Dewalt v. Hooks ( 2022 )


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  •                IN THE SUPREME COURT OF NORTH CAROLINA
    2022-NCSC-105
    No. 165A21
    Filed 4 November 2022
    ROCKY DEWALT, ROBERT PARHAM, ANTHONY MCGEE, and SHAWN
    BONNETT, individually and on behalf of a class of similarly situated persons
    v.
    ERIK A. HOOKS, in his official capacity as Secretary of the North Carolina
    Department of Public Safety, and the NORTH CAROLINA DEPARTMENT OF
    PUBLIC SAFETY
    Appeal pursuant to N.C.G.S. § 7A-27(a)(4) from an order denying plaintiffs’
    motion for class certification entered on 22 February 2021 by Judge James E. Hardin
    Jr. in Superior Court, Wake County. Heard in the Supreme Court on 30 August 2022.
    ACLU of North Carolina Legal Foundation by Daniel K. Siegel and Kristi
    Graunke, for plaintiff-appellants.
    Joshua H. Stein, Attorney General, by Orlando L. Rodriguez, Special Deputy
    Attorney General, Mary Carla Babb, Special Deputy Attorney General, and
    James    B.   Trachtman,     Special   Deputy    Attorney   General,   for
    defendant-appellees.
    Aviance Brown, Irving Joyner, Daryl Atkinson, Whitley Carpenter, and Ashley
    Mitchell, for North Carolina Conference of the NAACP, amicus curiae.
    Lockamy Law Firm, by Scott Holmes; and Roderick & Solange MacArthur
    Justice Center, Northwestern Pritzker School of Law, by Daniel Greenfield,
    Bradford Zukerman, and Kathrina Szymborski, for Professors Sharon
    Dolovich, Alexander A. Reinert, Margo Schlanger, and John F. Stinneford,
    amici curiae.
    Nichad Davis and Benjamin I. Friedman, Professors and Practitioners of
    Psychiatry, Psychology, and Medicine, for amici curiae.
    DEWALT V. HOOKS
    2022-NCSC-105
    Opinion of the Court
    NEWBY, Chief Justice.
    ¶1         In this case we consider whether the trial court erred by denying plaintiffs’
    motion for class certification. Plaintiffs are inmates in North Carolina Department of
    Public Safety (DPS) custody. Plaintiffs brought a class action lawsuit against
    defendants seeking to represent certain individuals in DPS custody who are being or
    will be subjected to solitary confinement. Plaintiffs do not challenge the use of solitary
    confinement in every housing setting or allege that solitary confinement is per se
    unconstitutional. Rather, plaintiffs allege that defendants’ policies and practices
    concerning specific restrictive housing assignments violate the state constitution. The
    trial court denied plaintiffs’ motion for class certification. The trial court concluded
    plaintiffs failed to establish a common predominating issue, plaintiffs did not
    demonstrate that the named representatives would fairly and adequately represent
    the class, and that litigating as a class was not the superior method of adjudication.
    Plaintiffs appealed directly to this Court. Because the trial court did not abuse its
    discretion, we affirm the trial court’s order.
    ¶2         On 16 October 2019, plaintiffs1 filed a class action lawsuit seeking to certify a
    class of current and future inmates assigned to one of five restrictive housing
    classifications. Plaintiffs alleged the conditions of confinement across the five
    1  Plaintiffs are Rocky Dewalt, Robert Parham, Anthony McGee, and Shawn Bonnett.
    Plaintiffs sought to appoint Robert Parham, Anthony McGee, and Shawn Bonnett as class
    representatives and requested that Rocky Dewalt remain a named plaintiff.
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    Opinion of the Court
    restrictive housing assignments presented the same substantial risk of harm to all
    individuals and constituted cruel or unusual punishment.
    ¶3         The five challenged restrictive housing settings are: Restrictive Housing for
    Disciplinary Purposes (RHDP), Restrictive Housing for Control Purposes (RHCP),
    High Security Maximum Control (HCON), Restrictive Housing for Administrative
    Purposes (RHAP), and the first two phases of the Rehabilitative Diversion Unit
    (RDU).
    ¶4         RHDP is a short-term placement and “presumptive sanction” for disciplinary
    infractions, such as disobeying an order, possessing a cell phone, refusing a drug test,
    or using disrespectful or defamatory language. Individuals assigned to RHDP may
    have personal property in their cells, are allowed limited telephone privileges, receive
    visitation rights, and have access to cell study materials, such as educational
    programs and college coursework. Prison staff may impose up to twenty or thirty days
    of confinement in RHDP. Between October 2018 and October 2019, the average
    length of a placement in RHDP was eleven days.
    ¶5         RHCP “is a long-term restrictive housing assignment for the removal of [an
    incarcerated person] from the general offender population to confinement in a secure
    area.” RHCP is reserved for offenders who have displayed “disruptive behavior,
    assaultive actions, threats to the safety of staff or other offenders, or threats to the
    security and operational integrity of the facility.” People in RHCP receive one hour of
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    Opinion of the Court
    recreation time five days a week and have access to a shower three times a week.
    They eat all meals in their cell, may not attend religious, educational, or vocational
    programs outside of their cell, and have no guaranteed telephone or canteen access.
    People in RHCP are entitled to two noncontact visits every thirty days, but visitation
    privileges are suspended for at least twelve months if an individual is found guilty of
    assault on a staff member resulting in physical injury. RHCP classifications are
    reviewed every six months. If placement in RHCP is due to assault on a staff member
    resulting in physical injury, however, assignments are reviewed at twelve months.
    Between October 2018 and October 2019, the average length of stay in RHCP was
    131 days.
    ¶6         HCON is the most restrictive housing assignment and is for “offenders who
    pose the most serious threat to the safety of staff and other offenders or who . . .
    require more security than can be afforded in [other housing settings].” Review of an
    HCON classification occurs every six months, or it occurs every twelve months if
    placement is due to assault on a staff member resulting in physical injury. People
    who are removed from HCON are automatically placed in RHCP, RDU, or the
    Therapeutic Diversion Unit. Between October 2018 and October 2019, the average
    length of stay in HCON was 154 days.
