a lack of
    uniformity among class members is not a bar to certification (Sav-On Drug Stores, Inc. v.
    Superior Court (2004) 
    34 Cal. 4th 319
    , 333), devising a method for managing variation
    among class members is not a given. 
    Duran, supra
    , 
    59 Cal. 4th 1
    , provided an object
    lesson in manageability. The case involved a class of 260 employees who worked in
    sales positions for the defendant bank. Plaintiffs alleged that the employees were not
    exempt from minimum wage and overtime pay requirements, and the determination of
    this depended on whether the job reasonably required employees to spend the majority
    of their days selling outside the bank. The trial court permitted the parties to present
    evidence from only 20 plaintiffs. (Id. at pp. 16-17.) The court then extrapolated from
    those 20 to determine liability for all 260. (Id. at p. 24.) The Supreme Court rejected this
    method in part because the sample was likely skewed, but also because the trial court
    improperly prevented defendants from introducing any evidence regarding the class
    2
    members outside the sample of 20. (Id. at pp. 33-34.) As the Supreme Court noted,
    by “excluding relevant evidence central to the defense, the court here did not manage
    individual issues. It ignored them.” (Id. at p. 34.) This was error because “a class action
    trial management plan may not foreclose the litigation of relevant affirmative defenses,
    even when these defenses turn on individual questions.” (Ibid.)
    This case is even more complex than Duran and may present even greater
    variability among putative class members. The class is four times as numerous, spread
    over different positions, with employees who may have had vastly differing experiences
    because they worked at different times, with different lengths of experience and different
    supervisors. The evidence indicated that different employees had widely differing
    experiences on the job; some claimed they were frequently denied breaks, while others
    said this almost never happened. It is not obvious that the level of variability within the
    class is sufficiently low to allow for sampling (see 
    Duran, supra
    , 59 Cal.4th at p. 33), nor
    that the Hospital would be capable of defending itself by presenting evidence regarding
    the work experiences of all the defendants as a group. (See 
    id. at pp.
    34-35.)
    Crucially, the individual evidence in this case would be relevant to the defendant’s
    liability, not merely the extent of damages. As the Duran court noted, “Defenses that
    raise individual questions about the calculation of damages generally do not defeat
    certification. (Citation.) However, a defense in which liability itself is predicated on
    factual questions specific to individual claimants poses a much greater challenge to
    manageability. This distinction is important. As we observed in City of San Jose v.
    Superior 
    Court, supra
    , 12 Cal.3d at page 463: ‘Only in an extraordinary situation would
    a class action be justified where, subsequent to the class judgment, the members would
    be required to individually prove not only damages but also liability.’” (
    Duran, supra
    ,
    59 Cal.4th at p. 30.) In a case like this one, where plaintiffs’ primary allegations are that
    the Hospital had de facto illegal policies, as opposed to policies illegal on their face,
    individual evidence is likely to be central both to plaintiffs’ case and to the Hospital’s
    defense. Indeed, the evidence introduced thus far includes not only statistical evidence
    that may be used to establish or challenge plaintiffs’ common theory of recovery, but also
    3
    anecdotal reports from individual class members. At trial, the Hospital will most likely
    defend itself by eliciting testimony that employees missed breaks only rarely, or delayed
    them voluntarily. The majority claims that “[i]f an employer fails to provide legally
    compliant meal or rest breaks, the court may not conclude employees voluntarily chose to
    skip those breaks.” (Maj. op. ante, at p. 25.) But in this case, whether employees chose
    to skip breaks voluntarily is important to determining whether an illegal policy existed.
    The individual differences cannot simply be swept under the rug on the ground that they
    pertain only to damages. This is not a case where liability may be determined solely
    through common evidence, and the only reason to deal with individual issues is to ask,
    with respect to each class member, “whether he or she worked for defendant during the
    relevant period” in a position affected by the alleged illegal practice. (Sav-On 
    Drugs, supra
    , 34 Cal.4th at p. 332.) Plaintiffs’ own theory makes the experience of each
    individual necessary to determining liability.
    The trial court is in a far better position than we are to determine whether these
    obstacles can be overcome, and it is for just this reason that trial courts “are afforded
    great discretion in granting or denying certification.” (Linder v. Thrifty Oil Co. (2000)
    
    23 Cal. 4th 429
    , 435.)
    ROTHSCHILD, P. J.
    4
    

Document Info

Docket Number: B248748

Citation Numbers: 241 Cal. App. 4th 388, 193 Cal. Rptr. 3d 783, 2015 Cal. App. LEXIS 913

Judges: Johnson, Rothschild, Chaney

Filed Date: 10/16/2015

Precedential Status: Precedential

Modified Date: 11/3/2024