Destine Johnson v. General Motors Corporation , 574 S.W.3d 347 ( 2018 )


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  •                                                                                          10/24/2018
    IN THE COURT OF APPEALS OF TENNESSEE
    AT KNOXVILLE
    July 18, 2018 Session
    DESTINE JOHNSON, ET AL. v.
    GENERAL MOTORS CORPORATION, ET AL.
    Appeal from the Chancery Court for Washington County
    No. 35028 John C. Rambo, Chancellor
    ___________________________________
    No. E2017-01642-COA-R3-CV
    ___________________________________
    In this appeal, the plaintiffs alleged that the defendants conspired to prevent new cars
    sold in Canada from being imported into Tennessee and the rest of the United States in
    violation of Tennessee’s antitrust and consumer protection laws. The plaintiffs
    contended that new car prices in Canada are significantly lower than prices for the same
    cars in the United States and that the effect of the conspiracy was to restrict competition
    and maintain significantly higher prices. The trial court approved a settlement agreement
    and dismissed the case with prejudice against certain defendants. The plaintiffs appeal.
    We affirm.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Chancery Court
    Affirmed; Case Remanded
    JOHN W. MCCLARTY, J., delivered the opinion of the court, in which D. MICHAEL
    SWINEY, C.J., and ARNOLD B. GOLDIN, J., joined.
    Gordon Ball, Knoxville, Tennessee and Thomas C. Jessee, Johnson City, Tennessee, for
    the appellants, Destine Johnson, Helen Jane Kerns, C. Wayne Bartley, and Melonie C.
    Banks.
    K. Erickson Herrin, Johnson City, Tennessee, and Carrie C. Mahan, Washington, D.C.,
    for the appellees, Ford Motor Company, Ford Motor Company of Canada, Ltd., Daimler
    Chrysler Canada, Inc., and Mercedes-Benz Canada, Inc..
    OPINION
    I. BACKGROUND
    In February 2003, various plaintiffs and plaintiffs’ counsel filed class action
    complaints in federal and state courts throughout the United States, including the subject
    action filed in the Chancery Court for Washington County (“the Chancery Court”). The
    action in Washington County was filed against eighteen automobile manufacturers and
    two automobile-dealer trade organizations.            The Washington County complaint
    (“Complaint”) was filed by three law firms: Ball & Scott,1 Jessee & Jessee (two
    Tennessee firms) and Cohen, Milstein, Hausfeld & Toll (“Cohen Milstein”). Cohen
    Milstein is a national plaintiffs’ firm that also filed complaints in a number of other state
    courts, teaming with local counsel in those jurisdictions just as they did in Tennessee.
    Complaint alleged antitrust claims under Tennessee law and sought to certify a
    Tennessee-only class of consumers. The basis for these claims, in all of the federal and
    state complaints, was that the automobile manufacturers and dealer trade associations had
    conspired to restrict the export of nearly-new Canadian vehicles into the United States.
    The federal cases initially alleged a violation of the Sherman Act and sought the
    certification of a national class of consumers. The federal cases were consolidated
    through the Multidistrict Litigation (“MDL”) process before the Honorable D. Brock
    Hornby in the United States District Court for the District of Maine. See In re New
    Motor Vehicles Canadian Export Antitrust Litig., MDL No. 1532. In 2004, following
    Judge Hornby’s dismissal of the federal plaintiffs’ damages claims, the federal plaintiffs
    amended their complaint in the MDL action to assert claims under state laws, including
    the Tennessee Trade Practices Act and the Tennessee Consumer Protection Act, the same
    statutes the plaintiffs plead in Complaint. See 
    Tenn. Code Ann. § 47-25-101
     et seq.;
    
    Tenn. Code Ann. § 47-18-101
     et seq.
    In June of 2004, the federal court in conjunction with a number of state courts
    entered a Joint Coordination Order, which established a unified process for pretrial
    proceedings and discovery. This order designated the federal MDL as the “lead case”
    and provided that all discovery, including the present action, proceed through the MDL.
