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Good ex rel. M.T.S. v. Am. Water Works Co.

UNITED STATES DISTRICT COURT SOUTHERN DISTRICT OF WEST VIRGINIA AT CHARLESTON
Sep 30, 2016
Civil Action No.: 2:14-01374 (S.D.W. Va. Sep. 30, 2016)

Opinion

Civil Action No.: 2:14-01374

09-30-2016

CRYSTAL GOOD, individually and as parent and next friend of minor children M.T.S., N.T.K. and A.M.S. and MELISSA JOHNSON, individually and as parent of her unborn child, MARY LACY and JOAN GREEN and JAMILA AISHA OLIVER, WENDY RENEE RUIZ and KIMBERLY OGIER and ROY J. McNEAL and GEORGIA HAMRA and MADDIE FIELDS and BRENDA BAISDEN, d/b/a FRIENDLY FACES DAYCARE, and ALADDIN RESTAURANT, INC., and R. G. GUNNOE FARMS LLC, and DUNBAR PLAZA, INC., d/b/a DUNBAR PLAZA HOTEL, on behalf of themselves and all others similarly situated, Plaintiffs, v. AMERICAN WATER WORKS COMPANY, INC., and AMERICAN WATER WORKS SERVICE COMPANY, INC., and EASTMAN CHEMICAL COMPANY, and WEST VIRGINIA-AMERICAN WATER COMPANY, d/b/a WEST VIRGINIA AMERICAN WATER, and GARY SOUTHERN and DENNIS P. FARRELL, Defendants.


MEMORANDUM OPINION & ORDER

Pending are motions challenging the adequacy of the notice provided to class members, filed by movant Rachel Carrico on February 11, 2016 (ECF No. 581), and by movants Paula J. Compston, Charles Justice, and Cindra Justice on February 12, 2016. (ECF No. 583, 586). The motions seek an extension of time to opt out of the class and the issuance of an additional notice to class members. Movants are represented by counsel who also represent many of the approximately 2,100 individuals and businesses that have opted out of the class.

Subsequent to filing her motion, Rachel Carrico filed a supplement to the motion on February 12, 2016. (ECF No. 584). In a second supplemental filing, on February 18, 2016, Ms. Carrico also moved to intervene in this action. (ECF No. 599).

Factual and Procedural Background

In this consolidated class action, plaintiffs bring a number of claims relating to a spill of the chemical Crude 4-methylcyclohexanemethanol ("Crude MCHM") into the Elk River in January 2014 and the resulting interruption of water service to residents and businesses in the affected area. On October 9, 2015, the court certified a class for liability purposes, pursuant to Federal Rule of Civil Procedure 23(c)(4), to determine the fault of defendants and the comparative fault of non-party Freedom Industries, Inc.

Plaintiffs' claims are more fully discussed in the First Amended Consolidated Class Action Complaint (ECF No. 170) and the court's order certifying the class (ECF No. 470).

By order entered December 16, 2015, the court approved class plaintiffs' proposed notice plan, providing for notice to class members describing the certification of the action and the proposed settlements between the class and the two individual defendants, Gary Southern ($350,000) and Dennis P. Farrell ($50,000). (ECF No. 514). The notice plan provided for direct mailing of the approved notice to approximately 92,000 addressees identified by defendant West Virginia-American Water Co. as customers supplied water by the affected treatment plant on or around January 9, 2014. These addresses were checked by the notice administrator against the National Change of Address database maintained by the United States Postal Service. In addition, the notice was supplemented by newspaper publication on two consecutive Saturdays in the Charleston Gazette-Mail and local newspapers in Parkersburg, Point Pleasant, Huntington, Beckley, and Logan. Finally, the notice administrator maintained a toll-free helpline and a website to answer class member questions.

The full notice plan is described in the Declaration of John S. Jenkins, CPA, notice administrator. (ECF No. 507-2).

The notice, mailed to class members beginning December 21, 2015, described the class certification and partial settlement, and informed class members of their options as follows:


What are your options?

Stay in the Class: To stay in the Class, you do not have to do anything. If there is a verdict in your favor, you will be notified about what you must do to demonstrate that you are entitled to recover any money. You will be legally bound by all orders and judgments of the Court, and you will not be able to sue the defendants in a separate action about the specific legal claims in this case.