    ¶7         RHAP is a temporary placement for administrative, rather than disciplinary,
    purposes. Individuals may be placed in RHAP to protect staff members and other
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    Opinion of the Court
    offenders from threats of harm, to minimize the risk of escape, to preserve order, to
    provide control while completing an investigation, or to serve as a “cooling off
    measure[,]” as referred to in the policy. While assigned to RHAP, individuals have
    access to medical and mental health services, receive daily visits from a health care
    staff member, may have personal property in their cells, and are allowed telephone
    privileges. In addition, individuals in RHAP may receive an unlimited number of
    one-hour, noncontact visits. Between October 2018 and October 2019, the average
    length of stay in RHAP was eight days.
    ¶8         RDU is a placement program “designed as a safe alternative to segregation,
    providing positive reinforcements to increase desired behaviors, and decrease
    unwanted    behaviors    through . . . appropriate       consequences . . . [and]   positive
    reinforcement.” Individuals in RDU housing are allowed certain authorized personal
    property in their units, such as pencils, pens, books, a radio, a deck of cards, and
    hygiene items. From October 2018 to October 2019, the average length of stay in RDU
    was between twelve and fourteen months.
    ¶9         Defendants filed their answer on 21 January 2020. On 4 February 2020, the
    matter was designated as exceptional pursuant to Rule 2.1 of the General Rules of
    Practice for the Superior and District Courts and assigned to Judge James E. Hardin
    Jr. Plaintiffs filed their motion for class certification on 24 April 2020 pursuant to
    Rule 23(a) of the North Carolina Rules of Civil Procedure. See N.C.G.S. § 1A-1, Rule
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    23(a) (2021). Plaintiffs thereafter took discovery and submitted evidence in support
    of their motion. Defendants filed their response in opposition with supporting
    evidence on 12 August 2020. The trial court held a Webex hearing on 1 December
    2020 and heard oral argument from both parties.
    ¶ 10         On 22 February 2021, the trial court denied plaintiffs’ motion for class
    certification and found that a certifiable class did not exist for three independent
    reasons: (1) plaintiffs failed to demonstrate a common predominating issue among
    the group of potential class members, (2) plaintiffs did not establish that the named
    representatives would fairly and adequately represent the interests of all class
    members, and (3) litigating this case as a class action was not the superior method of
    adjudication. Plaintiffs appealed directly to this Court under N.C.G.S. § 7A-27(a)(4).
    ¶ 11         This Court reviews a trial court’s class certification order for abuse of
    discretion. Fisher v. Flue-Cured Tobacco Coop. Stabilization Corp., 
    369 N.C. 202
    , 209,
    
    794 S.E.2d 699
    , 706 (2016). “[T]he test for abuse of discretion is whether a decision
    ‘is manifestly unsupported by reason[ ]’ or ‘so arbitrary that it could not have been
    the result of a reasoned decision . . . .’ ” Frost v. Mazda Motor of Am., Inc., 
    353 N.C. 188
    , 199, 
    540 S.E.2d 324
    , 331 (2000) (quoting Little v. Penn Ventilator Co., 
    317 N.C. 206
    , 218, 
    345 S.E.2d 204
    , 212 (1986)). “Within this general standard, when
    addressing a class certification order, this Court has recognized that conclusions of
    law are reviewed de novo, and findings of fact are considered binding if supported by
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    competent evidence.” McMillan v. Blue Ridge Cos., 
    379 N.C. 488
    , 2021-NCSC-160, ¶
    7 (citing Fisher, 369 N.C. at 209, 794 S.E.2d at 706).
    ¶ 12          Rule 23 of the North Carolina Rules of Civil Procedure authorizes class action
    lawsuits. Rule 23 provides that “[i]f persons constituting a class are so numerous as
    to make it impracticable to bring them all before the court, such of them, one or more,
    as will fairly insure the adequate representation of all may, on behalf of all, sue or be
    sued.” N.C.G.S. § 1A-1, Rule 23(a).2 “The party seeking to bring a class action under
    Rule 23(a) has the burden of showing that the prerequisites to utilizing the class
    action procedure are present.” Crow v. Citicorp Acceptance Co., 
    319 N.C. 274
    , 282,
    
    354 S.E.2d 459
    , 465 (1987) (footnote omitted). First, the class representatives must
    demonstrate the existence of a class. 
    Id. at 277
    , 
    354 S.E.2d at 462
    . “A proper class
    exists ‘when the named and unnamed members each have an interest in either the
    same issue of law or of fact, and that issue predominates over issues affecting only
    individual class members.’ ” Fisher, 369 N.C. at 209, 794 S.E.2d at 705 (quoting Crow,
    
    319 N.C. at 280
    , 
    354 S.E.2d at 464
    ). A common issue predominates when plaintiffs
    demonstrate that the potential class members’ claims share a common issue capable
    of resolution “in one stroke.” Wal-Mart Stores, Inc. v. Dukes, 
    564 U.S. 338
    , 350, 1131
    2 There are notable differences between Rule 23 of the North Carolina Rules of Civil
    Procedure and Rule 23 of the Federal Rules of Civil Procedure governing class action
    lawsuits. Nonetheless, the federal cases which address the provision of the federal rule that
    is similar to the state provision are instructive to our analysis.
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    Opinion of the Court
    S.Ct. 2541, 
    180 L. Ed. 2d 374
     (2011) (providing that plaintiffs’ “claims must depend
    upon a common contention . . . capable of class[-]wide resolution—which means that
    determination of its truth or falsity will resolve an issue that is central to the validity
    of each one of the claims in one stroke”).
    ¶ 13          In addition to this initial requirement, the class representatives must show:
    (1) that they will fairly and adequately represent the
    interests of all members of the class; (2) that they have no
    conflict of interest with the class members; (3) that they
    have a genuine personal interest, not a mere technical
    interest, in the outcome of the case; (4) that they will
    adequately represent members outside the state; (5) that
    class members are so numerous that it is impractical to
    bring them all before the court; and (6) that adequate
    notice is given to all class members.
    Fisher, 369 N.C. at 209, 794 S.E.2d at 705–06 (internal quotations omitted) (quoting
    Faulkenbury v. Teachers’ & State Emps.’ Ret. Sys., 
    345 N.C. 683
    , 697, 
    483 S.E.2d 422
    ,
    431 (1997)).