    The Coordination Order provided all signatories, including counsel in the present case,
    not only with access to all discovery in the federal case but also specifically allowed them
    to participate in all discovery in the federal case, so as to protect their interest. As a result
    of the Coordination Order, there was no unique discovery to the case at bar. Lawyers
    from Cohen Milstein signed the Coordination Order and were active participants in
    discovery and in all the companion cases. There is no dispute that no attorney from
    Cohen Milstein ever made a physical appearance on behalf of the plaintiffs in the
    1
    Ball & Scott is now known as Gordon Ball, PLLC.
    -2-
    Chancery Court. However, Cohen Milstein was never removed from the case.
    To prosecute the companion federal and state cases, the plaintiffs’ counsel,
    representing both federal and state plaintiffs, agreed upon and formalized a cooperative
    representation of the state and federal plaintiffs. In these efforts, a Coordinated Action
    Counsel committee was formed, with representation from state plaintiffs’ counsel, and
    unified the decision making process by entering into a “confidential joint prosecution
    agreement.” Both state and federal counsel were involved in this agreement.
    As the federal litigation moved forward, state plaintiffs’ counsel participated in
    and made appearances and arguments on the record in the federal action. D. Small of
    Cohen Milstein reported to the federal court the status of state cases, including
    Tennessee, on June 16, 2004. Cohen Milstein has explicitly stated that they appeared in
    the federal case on behalf of the state plaintiffs, including Tennessee.
    Cohen Milstein worked closely in the negotiations for the settlement agreements
    with the settling defendants. Cohen Milstein also signed, on behalf of their state plaintiff
    clients, each of the settlement agreements reached with the settling defendants. When the
    plaintiffs’ counsel sought an award of attorney’s fees from the federal court, Cohen
    Milstein submitted a sworn declaration from one of its lawyers to the court describing its
    activities on behalf of the state plaintiffs in the federal litigation:
    Drafted and reviewed pleadings and other papers for filing,
    including complaints, motions, regarding class certification,
    discovery, summary judgment, and settlement papers;
    investigated the claims asserted in the coordinated action,
    including     discovery    through     document      requests,
    interrogatories, and examination by deposition; corresponded
    with experts; corresponded with coordinated action counsel;
    engaged in settlement discussions with opposing counsel;
    reviewed and analyzed briefs filed by the defendants; traveled
    to and attended status conferences and hearings before the
    courts.
    The plaintiffs in the MDL moved to certify 20 state damage classes, including a
    class of Tennessee consumers. The court granted this certification, but on March 28,
    2008, the First Circuit vacated the district court’s decision. See In re New Motor Vehicles
    Canadian Exp. Antitrust Litig., 
    522 F. 3d 6
    , 8-9, 29 (1st Cir. 2008). The First Circuit held
    that the theory was deficient, speculative and could not establish the impact. 
    Id.
     at 28-
    29.
    While this was occurring, the defendants moved for summary judgment in the
    MDL action. The consolidated plaintiffs’ group filed a joint opposition to the motion.
    -3-
    Cohen Milstein signed on to the brief in opposition on behalf of the various state
    plaintiffs.
    On July 2, 2009, the federal court granted summary judgment and entered
    judgment on the claims of all remaining federal plaintiffs, which were brought under the
    laws of 19 different states, including Tennessee. In re New Motor Vehicles Canadian
    Exp. Antitrust Litig., 
    632 F. Supp. 2d 42
    , 51 n. 13, 62-63 (D. Me. 2009). The district
    court held that the federal plaintiffs could not prove harm from their claims. 
    Id. at 58-59, 63
    . The court examined the law of all 19 states and determined that each state –
    including Tennessee -- requires evidence of injury, and this was not proven. 
    Id.
     The
    federal court entered judgment in favor of the defendants on August 24, 2009.
    All the while, this case was pending in the Chancery Court. On September 8,
    2005, the Chancery Court entered an order deferring further action in the case until Judge
    Hornby ruled on the certification issues. Several defendants were voluntarily dismissed
    from this action: BMW of North America; BMW Canada, Inc.; DaimlerChrysler AG;
    NADA; Nissan North America, Inc.; American Honda Motor Co., Inc.; Honda Canada
    Inc.; CADA; Toyota Motor Corporation; Toyota Motor Sales, U.S.A., Inc.; and Toyota
    Canada, Inc.