Get out of the Class: If you want to keep your rights to sue the defendants yourself over the claims in this case, using your own lawyer, you need to opt out or exclude yourself. If you exclude yourself, you cannot get money or benefits from this lawsuit if any are awarded. To ask to be excluded, send a letter to Clerk of the Court, 6009 Robert C Byrd United States Courthouse, 300 Virginia Street, Charleston, WV 25301 postmarked no later than February 12, 2016, that says you want to be excluded from Good, et al. v. American Water Works Company, Inc. et al, Civ. A. No. 2:1401374. Include your name, address, telephone number, and your personal signature.

Object to the Settlement: If you object to the settlement with individual defendants, you need to make that known by sending a letter to Clerk of the Court, 6009 Robert C Byrd United States Courthouse, 300 Virginia Street, Charleston, WV 25301 postmarked no later than February 12, 2016, that says you object to the settlement with either or both of the individual defendants in Good, et al. v. American Water Works Company, Inc. et al, Civ. A. No. 2:1401374. Include your name, address, telephone number, and your personal signature. Also be sure to include the reason(s) why you object to the settlement and state that you intend to appear at the final
settlement hearing to state your objection, either personally or through your lawyer.

Appear in Court: If you stay in the Class you have the option of hiring your own lawyer (at your expense) to appear in Court for you.
Order Preliminarily Approving Settlement and Form of Order on Class Certification, Exhibit A (December 16, 2015). (ECF No. 514-1).

One day before the court's February 12 deadline for class members to opt out or object to the individual defendants' settlement, movant Carrico filed her motion challenging the adequacy of the notice and requesting an extension of time to opt out, "for the benefit of [herself] and all putative, absent class members similarly situated." (ECF No. 581 at 1). Movant Carrico argues that the notice "is wholly inadequate and misleading and must be deemed ineffective to comply with F.R.C.P. 23 or the United States Constitution." Id. at 13. The remaining movants joined Carrico's motion the following day. In support of their motions, movants also submitted a report by Todd B. Hilsee, a specialist in "legal notification issues." Declaration of Todd B. Hilsee on Notice of Partial Settlement and "Fault-Only" Litigation Class (ECF No. 583-1) (hereinafter "Hilsee Decl.").

Carrico's motion identifies nine purported deficiencies in the court-approved notice. First, Carrico states generally that the notice is confusing, and that it does not make use of the "clear and concise language" required by Rule 23. In particular, Carrico objects to the form of notice chosen, arguing that the notice was not the "best notice that is practicable under the circumstances" because it was mailed as Presort 1st Class Mail, Bulk Mail on a folded sheet of paper, which she compares to "junk mail." Carrico claims that she contacted 63 class members and that 27 claimed not to have received the notice. In a later filing, Carrico submitted an exhibit reflecting a poll conducted by Gravitas Marketing, stating that a survey of 464 residents in Kanawha County showed that only 34% of class members recalled receiving a notice. (ECF No. 599-1).

Many of Carrico's objections relate to the court's decision to certify a Rule 23(b)(4) issue class as to liability only. Carrico argues that the notice does not adequately explain what will happen at the liability-only trial, how individual damages would be determined after a finding of fault, or what would be required of class members in order to obtain payment of those damages. These criticisms are echoed in the report by movants' expert, Mr. Hilsee.

The balance of Carrico's objections relate to other perceived omissions in the notice. Carrico argues that the notice should have identified the geographic area in which class members are located and ought to have contained more information regarding the composition of the class, in particular the number of class members. The movant suggests that without an estimate of the number of class members, recipients might misunderstand the amount they would receive from the proposed $400,000 settlement with the two individual defendants. Carrico also objects to the notice's description of the claims at issue in the case and the failure of disclosure respecting potential attorney's fees for class counsel.

In their response, class representative plaintiffs begin by objecting to the movants' appearance through counsel, and their motions regarding class notice, as procedurally improper. Plaintiffs argue that as non-parties, movants are not in a position to move this court for the relief requested. In addition, plaintiffs argue that movant Carrico's request to intervene should be denied because she cannot meet the requirements governing intervention set out in Federal Rule of Civil Procedure 24.

While they urge the court not to reach the merits of movants' objections, plaintiffs respond to each objection in order to support the adequacy of the court-approved notice. For example, plaintiffs reject the contention that to satisfy due process, the notice should have discussed the merits of alternative litigation progressing in state courts or the methods the court in this case might use to determine individual damages following the trial on liability issues. Plaintiffs defend the form and reach of the notice, while questioning the relevancy of movants' proffered surveys of class members to a determination of whether the selected notice constituted the best practicable under the circumstances. Defendants also filed a response opposing the motions, raising several of the same points.