    ¶ 14          When a party seeking class certification meets these prerequisites, “it is left to
    the trial court’s discretion ‘whether a class action is superior to other available
    methods for the adjudication of th[e] controversy.’ ” Id. at 209, 794 S.E.2d at 706
    (alteration in original) (quoting Beroth Oil Co. v. N.C. Dep’t of Transp., 
    367 N.C. 333
    ,
    337, 
    757 S.E.2d 466
    , 470 (2014)).
    Class actions should be permitted where they are likely to
    serve useful purposes such as preventing a multiplicity of
    suits or inconsistent results. The usefulness of the class
    action device must be balanced, however, against
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    inefficiency or other drawbacks. . . . [T]he trial court has
    broad discretion in this regard and is not limited to
    consideration of matters expressly set forth in Rule 23 or
    in [existing case law].
    Crow, 
    319 N.C. at 284
    , 
    354 S.E.2d at 466
    . As such, “the touchstone for appellate
    review of a Rule 23 order . . . is to honor the ‘broad discretion’ allowed the trial court
    in all matters pertaining to class certification.” Frost, 
    353 N.C. at 198
    , 
    540 S.E.2d at
    331 (citing Crow, 
    319 N.C. at 284
    , 
    345 S.E.2d at 466
    ).
    ¶ 15         Here the trial court identified three distinct bases for denying plaintiffs’ motion
    for class certification: (1) no common predominating issue; (2) inadequacy of plaintiffs
    as class representatives; and (3) a class action is not a superior method of
    adjudication. Any of the three independent bases would have been adequate to
    support the denial of class certification. However, because we conclude the trial court
    did not abuse its discretion in determining there is no common predominating issue,
    we limit our review to that basis.
    ¶ 16         The question here is whether the trial court abused its discretion in concluding
    plaintiffs failed to demonstrate a common predominating issue among the proposed
    class members. The trial court determined plaintiffs presented insufficient evidence
    to connect DPS’s practices and policies to an alleged risk of harm. In an attempt to
    support their claim that DPS’s practices caused all class members to face risks of
    similar harm, plaintiffs relied on four studies. The trial court found, however, that
    only two studies concerned DPS and only one addressed its restrictive housing
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    practices. One report, “suggest[ing] that exposure to restrictive housing is associated
    with an increased risk of death during community reentry[,]” provided insufficient
    evidence to support plaintiffs’ claim because it was a correlational analysis that, by
    the authors’ admission, could not support conclusions of causation. Additionally, the
    study was based on observational data that failed to consider confounding factors
    which could have affected the study’s ultimate outcome. Accordingly, this study could
    not provide concrete support to plaintiffs’ claim that restrictive housing causes an
    increase in the risk of post-release mortality.
    ¶ 17          Likewise, the trial court concluded the second relevant report (the Vera
    Report), which was prepared by the Vera Institute of Justice, was insufficient to
    connect DPS’s practices to the alleged risk of harm.3 The Vera Report commended
    DPS on its previous reform efforts, suggested that DPS “continue[ ] implementation
    of [both] current and future reforms,” and noted that DPS’s restrictive housing
    population decreased by 10% in the year following the study. Furthermore, as the
    trial court concluded, all but one of DPS’s policies discussed in the Vera Report has
    since been revised.
    3  In 2016 DPS partnered with the Vera Institute of Justice to evaluate DPS’s
    restrictive housing policies and practices. The Vera Report “outline[d] the findings of th[e]
    assessment and provide[d] recommendations to [DPS] on how to safely reduce its use of
    restrictive housing.” The experiences of the named plaintiffs and other affiants, who have
    collectively experienced each of the five restrictive housing settings, generally align with the
    Vera Report’s findings.
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    Opinion of the Court
    ¶ 18         Aside from these two reports, plaintiffs failed to present additional evidence,
    such as specific studies and expert witness reports to support their claim that DPS’s
    policies and practices create a uniform risk of harm to individuals assigned to each of
    the challenged restrictive housing settings. This lack of evidentiary support is
    distinguishable from the evidence presented by the claimants in many of the federal
    cases upon which plaintiffs rely. See Parsons v. Ryan, 
    754 F.3d 657
    , 669, 678 (9th Cir.
    2014) (presenting numerous expert reports and ten specifically defined policies to
    which all class members were subjected); see, e.g., Braggs v. Dunn, 
    257 F. Supp. 3d 1171
    , 1236 (M.D. Ala. 2017); Davis v. Baldwin, No. 3:16-CV-600-MAB, 
    2021 WL 2414640
     (S.D. Ill. June 14, 2021). Based upon the minimal evidence specific to DPS’s
    restrictive housing practices, the trial court did not abuse its discretion in concluding
    plaintiffs failed to establish that the potential class members’ claims share a common
    issue capable of resolution “in one stroke.” See Wal-Mart Stores, Inc., 
    564 U.S. at 350
    .
    ¶ 19         The trial court also concluded that the variety of penological purposes across
    the challenged housing classifications are fundamental distinctions that prevent a
    finding that a common issue predominates across such a broad class. Further, the
    circumstances which necessitate placement in restrictive housing and the length of
    each assignment require an individualized assessment that preclude finding a
    common predominating issue.
    ¶ 20         The lack of a “legitimate penological justification” is relevant in analyzing a
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    Opinion of the Court
    conditions-of-confinement claim. See Porter v. Clarke, 
    923 F.3d 348
    , 362–63 (4th Cir.
    2019). The record evidence supports the trial court’s conclusion and demonstrates
    that each challenged housing setting serves a distinct purpose. The record shows that
    RHDP is used exclusively for disciplinary purposes and is reserved for incarcerated
    individuals who have committed a disciplinary infraction, while RHAP serves
    administrative purposes, such as to protect staff, minimize the risk of escape, and
    preserve order. Unlike both RHDP and RHAP, the purpose of RHCP is to manage
    incarcerated individuals who have demonstrated a risk to the operations of a facility.