    Following the federal summary judgment decision and the active participation of
    the state action plaintiffs in the joint prosecution of the federal action, the Ford Motor
    Company defendants (“Ford”) moved on behalf of certain defendants for judgment in the
    Minnesota companion case. The Minnesota court ruled that the federal judgment bound
    the Minnesota plaintiffs and entered judgment for all the defendants. See Lerfald v. Gen.
    Motors Corp., No. 27-CV-03-3327 (Minn. Dist. Ct. Hennepin Cnty. Sept. 17, 2010).
    Applying the doctrine of claim preclusion, the court explained that the states are bound
    by the federal judgment even though they were not formally parties. 
    Id.
     The court set
    forth the manner in which plaintiffs, through counsel, actively participated in the joint
    prosecution of the federal action, and determined that because plaintiffs “were adequately
    represented . . . in the federal litigation upon the same subject matter, res judicata
    principles bar plaintiffs from reasserting their claims before state . . . court.”
    Following their success in the Minnesota court, Ford filed a similar motion in the
    Arizona companion case. Arizona likewise held that res judicata bars the claim because
    the plaintiffs were adequately represented in the MDL action. See Maxwell v. Gen.
    Motors Corp., No. CV 2003-003925 (Ariz. Super. Ct. Maricopa Cnty. Mar. 1, 2011).
    The court found that both sets of plaintiffs made the same claims under the same theories.
    Further, the court noted, “it is difficult to imagine a more compelling case for preclusion
    based on adequate representation.” A very similar motion has also been successful in
    New Mexico and Wisconsin. See Corso v. Gen. Motors Corp., No. D-1010-CV-2003-
    00668 (N.M. 1st Jud. Dist. Ct. Jan. 19, 2018); Rasmussen v. Gen. Motors Corp., No. 03-
    CV-001828 (Wisc. Cir. Ct. Mar. 19, 2018).
    -4-
    In the midst of these successful motions, the Chancery Court of Washington
    County was faced with considering a similar res judicata motion. The Chancery Court
    rejected the plaintiffs’ arguments and held:
    Plaintiffs here were in privity with the plaintiffs in the federal
    action because the same Tennessee statutes were at issue in
    both cases and the interests of both sets of plaintiffs were
    aligned; the federal plaintiffs understood themselves to be
    acting in a representative capacity and the federal court took
    care to protect the interests of the non-party state plaintiffs,
    including the Tennessee state plaintiffs; and notice of the
    federal action was clearly provided to the Plaintiffs here. For
    these reasons, the Plaintiffs here were adequately represented
    in the federal action.
    The Chancery Court further held that privity existed due to the representation by
    Cohen Milstein,
    who actively participated in the federal action on behalf of the
    state plaintiffs, including the Tennessee state plaintiffs, by
    entering into a confidential Joint Prosecution Agreement
    between the state and federal plaintiffs’ attorneys, which was
    designed to protect the interests of all plaintiffs, state and
    federal; by being part of the Coordinated Action Counsel
    Committee, which was also created to represent and protect
    the interests of all plaintiffs, state and federal; by participating
    in strategic decisions regarding the claims, theories,
    discovery, and hiring of experts; by appearing in the federal
    action on behalf of these Plaintiffs; and by signing on to the
    opposition to the summary judgment motion that ended the
    federal action.
    Based on the Chancery Court’s finding that Ford was entitled to judgment, the
    court held that the reasoning of the judgment applied equally to all remaining defendants
    in the action, and thus entered judgment in favor of FCA Canada, Inc. f/k/a
    DaimlerChrysler of Canada, Inc., and Mercedes Benz Canada, Inc. (“Chrysler
    Defendants”), the only other remaining defendants. In granting Ford’s res judicata
    motion, the Chancery Court explicitly considered and rejected that Cohen Milstein did
    not represent the plaintiffs. The court noted that Cohen Milstein had been one of the
    firms filing the complaint that initiated the case and that they were never withdrawn. The
    court reviewed the facts showing Cohen Milstein’s involvement in the federal action on
    behalf of state plaintiffs and concluded that there was no dispute as to whether adequate
    -5-
    representation is present.