In her reply to both plaintiffs and defendants, movant Carrico criticizes the notice's requirement that individual class members were required to opt out by submitting a signed request to opt out to the court, rather than allowing opt outs en masse through their attorneys. In addition, the reply repeats the arguments that the notice in fact did not reach a significant number of class members and should have been separated into two notices, one addressing the court's certification of the class and the other relating to the $400,000 in settlements with Southern and Farrell. As an exhibit to her reply, Carrico included the affidavit of Bobby L. Hymel, managing director of Gravitas Marketing, the firm that conducted the poll of class members mentioned in her initial motion. (ECF No. 619-3).

It is not clear how this criticism, relating to the method required to confirm class members' intent to opt out on an individual basis, is relevant to Carrico's motion. However, the court observes that requiring individual signatures is standard practice in many class actions and in fact serves to protect the due process rights of absent class members. See Moulton v. U.S. Steel Corp., 581 F.3d 344, 355 (6th Cir. 2009) ("Given the real risk that the attorney-signed opt-out forms did not reflect the wishes of class members, the district court appropriately exercised its power by requiring individually signed opt-out forms (and rejecting the attorney-signed forms).")

Legal Standards

A. Motions by Unnamed Class Members

Rule 23(c) of the Federal Rules of Civil Procedure provides that once a class is certified, unnamed class members "may enter an appearance through an attorney if [they] so desire[]." Fed. R. Civ. P. 23(c)(2)(B)(iv). The notice sent to class members in this case likewise notified them that they have the right to appear through counsel, for example, at the fairness hearing regarding the proposed settlement with Southern and Farrell. However, it is well-established that unnamed class members are not parties to a class action for most other purposes. See, e.g., Day v. Persels & Associates, LLC, 729 F.3d 1309, 1316-17 (11th Cir. 2013) (holding that absent class members are not "parties" whose consent is required for a magistrate judge to enter final judgment); Wainwright v. Kraftco Corp., 54 F.R.D. 532, 534 (N.D. Ga. 1972) ("Nothing in Rule 23 suggests that class members are deemed 'parties.' . . . Indeed, if class members were automatically deemed parties, all class actions would be converted into massive joinders. Such a result would emasculate Rule 23."); see also Devlin v. Scardelletti, 536 U.S. 1, 15-16 (2002) (Scalia, J., dissenting) (explaining that despite the majority's decision to treat an unnamed class member as a party to the judgment approving a class settlement for the limited purpose of the appeal thereof, it was "undisputed" that "it is only [named representative] members of the class, and those who intervene or otherwise enter through third-party practice, who are parties" for purposes of discovery and motion practice).

Federal Rule of Civil Procedure 24 governs intervention:

(a) INTERVENTION OF RIGHT. On timely motion, the court must permit anyone to intervene who:
(1) is given an unconditional right to intervene by a federal statute; or
(2) claims an interest relating to the property or transaction that is the subject of the action, and is so situated that disposing of the action may as a practical matter impair or impede the movant's ability to protect its interest, unless existing parties adequately represent that interest.
(b) PERMISSIVE INTERVENTION.
(1) In General. On timely motion, the court may permit anyone to intervene who:
(A) is given a conditional right to intervene by a federal statute; or
(B) has a claim or defense that shares with the main action a common question of law or fact.

. . .

(3) Delay or Prejudice. In exercising its discretion, the court must consider whether the intervention will unduly delay or prejudice the adjudication of the original parties' rights.
Fed. R. Civ. P. 24.

As part of its broad authority to control the progress of class actions certified under Rule 23, the court can also enter "orders that . . . impose conditions on the representative parties or on intervenors[.]" Fed. R. Civ. P. 23(d)(1)(C). B. Notice Requirements

In the context of a class action for damages, the requirements of due process for notice to class members were described by the Supreme Court in Mullane v. Central Hanover Bank & Trust Co.:

An elementary and fundamental requirement of due process in any proceeding which is to be accorded finality is notice reasonably calculated, under all the circumstances, to apprise interested parties of the pendency of the action and afford them an opportunity to present their objections. The notice must be of such nature as reasonably to convey the required information, and it must afford a reasonable time for those interested to make their appearance . . . .