    Alternatively, HCON is reserved for individuals who pose the most serious threat and
    require an increased level of security over that offered by the other settings. Finally,
    the purpose of RDU is to discourage unwanted behaviors through appropriate
    consequences and positive reinforcement. The penological purposes served by each
    housing setting thus inform the placement of an individual into the appropriate
    classification, which necessarily requires an individualized assessment. As such, the
    trial court did not abuse its discretion in concluding that the varying penological
    purposes precluded a finding that plaintiffs established a common predominating
    issue.
    ¶ 21            The trial court next concluded that the wide variation in the duration of
    confinement in a challenged setting precluded a finding that plaintiffs established a
    common predominant issue. The duration of confinement in a challenged setting is
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    highly relevant to a conditions-of-confinement claim. See Hutto v. Finney, 
    437 U.S. 678
    , 686, 
    98 S.Ct. 2565
    , 57 L. Ed. 2d. 522 (1978) (“[T]he length of confinement cannot
    be ignored in deciding whether the confinement meets constitutional standards.”); see
    also Rice v. Corr. Med. Servs., 
    675 F.3d 650
    , 666 (7th Cir. 2012) (finding duration of
    confinement as one factor in determining whether a stay in administrative
    segregation constituted cruel and unusual punishment).
    ¶ 22         Plaintiffs contend that once individuals are placed in restrictive housing, they
    are subject to the same substantial risk of harm that can manifest within fifteen days
    of placement, and as such, they have established a common predominating issue. The
    trial court concluded, in its discretion, that the length of time individuals spend in
    restrictive housing varies across each challenged setting and impacts the nature of
    each plaintiff’s claim. This conclusion is supported by the record. Placement in RHAP,
    for instance, is initially limited to seventy-two hours and may be extended for up to
    fifteen days with further extension requiring approval by the Facility Classification
    Committee. Between October 2018 and October 2019, the average length of stay in
    RHAP was eight days. RHDP, alternatively, sets a maximum assignment of thirty
    days, and the average placement in RHDP between October 2018 and October 2019
    was eleven days. In contrast, the average length of stay in RHCP and HCON between
    October 2018 and October 2019 was 131 days and 154 days, respectively, and
    placements in RHCP and HCON are reviewed less frequently. Assignments to RHCP
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    and HCON are reviewed every six months in most instances and every twelve months
    for individuals who assaulted and injured a staff member. Therefore, despite
    plaintiffs’ claim, the differences between the challenged housing classifications are
    relevant given that the duration of placement varies. Because duration of
    confinement is relevant to a conditions-of-confinement claim and because the record
    evidence clearly indicates significant variations in the length of stay across each
    challenged restrictive housing setting, the trial court did not abuse its discretion in
    concluding that this factor precluded a finding that plaintiffs established a common
    predominating issue.
    ¶ 23         Next, the trial court concluded that each challenged housing setting has
    different procedural safeguards which affect plaintiffs’ ability to establish a common
    predominating issue. An assessment of procedural safeguards is relevant to a
    conditions-of-confinement claim. See Porter, 923 F.3d at 359–63 (holding that
    plaintiffs were placed in solitary confinement based upon being sentenced to death
    but were afforded no mechanisms for removal).
    ¶ 24         Here the trial court’s conclusion that different procedural safeguards
    accompany the challenged housing settings is supported by sufficient record evidence.
    As the record reveals, initial placement in RHAP may be made by an officer-in-charge
    without conducting a prior hearing or providing an opportunity to challenge the
    assignment. Review by a full committee is not required unless the placement is
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    extended beyond fifteen days. Alternatively, placement in RHDP requires an
    investigation resulting in compilation of a disciplinary package, a prior hearing, and
    an opportunity to appeal. Unlike both RHAP and RHDP, assignment to RHCP is
    preceded by a six-step review process by two separate committees. Moreover, an
    HCON placement requires a hearing, multiple reviews, and approval by specifically
    defined staff members, while assignment to RDU is based on recent disciplinary
    history and eligibility factors such as age, reading level, IQ score, and close custody
    designation, rather than a hearing.
    ¶ 25         Plaintiffs fail to account for the variations in procedural safeguards, which are
    relevant to a conditions-of-confinement claim. Such material variations hinder
    plaintiffs’ ability to establish a common predominating factor. Accordingly, the trial
    court did not abuse its discretion in concluding that the different procedural
    safeguards for each restrictive housing classification precluded a finding that
    plaintiffs established a common predominating issue.
    ¶ 26         Finally, the trial court concluded that the attendant conditions of each
    restrictive   housing    setting      vary    significantly,   are   relevant   to   a
    conditions-of-confinement claim, and prevent a finding that plaintiffs established a
    common predominating issue. Plaintiffs argue, though, that class-wide issues
    predominate when a class seeks injunctive relief from shared conditions that expose
    all class members to the same harm, irrespective of the specific conditions of a
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    particular housing assignment and individual experiences in restrictive housing.
    Given several general conditions common to all forms of restrictive housing, namely
    the amount of time individuals spend in their cells each day and the minimal
    opportunity for human interaction they receive, plaintiffs contend the trial court
    erred by considering conditions specific to the challenged restrictive housing settings.
    ¶ 27         Here the trial court determined that the most significant differences among
    the attendant conditions occur in the frequency of visitation, the nature of recreation,
    and the quantity and quality of interactions with other incarcerated people. This
    finding is supported by the record.
    ¶ 28         The record shows that visitation rights vary across the challenged settings.
    Offenders assigned to RHAP and RHDP may receive an unlimited number of
    one-hour noncontact visits, while individuals in RHCP and HCON are limited to two
    visits every thirty days. The record also highlights differences in which individuals
    in restrictive housing settings can interact with other inmates, including by location,
    whether restrained or unrestrained, frequency, and duration. Offenders placed in
    RDU, for instance, may recreate in an open yard with other inmates and access the
    gym. Individuals placed in the other restrictive housing settings, however, are limited
    to outdoor recreation, and the classifications differ on whether individual or group
    recreation is permitted. Further, the trial court found the availability of in-cell
    activities to be a relevant attendant condition. The degree to which individuals in
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    restrictive housing can participate in cell study programs and other types of
    stimulating activities varies by housing assignment. Placement in RDU affords
    individuals the opportunity to complete educational courses, receive high school and
    college credit, and participate in short-term work assignments similar to those offered
    in general population. Alternatively, offenders assigned to RHAP have access to a
    portable library, pastoral counseling, and cell-study materials.