    The plaintiffs filed a timely appeal in this case after the Chancery Court ruled on
    the res judicata motion.
    II. ISSUES
    A.     Whether the Chancery Court correctly granted the res judicata
    motion below and entered judgment for the appellees based
    upon a 2009 ruling and subsequent entry of a judgment in the
    companion federal action, thus providing the due process
    protections required for the application of res judicata.
    B.     Whether the Chancery Court was correct when it entered
    judgment for all remaining defendants against whom identical
    claims were asserted because res judicata precludes the
    appellants from asserting those claims in their entirety.
    III. STANDARD OF REVIEW
    A trial court’s decision that a lawsuit is barred by principles of res judicata
    presents a question of law reviewed de novo by this court. In re Estate of Boote, 
    198 S.W.3d 699
    , 719 (Tenn. Ct. App. 2005). The Chancery Court’s decision carries no
    presumption of correctness. In re Estate of Goza, 
    397 S.W.3d 564
    , 566 (Tenn. Ct. App.
    2012).
    IV. DISCUSSION
    The Chancery Court held that the appellants, who advanced the same Tennessee
    antitrust and consumer protection claims as the federal Tennessee plaintiffs, based on the
    same evidence and theory of harm, are bound by that earlier judgment. Under accepted
    principles, “res judicata bars a second suit between the same parties or their privies on the
    same cause of action with respect to all issues which were or could have been litigated in
    the former suit.” Richardson v. Tenn. Bd. of Dentistry, 
    913 S.W.2d 446
    , 459 (Tenn.
    1995); Goeke v. Woods, 
    777 S.W.2d 347
    , 349 (Tenn. 1989) (quoting Massengill v. Scott,
    
    738 S.W.2d 629
    , 631 (Tenn. 1987)).
    A.
    The appellants, who advance the same theories and arguments based on the same
    facts as the federal plaintiffs, had a full and fair opportunity to litigate the matter in the
    MDL action. This action is almost a copy of the federal action, arising out of identical
    -6-
    factual circumstances. Judge Hornby’s decision in the federal action constitutes a final
    decision on the merits of those claims, and therefore, this action is barred. Five other
    state courts have ruled on this same issue of whether the plaintiffs in the companion state
    actions are bound by the federal summary judgment decision.2 The findings of these
    states support the Chancery Court’s ruling. Based on the relevant principles of law, prior
    case law and the facts of the present case, we find that the Chancery Court’s decision
    must be affirmed.
    In Taylor v. Sturgell, the United States Supreme Court recognized several
    exceptions to the rule against nonparty preclusion. 
    553 U.S. 880
    , 894-895 (2008). Of
    these exceptions, two apply to the case at hand: where plaintiffs (1) were “adequately
    represented” in a prior litigation or (2) exercised control over that prior litigation. 
    Id.
    The evidence supports the Chancery Court’s determination that both of these exceptions
    are easily satisfied. It is commonly accepted in Tennessee that “different parties are in
    privity if they stand in the same relationship to the subject matter of the litigation.”
    Trinity Indus., Inc. v. McKinnon Bridge Co.,
    77 S.W.3d 159
    , 185 (Tenn. Ct. App. 2001).
    There can be no dispute that both the federal plaintiffs, as well as the plaintiffs in this
    case, stood in the same relationship to the subject matter of the litigation in their
    respective courts.
    1.
    In Taylor, the Court made clear that representation of a nonparty is “adequate” for
    preclusion purposes if: (1) the interest of the nonparty and its representative are aligned;
    (2) either the party understood itself to be acting in a representative capacity or the
    original court took care to protect the interests of the nonparty; and (3) notice of the
    original suit has been given to the persons alleged to have been represented. Taylor, 
    553 U.S. at
    900 (citing Richards v. Jefferson Cnty., 
    517 U.S. 793
    , 801-802 (1996); Hansberry
    v. Lee, 
    311 U.S. 32
    , 43 (1940)).