    ¶ 29         Moreover, a journal article relied upon by plaintiffs echoes the relevance of
    varying attendant circumstances. The article explains that variables among housing
    conditions, including the availability of reading material and frequency of visitation,
    “might explain differing outcomes.”
    ¶ 30         Whether there is a substantial risk of harm depends significantly on the
    penological purposes served, the procedural safeguards, the duration and length of
    stay, and the relevant attendant circumstances to each restrictive housing
    assignment. Thus, the fundamental distinctions and individual issues identified by
    the trial court are material and far from collateral. Compare Faulkenbury, 
    345 N.C. at 698
    , 
    483 S.E.2d at
    431–32 (holding the trial court did not abuse its discretion in
    certifying a class, where plaintiffs’ claim for the underpayment of benefits
    predominated over individual, “collateral issues”), with Fisher, 369 N.C. at 215, 794
    S.E.2d at 709 (concluding the trial court did not abuse its discretion in certifying a
    class because “the same basic questions of fact and law will determine whether”
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    plaintiffs can recover damages from defendant). Accordingly, the trial court did not
    abuse its discretion in concluding that no common issue predominates over issues
    affecting only individual class members because of the fundamental differences
    across the housing classifications.
    ¶ 31         Plaintiffs alternatively contend the trial court erred because it “failed to
    acknowledge that institutionalized plaintiffs may seek broad systemic relief when
    faced with systemic risks of harm.” To support their contention, plaintiffs claim that
    when “a class seeks an indivisible injunction benefitting all its members at once, there
    is no reason to undertake a case-specific inquiry into whether class issues
    predominate,” quoting Wal-Mart Stores, Inc., 
    564 U.S. at
    362–63. As the trial court
    correctly concluded, however, the Supreme Court of the United States was analyzing
    a subsection of Rule 23 of the Federal Rules of Civil Procedure, Rule 23(b)(2), which
    is not included in North Carolina’s Rule 23. Further, it is well established that this
    Court has interpreted North Carolina’s Rule 23 to require plaintiffs seeking class
    certification to establish the existence of a class, which requires plaintiffs to
    demonstrate that each member has “an interest in either the same issue of law or of
    fact, and that issue predominates over issues affecting only individual class
    members.” Crow, 
    319 N.C. at 277
    , 
    354 S.E.2d at 462
    .
    ¶ 32         Plaintiffs have failed to establish that the claims of all potential class members
    share a common issue capable of resolution with one stroke. Beroth Oil Co., 367 N.C.
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    at 346, 757 S.E.2d at 476 (holding there was no error in the trial court’s denial of class
    certification because although defendant’s “generalized actions may [have been]
    common to all [potential class members’ properties], . . .” “liability [could] be
    established only after extensive examination of the circumstances surrounding each
    of the affected properties” (internal quotations and citation omitted)). We therefore
    hold the trial court did not abuse its discretion in concluding plaintiffs failed to
    demonstrate a common predominating issue among the purported class members.
    ¶ 33         While the trial court identified two additional bases for denying plaintiffs’
    motion for class certification—inadequacy of plaintiffs as class representatives and
    that litigation as a class is not a superior method of adjudication—we do not need to
    reach those bases here. The record evidence firmly supports the trial court’s
    conclusion that plaintiffs failed to establish a common predominating issue among
    the purported class members. Since the trial court did not abuse its discretion in
    determining plaintiffs failed to meet this initial requirement to class certification,
    review of the additional bases is not needed.
    ¶ 34         A trial court possesses broad discretion in class certification. Honoring that
    discretion is the “touchstone for appellate review” of class certification orders. See
    Frost, 
    353 N.C. at 198
    , 
    540 S.E.2d at 331
    . We hold that the trial court did not abuse
    its discretion in denying plaintiffs’ motion for class certification and affirm the trial
    court’s order.
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    Opinion of the Court
    AFFIRMED.
    Justice EARLS, dissenting.
    ¶ 35         While a trial court has discretion to determine whether to certify a class, that
    discretion is not completely unfettered. When the trial court erroneously requires
    plaintiffs to prove their case on the merits in the guise of determining a common legal
    issue, and where the trial court mischaracterizes the nature of the plaintiffs claims,
    those legal errors cannot be endorsed in the name of fidelity to the trial court’s
    discretion. See Beroth Oil Co. v. N.C. DOT, 
    367 N.C. 333
    , 342 (2014) (“In determining
    the propriety of a class action, the question is not whether the plaintiff or plaintiffs
    have stated a cause of action or will prevail on the merits, but rather whether the
    requirements of Rule 23 [class certification] are met.” (quoting Eisen v. Carlisle &
    Jacquelin, 
    417 U.S. 156
    , 178 (1974))); see also Blitz v. Agean, Inc., 
    197 N.C. App. 296
    ,
    312 (2009) (vacating a denial of class certification based on the trial court’s
    “misapprehension of applicable law”) (cleaned up).
    ¶ 36         In 2015, Justice Kennedy echoed words Dostoyevsky wrote over 150 years ago:
    “The degree of civilization in a society can be judged by entering its prisons.” Davis v.
    Ayala, 
    576 U.S. 257
    , 290 (2015) (Kennedy, J., concurring) (quoting The Yale Book of
    Quotations 210 (Fred R. Shapiro ed. 2006)). “There is truth to this in our own time.”
    Ayala, 576 U.S. at 290. “Prisoners are shut away— out of sight, out of mind.” Id. at
    288. For many people in prison, this detention includes the use of solitary
    confinement. Plaintiffs in this case allege that in North Carolina, people in solitary
    confinement are forced to live for twenty-two to twenty-four hours a day in cells no
    bigger than a typical parking space, with little to no opportunity for meaningful
    DEWALT V. HOOKS
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    Earls, J., dissenting
    human contact or environmental stimulation. And it is this policy, as a whole, that
    Rocky Dewalt, Robert Parham, Anthony McGee, and Shawn Bonnett (plaintiffs)
    challenge, not only for themselves but for anyone who is or will be subjected to solitary
    confinement.