    The Chancery Court held that there was no dispute as to the presence of adequate
    representation. The first element is the alignment of the interest of the nonparty and its
    representative. This element is clearly satisfied. The parallel proceedings between
    federal and Tennessee plaintiffs were identical. They contained the same subject matter,
    claims, and evidence. The Chancery Court noted that: “[t]he subject matter[,] claims, the
    record, it’s all the same.” This led the Chancery Court to conclude: “the federal and
    Tennessee plaintiffs had identical interests because the actions, the parallel actions were
    identical.” We agree with the trial court on this finding. It is perfectly reasonable to
    2
    Minnesota, Arizona, New Mexico, and Wisconsin granted motions essentially identical
    to the motion before the Chancery Court and entered judgment for all defendants on all claims.
    The California court also found that res judicata barred plaintiffs’ claims in the parallel
    California case, based upon that state’s “primary rights doctrine.”
    -7-
    believe that two separate parties suing for exact claims on the exact same theory would
    have an exact same interest in the action.
    The next element that must be proven to establish “adequate representation” is the
    party acting in a representative capacity. Counsel for the plaintiffs’ actions in the federal
    case could be described as a highly active role. Cohen Milstein vigorously participated in
    litigating the federal case from the start. There was a written joint prosecution agreement
    that was, according to counsel’s sworn declaration, “intended to protect the interests of
    all plaintiffs.” Further, plaintiffs concede this element in their brief by stating that “[a]s
    State Action Counsel . . . Cohen Milstein was actively involved in the representation of
    state plaintiffs in other state courts and in the coordinated federal actions.”
    The national collaboration of counsel, giving the states a voice in the federal suit,
    exemplifies that the federal plaintiffs knew they were acting as representatives to the
    states. Coordinating plaintiffs’ counsel is on the record informing the federal court that
    they had “reached a confidential agreement providing for coordinated prosecution of all
    the actions.” This protection and representation results from those attorneys in the
    federal suit acting as counsel for the state plaintiffs.
    Counsel for the plaintiffs represented them in federal court, in the negotiation of
    the joint prosecution agreement, in the committee that participated in controlling all of
    the litigation against the defendants, in the development of the legal and expert theory of
    the case, in the negotiation of settlements, and finally in the unsuccessful opposition to
    the defendants’ motion for summary judgment. Therefore, we find that the appellants in
    this case are bound by the decision on that motion. Accordingly, we agree with the trial
    court on this finding. Based on the record presented, we agree that the party acted in a
    representative capacity.
    Further the Chancery Court held that even if there was no action in a
    representative capacity, the second element was met based on the court taking care to
    protect the interest of the nonparty. As stated in the Joint Coordination Order, the federal
    court understood itself to be responsible for conducting “the lead case.” The joint
    discovery plan provided for state plaintiffs’ protection in all phases of discovery, and the
    federal court permitted state plaintiffs’ counsel to participate to protect their interests in
    the federal forum. Further, Judge Hornby sent updates to the state court judges to keep
    them advised on the developments in the federal case. All of this information led the
    Chancery Court to hold that, “the federal court took care to protect the interests of the
    nonparty state plaintiffs, including the Tennessee state plaintiffs.” Accordingly, we agree
    with the Chancery Court that the federal court carefully protected the interests of the
    present plaintiffs.
    The final factor that is required to satisfy “adequate representation” is that notice
    of the original suit has been given to the persons alleged to have been represented.
    -8-
    Taylor states that notice is not always required. 
    553 U.S. at
    901 n.11. However, in the
    present case, it is undisputed that the appellants here had such notice.
    Based on the satisfaction of these three elements, we hold that the plaintiffs were
    “adequately represented” in the federal action. Therefore, an exception to the rule against
    nonparty preclusion is present. We agree with the trial court that res judicata bars this
    claim.
    2.
    The plaintiffs are also bound by the outcome of the federal proceeding on the
    independent ground that they were part of the group of plaintiffs that ‘“assumed control’
    over the litigation in which that judgment was rendered.” Taylor, 
    553 U.S. at 895
    .