    ¶ 37          Since at least 1890, the United States Supreme Court has noted “serious
    objections” regarding the use of solitary confinement. In re Medley, 
    134 U.S. 160
    , 168
    (1890). In In re Medley the Court noted that the adverse effects of solitary
    confinement occurred “after even a short confinement.” Id; see Ruiz v. Texas, 
    137 S. Ct. 1246
     (2017) (mem.) (Breyer, J., dissenting) (citing In re Medley, 
    134 U.S. at 172
    ).
    More recently Justice Kennedy acknowledged that “[y]ears on end of near total
    isolation exact a terrible price.” Ayala, 576 U.S. at 289 (Kennedy, J., concurring).
    Social isolation and lack of environmental stimulation are the hallmarks of solitary
    confinement. These practices can exacerbate pre-existing mental illnesses and cause
    the “appearance of an acute mental illness in individuals who had previously been
    free of any such illness.”1 See Stuart Grassian, Psychiatric Effects of Solitary
    Confinement, 22 Wash. U. J.L. & Pol’y 325, 333 (2006) (stating common side effects
    of solitary confinement include anxiety, panic, withdrawal, hallucinations, self-
    mutilation, and suicidal thoughts and behaviors). Even more significantly, the effects
    1This is especially concerning given people with mental illness are more likely to be
    subjected to solitary confinement than those without a mental illness.
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    Earls, J., dissenting
    of solitary confinement in many cases can be permanent. In North Carolina the effects
    of solitary confinement are especially harrowing, with at least one study finding that
    people who spent any time in solitary confinement in our state prisons “were
    significantly more likely to die of all causes in the first year after release than those
    who did not.” Statistics also demonstrate that African Americans and other people of
    color are disproportionately represented among persons subjected to solitary
    confinement.2
    ¶ 38          North Carolina still allows people to be placed in solitary confinement
    indefinitely. Plaintiffs challenge this State’s solitary confinement policy, arguing that
    the policy “viewed as a whole, impose[s] cruel or usual punishment forbidden by
    Article I, Section 27 of the state Constitution.” They seek declaratory and injunctive
    relief limiting the use of solitary confinement, such that it could only be used “as a
    last resort, and for the shortest time possible.” Because thousands of people are
    subjected to solitary confinement each day under the same statewide policy, there are
    2  The Vera Institute reported that “while 35 percent of the white incarcerated
    population had spent at least one night in restrictive housing during the [year prior to the
    study],” the same was true for 47 percent of African American individuals. Jessa Wilcox, Léon
    Digard, & Elena Vanko, Vera Inst. Of Just., The Safe Alternatives to Segregation Initiative:
    Findings and Recommendations for the North Carolina Department of Public Safety, 22-23
    (Dec. 2016). Further, people identifying as African American were overrepresented in all but
    one type of restrictive housing. Id. Latino men are also disproportionately impacted by
    solitary confinement, as they make up 16.9% of the male restrictive housing population
    across all evaluated jurisdictions, despite being only 15.4% of the total male custodial
    population. The Corr. Leaders Ass’n & The Arthur Liman Ctr. for Pub. Int. L. at Yale L. Sch.
    Time-In-Cell 2019: A Snapshot of Restrictive Housing based on a Nationwide Survey of U.S.
    Prison Systems, 26 (Sept. 2020).
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    Earls, J., dissenting
    thousands of potential class members, all of whom face nearly identical conditions.
    Class members challenge the same statewide practices, rely on the same legal theory,
    and seek uniform relief through changes to statewide policy. As plaintiffs’ brief makes
    clear “no one is asking for an individually tailored remedy based on unique personal
    circumstances.”
    ¶ 39         The trial court mischaracterized plaintiffs’ argument as “depend[ing] greatly
    on the individual class member’s experiences in the various restrictive housing
    settings.” In affirming the trial court’s order, the majority goes to great lengths to
    find irrelevant differences that do not have any legal significance. Instead of
    addressing plaintiffs’ argument, which requires that this State’s solitary confinement
    policy be “taken as a whole,” the majority engages in an analysis of the policy’s
    administrative classifications for solitary confinement, the varied average lengths of
    time each person is kept in solitary confinement, and the varied reasons a person may
    be subjected to such confinement, among other things. But none of these factors are
    relevant to a class certification motion in a case that challenges a statewide policy “as
    a whole.” See Brown v. Plata, 
    563 U.S. 493
    , 505 n.3 (2011) (addressing a class action
    challenge to a policy “taken as a whole”); see also Parsons v. Ryan, 
    754 F.3d 657
    , 678
    (9th Cir. 2014) (“That inquiry does not require us to determine the effect of those
    policies and practices upon any individual class member (or class members) or to
    undertake any other kind of individualized determination.”). Because North
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    Earls, J., dissenting
    Carolina’s solitary confinement policy allows for indefinite use of solitary confinement
    across all classifications, these distinctions cannot, as a matter of law, weigh against
    plaintiffs. See Pride v. Correa, 
    719 F. 3d 1130
    , 1137 (9th Cir. 2013) (stating that
    individual claims for relief “are discrete from the claims for systemic reform
    addressed in Plata.”).
    ¶ 40           It matters not how well supported by the evidence the trial court’s factual
    findings about the various classifications of confinement may be. “What all members
    of the putative class and subclass have in common is their alleged exposure, as a
    result of   specified statewide . . . policies and practices that govern the overall
    conditions of . . . confinement, to a substantial risk of serious future harm . . .” Parsons
    v. Ryan, 754 F. 3d. 657, 678 (2014). Thus, the legal significance of this detention policy
    for plaintiffs’ class certification motion is that plaintiffs must show that a large
    number of individuals are subject to the same treatment, namely, twenty-two to
    twenty-four hours of isolation inside a cell for an indefinite amount of time;
    accordingly, as a legal matter, those individuals can request the same type of relief.3
    3  The majority’s analysis is like saying that in a suit challenging the constitutionality
    of a reduction in public employees’ disability benefits, a class action cannot be maintained
    because different class members receive differing payments and thus would recover different
    amounts. It may be true that disability benefits and recovery amounts vary, but that’s not
    the point. In this example, as a class, this group challenges the constitutionality of their
    reduction in disability benefits, and thus class certification is appropriate for class-wide
    relief. See Faulkenbury v. Tchrs’ & State Emps’ Ret. Sys., 
    345 N.C. 683
    , 698 (1997) (“The
    predominate issue is how much the parties’ retirement benefits were reduced by an
    unconstitutional change in the law. This issue defines the class.”).