    Tennessee courts have described this standard as:
    [W]henever one has an interest in the prosecution or defense
    of an action, and he, in the advancement or protection of such
    interest, openly takes substantial control of such prosecution
    or defense, the judgment . . . is conclusive for and against him
    to the same extent as if he were . . . the real party to the
    action.
    Tenn. Eastman Co. v. Adams, 
    381 S.W.2d 269
    , 272 (Tenn. 1964).
    The plaintiffs here exercised such control as part of the group of plaintiffs whose
    attorneys collaboratively made strategic and procedural decisions pursuant to their joint
    prosecution agreement. The Chancery Court explained that the plaintiffs:
    [e]xercised control over the federal litigation through their
    counsel Cohen Milstein, who actively participated in the
    federal action on behalf of the state plaintiffs, including the
    Tennessee state plaintiffs, by entering into a confidential Joint
    Prosecution Agreement between the state and federal
    plaintiffs’ attorneys, which was designed to protect the
    interests of all plaintiffs, state and federal; by participating in
    strategic decisions regarding the claims, theories, discovery,
    and hiring of experts; by appearing in the federal action on
    behalf of these Plaintiffs; and by signing on to the opposition
    to the summary judgment motion that ended the federal
    action.
    Throughout the federal litigation, counsel for the state plaintiffs reiterated that the
    strategic decisions were the result of coordination between the parties intended to protect
    -9-
    the interest of all plaintiffs – state and federal. This is exemplified by the state plaintiffs’
    joinder, through counsel, in the very summary judgment filings that led to the issuance of
    the federal court judgment.
    Either adequate protection of the plaintiffs’ interest, or their exercise of control
    over the federal litigation, is sufficient by itself to establish privity between the Tennessee
    plaintiffs and the federal plaintiffs, making the federal judgment binding upon the
    Tennessee plaintiffs. Both factors are clearly present in this case, as found by the
    Chancery Court. We agree that the Chancery Court correctly granted Ford’s res judicata
    motion and entered judgment for the defendant based upon a 2009 ruling and subsequent
    entry of a judgment in the companion federal action, thus providing the due process
    protections required for the application of res judicata.
    B.
    The Chancery Court entered judgment in favor of all the defendants remaining in
    this case. The plaintiffs contend that the trial court erred in granting judgment based on
    res judicata to all remaining defendants. We must agree that the Chancery Court acted
    properly when it entered judgment for all remaining defendants against whom identical
    claims were asserted because res judicata precludes the appellants from asserting those
    claims in their entirety.
    Res judicata is a claim preclusion doctrine that bars the re-litigation of entire
    claims – not individual defendants. State ex rel. Cihlar v. Crawford, 
    39 S.W.3d 172
    , 178
    (Tenn. Ct. App. 2000) (citations omitted); Brown v. Shappley, 
    290 S.W.3d 197
    , 201
    (Tenn. Ct. App. 2008). In Tennessee, a trial judge can dismiss an action sua sponte,
    whether one, all, or no defendants moved the court, based on res judicata. Patton v.
    Estate of Upchurch, 
    242 S.W.3d 781
    , 791 (Tenn. Ct. App. 2007). Further, the Tennessee
    Supreme Court has construed Rule 41.02 of the Tennessee Rules of Civil Procedure to
    “authorize a trial judge, sua sponte, to dismiss an action upon adequate grounds.” Harris
    v. Baptist Mem’l Hosp., 
    574 S.W.2d 730
    , 31 (Tenn. 1978) (citations omitted).
    The application of this law to the present case is pretty straightforward. Res
    judicata bars the entire claim – not just individual defendants. Further, the judge can
    dismiss an action sua sponte pursuant to res judicata. As previously explained, the
    plaintiffs’ claims are barred due to res judicata. Therefore, the trial court properly
    dismissed all remaining defendants from the action.
    - 10 -
    V. CONCLUSION
    The judgment of the trial court is affirmed, and the case is remanded for such
    further proceedings as may be necessary. Cost of the appeal are taxed to the appellants,
    Destine Johnson, Helen Jane Kerns, C. Wayne Bartley, and Melonie C. Banks.
    _________________________________
    JOHN W. MCCLARTY, JUDGE
    - 11 -