    .
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    Earls, J., dissenting
    See Braggs v. Dunn, 
    317 F.R.D. 634
    , 667 (M.D. Ala. 2016) (“The Supreme Court has
    approved of system-wide relief in prison cases involving systemwide violation[s]
    resulting from systemwide deficiencies” (quoting Plata, 
    563 U.S. at 532
     (cleaned up))).
    The majority also determined that because there are differences in the frequency of
    visitation, the nature of recreation, and the quantity and quality of human
    interaction, the plaintiffs could not establish a predominating issue. Yet plaintiffs’
    argument is not that there aren’t differences among the different housing
    assignments. Those distinctions are irrelevant. See Parsons, 
    754 F. 3d 657
    , 678 (9th
    Cir. 2014). Instead, they argue that the actual conditions of confinement in every
    instance, whatever the housing arrangements, or visitation options, which dictate
    that a person will spend twenty-two to twenty-four hours a day in a cell, for an
    indefinite time, violate Article I, Section 27 of the North Carolina Constitution. See
    id. at 678.
    ¶ 41          Plaintiffs’ argument is similar to the contentions advanced in Plata v. Brown.
    In Plata the class was composed of state prisoners who suffered an alleged
    constitutional violation based on “systemwide deficiencies” in prison “medical and
    mental health care that, taken as a whole, subject[ed] sick and mentally ill prisoners
    in California to ‘substantial risk of serious harm’ and cause[d] the delivery of care in
    the prisons to fall below the evolving standards of decency that mark the progress of
    a maturing society.” 
    563 U.S. at
    505 n.3 (quoting Farmer v. Brennan, 
    511 U.S. 825
    ,
    DEWALT V. HOOKS
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    Earls, J., dissenting
    834 (1994)). In Plata the Court further stated that because the plaintiffs did “not base
    their case on deficiencies in care provided on any one occasion, [there was] no occasion
    to consider . . . particular deficienc[ies] in [the] medical care complained of.” 
    Id.
    Similarly, because plaintiffs in this case do not allege a constitutional violation based
    on particular deficiencies but rather make allegations related to North Carolina’s
    policy “as a whole,” the majority’s analysis of differences in the ways in which
    different types of restrictive housing implement the policy is misplaced. Specifically,
    the majority’s recitation of variations in implementation of the policy’s administrative
    classifications for solitary confinement, the varied average length of time a person is
    kept in solitary confinement, the varied reasons a person may be subjected to such
    confinement, frequency of visitation, the nature of recreation and the quantity and
    quality of human interaction is irrelevant to the determination before us now. See id.;
    see also Parsons, 754 F. 3d at 678.
    ¶ 42         Furthermore, the trial court improperly assessed the merits of plaintiffs’
    claims when it found there was not enough evidence to show the “Department’s
    [solitary confinement] policies and practices actually caused the complained of
    harm[.]” Addressing the merits of the plaintiffs’ case not only bypasses the process of
    discovery and trial but is also legal error. In North Carolina, Rule 23 does not ask
    whether the plaintiff will prevail on the merits and any inquiry into the merits of a
    case should be limited to the issue of class certification. Beroth Oil, 367 N.C. at 342,
    DEWALT V. HOOKS
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    Earls, J., dissenting
    342 n. 5 At this stage plaintiffs are only required to show that North Carolina’s
    statewide solitary confinement policy and practice exposes class members to a
    common risk of harm, not whether this exposure occurred or rises to the level of a
    constitutional violation. See Beroth Oil, 
    367 N.C. 333
     at 342. The evidence submitted
    by the plaintiffs meets this burden because at this stage all they seek to establish is
    that a group of people within North Carolina prisons may be exposed to a risk of harm
    because they spend twenty-two to twenty-four hours a day inside a cell.
    ¶ 43         In making its determination, the trial court considered two of the four reports
    submitted by the plaintiffs. One report detailed the increased risk during community
    reentry following the use of solitary confinement. The trial court and majority
    conclude alike that because the study involved observational data and correlational
    analysis, it could not “provide concrete support” for plaintiffs’ claim that solitary
    confinement increases the risk of post-release mortality. However, this does not
    address class certification under Rule 23, see Beroth Oil, 367 N.C. at 342 n. 5, and
    instead the trial court and majority’s reasoning addresses the central question in this
    case, namely whether defendants have in fact imposed a class wide policy that causes
    a substantial risk of serious harm. Yet at this point in the litigation, there is only one
    discreet question– whether class certification is met under Rule 23. See id.
    ¶ 44         Regarding the second study, the Vera Report, the majority recounts the trial
    court’s findings stating the report was “insufficient to connect DPS’s practices to the
    DEWALT V. HOOKS
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    Earls, J., dissenting
    alleged risk of harm.” In doing so, the majority notes that the Vera Report
    “commended DPS on its previous reform efforts, suggested that DPS continue
    implementation of both current and future reform,” and noted that DPS’s restrictive
    housing population had decreased by 10% one month after the study concluded.”
    However, this line of reasoning speaks to the merits of the plaintiffs alleged
    constitutional violation and is more properly addressed at a later stage in the
    litigation. See Beroth Oil, 367 N.C. at 342 n. 5. Thus, because at this stage plaintiffs
    only seek to establish a class of persons subjected to solitary confinement for twenty-
    two to twenty-four hours a day, their burden has been met.
    ¶ 45         Furthermore, although the majority does not reach this issue, the trial court
    found that the named representatives would not fairly and adequately represent the
    interests of all class members because (1) the plaintiffs do not represent the “wide
    spectrum of inmates potentially encompassed in the class,” and (2) “their own actions
    may compromise the viability of their own claims.” This conclusion was based upon
    the named plaintiffs being “placed in restrictive housing early in their sentence” and
    “being repeatedly assigned to restrictive housing or having had their assignment
    extended” due to “repeated disciplinary infractions.” However, the class is not based
    on the individual actions or circumstances of each plaintiff, instead it is based on a
    solitary confinement policy that subjects people to twenty-two to twenty-four hours a
    day in a cell, for an unlimited number of days. Thus, plaintiffs being placed in solitary
    DEWALT V. HOOKS
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    Earls, J., dissenting
    confinement early in their sentences, or the reason they were placed there or had
    their time there extended has no legal relevance.
    ¶ 46          The trial court also found that a class action was not superior to other available
    methods of adjudication because litigation would “devolve into a series of mini trials”
    about “each of the challenged restrictive housing assignments” and “the myriad of
    other relevant considerations and defenses that undoubtedly would not apply
    uniformly to all potential class members.” Here again the trial court mischaracterized
    plaintiffs’ arguments. Because plaintiffs challenge the policy as a whole there is no
    occasion to consider the individual circumstances of each plaintiff. See Plata v.
    Brown, 
    563 U.S. 493
    , 505 n.3 (2011). Instead, what is important is that the class is
    composed of people who spend twenty-two to twenty-four hours a day in a cell in social
    isolation.
    ¶ 47          Lastly, in upholding the trial court’s order, the majority repeatedly states that
    a trial court has broad discretion to decide whether to certify a class. Although it is
    true that under this Court’s precedent in Crow v. Citicorp Acceptance Co., Inc., 
    319 N.C. 274
     (1987), a “trial court has broad discretion,” this discretion relates to
    balancing “[t]he usefulness of the class action device. . . against inefficiency or other
    drawbacks.” 
    Id. at 284
    . Assessing the extent to which evidence proffered on the class
    certification motion proves that plaintiffs have suffered a violation of their
    constitutional rights is a legal error and does nothing to contemplate the required
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    Earls, J., dissenting
    balance. Instead, it evidences hostility to their claim on the merits, which is not the
    appropriate assessment at this point in the litigation. In other words, it is an abuse
    of discretion for the trial court to deny class certification on the grounds that the
    plaintiffs should lose on the merits. See Beroth Oil, 367 N.C. at 342.
    ¶ 48          The class here is not based on the individual circumstances of each plaintiff,
    instead it is based on a solitary confinement policy that subjects people to twenty-two
    to twenty-four hours a day in a cell, for an unlimited number of days. Like in
    Faulkenbury, 
    345 N.C. at 698
    , plaintiffs all seek the same type of relief, namely an
    injunction and declaratory judgment that the state constitutional guarantees mean
    that solitary confinement be used only as a last resort and for the shortest time
    necessary. See 
    id.
     (“Each of the parties had a claim based on what he or she contends
    is underpayment of retirement benefits. This claim predominates over issues
    affecting only one individual class member. This establishes a class.”). Likewise, class
    certification is not based on an assessment of the plaintiffs’ allegations on the merits.
    See Beroth Oil, 367 N.C. at 342 n. 5. Thus, whether plaintiffs provided correlational
    or observational evidence cannot be relevant to this inquiry because all that is
    necessary to establish the grounds for class certification is that there is a group of
    people alleged to be exposed to the same treatment of little to no social interaction or
    environmental stimulation for twenty-two to twenty-four hours a day inside a cell.
    ¶ 49         “[C]onsideration of these issues is needed” and “[t]here are indications of a new
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    Earls, J., dissenting
    and growing awareness . . . of solitary confinement.” Ayala, 576 U.S. at 289 (Kennedy,
    J., concurring). Even years ago, it was “evident that some changes must be made in
    the system.” In re Medley, 
    134 U.S. 160
    , 168 (1890). As a result of the “terrible human
    toll” resulting from solitary confinement, Ruiz 137 S. Ct. at 1247 (Breyer J.
    dissenting), it has been suggested that if a case presents an issue of solitary
    confinement, “the judiciary may be required, within its proper jurisdiction and
    authority, to determine whether workable alternative systems for long term
    confinement exist, and, if so, whether a correctional system should be required to
    adopt them.” Ayala, 576 U.S. at 290 (Kennedy, J., concurring). Today this Court has
    the responsibility to apply the criteria for class certification to the claim that is
    actually being brought by plaintiffs, not to the claim as chopped up and reconstituted
    by defendants and the majority.
    ¶ 50         Plaintiffs are asking this Court to recognize that, as a group, they have state
    constitutional rights that are implicated by North Carolina’s solitary confinement
    practices. Those rights are equally violated by the whole policy, without regard to
    whether detainees are in RHAP, RHDP, HCON, or some other acronym for the same
    thing–solitary confinement in a single cell for twenty-two to twenty-four hours a day
    for an indefinite number of days. The majority essentially holds that because it does
    not agree with the constitutional claims on the merits, class certification is not
    appropriate. But our system of laws has long recognized the importance of the class
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    Earls, J., dissenting
    action vehicle for the resolution of disputes in which large numbers of individuals
    share a common claim and would all benefit from a common resolution.4
    ¶ 51           Because plaintiffs challenge a widespread state policy and seek to establish a
    class of individuals who are subject to the same policy allowing for twenty-two to
    twenty- four hours inside a prison cell for an indefinite period, I would hold that the
    trial court based its ruling on a misapprehension of plaintiffs’ claim and a mistake of
    law. I would reverse the trial court’s order denying class certification, and remand
    the matter for further proceedings applying the correct understanding of class
    certification in these circumstances. Accordingly, I respectfully dissent.
    Justice HUDSON joins in this dissenting opinion.
    4The English bill of peace, which originated in the middle ages to facilitate the adjudication of
    disputes involving common questions and multiple parties in a single action, was the basis for North
    Carolina’s early class action decisions in the late 1800s. See Chambers v. Moses H. Cone Mem'l Hosp.,
    
    374 N.C. 436
    , 440 (2020) (citing Bronson v. Wilmington N.C. Life Ins. Co., 
    85 N.C. 411
    , 414 (1881)
    (acknowledging the class action mechanism as a feature of civil procedure)).