But when notice is a person's due, process which is a mere gesture is not due process. The means employed must be such as one desirous of actually informing the absentee might reasonably adopt to accomplish it. The reasonableness and hence the constitutional validity of any chosen method may be defended on the ground that it is in itself reasonably certain to inform those affected, . . . or, where conditions do not reasonably permit such notice, that the form chosen is not substantially less likely to bring home notice than other of the feasible and customary substitutes.
339 U.S. 306, 314-15 (1950) (citations omitted).

Federal Rule of Civil Procedure 23(c)(2)(B) effectuates these requirements in the context of class actions which are, like the instant action, certified under Rule 23(b)(3):

For any class certified under Rule 23(b)(3), the court must direct to class members the best notice that is practicable under the circumstances, including individual notice to all members who can be identified through reasonable effort. The notice must clearly and concisely state in plain, easily understood language:

(i) the nature of the action;

(ii) the definition of the class certified;
(iii) the class claims, issues, or defenses;

(iv) that a class member may enter an appearance through an attorney if the member so desires;

(v) that the court will exclude from the class any member who requests exclusion;

(vi) the time and manner for requesting exclusion; and

(vii) the binding effect of a class judgment on members under Rule 23(c)(3).
Fed. R. Civ. P. 23(c)(2)(B). In addition, Federal Rule of Civil Procedure 23(e) provides that as a condition of a proposed settlement in a class action, "[t]he court must direct notice in a reasonable manner to all class members who would be bound by the proposal. Fed. R. Civ. P. 23(e)(1).

While Rule 23 provides the general process to follow in providing notice to absent class members, it does not purport to detail every requirement necessary to satisfy due process. See In re Nissan Motor Corp. Antitrust Litigation, 552 F.2d 1088, 1104 (5th Cir. 1977). In Nissan, the Fifth Circuit observed that notice "must also contain an adequate description of the proceedings written in objective, neutral terms, that, insofar as possible, may be understood by the average absentee class member." Id. However, the need to describe the proceedings must be balanced with the concern that "an overly detailed notice would not only be unduly expensive, but would also confuse class members and impermissibly encumber their rights to benefit from the action." Id. (citations omitted).

With respect to the method of delivering notice to absent class members, neither due process nor the Federal Rules requires more than "notification . . . reasonably certain to inform those affected." Vancouver Women's Health Collective Soc. v. A.H. Robins Co., Inc., 820 F.2d 1359, 1364 (4th Cir. 1987) (citing Mullane, 339 U.S. at 314-315). Absent class members cannot challenge a notice by simply showing "that many [class members] . . . did not actually receive the notices that were sent to them." In re Integra Realty Resources, Inc., 262 F.3d 1089, 1110 (10th Cir. 2001). Instead, individuals objecting to the notice plan must show "that the notice was not reasonably calculated to apprise the absent class members of the action, or that some better method of notification offered a practicable means of notifying the class." Id. Due to this contextual inquiry, courts have found arguments based on "actual notice rates" to be unhelpful. See DeJulius v. New England Health Care Employees Pension Fund, 429 F.3d 935, 944 (10th Cir. 2005); In re Adelphia Commc'ns Corp. Sec. Litigation, 271 Fed. Appx. 41, 44 (2d Cir. 2008) ("for due process to be satisfied, not every class member need receive actual notice [of the class settlement], as long as class counsel acted reasonably in selecting means likely to inform persons affected"); Silber v. Mabon, 18 F.3d 1449, 1453-54 (9th Cir. 1994) (standard for adequacy of notice is "best practicable" not "actually received").

Analysis

Before addressing the movants' objections to the adequacy of the notice, the following discussion takes up class plaintiffs' argument that the instant motions should be denied because the movants are not parties to this action. Subsequently, the court reaches the issues raised by the movants to the extent necessary to resolve the motions. A. Procedural Objections

As an initial matter, it is appropriate to note the unusual posture and timing of the instant motions. The movants have not cited any case in which non-party class members, before the opt-out period has expired, have sought to object to the adequacy of notice. Clearly, while the movants claim not to have received the notice by direct mail, the notice plan was effective in reaching them to the extent they became aware of the notice during the opt out period and, with the benefit of counsel, had the opportunity to analyze the notice and the efficacy of its communication to class members prior to filing these motions.

Allowing Carrico to intervene in order to entertain her motions would be inappropriate. First, intervention of right is unavailable inasmuch as existing parties adequately represent the interest of movants who choose not to opt out. Movants are requesting an extension of the opt-out deadline and the issuance of a new notice addressing the perceived defects identified in their filings. Neither form of relief is necessary to avoid "impair[ing] or imped[ing] the movant's ability to protect [their] interest," because, even assuming that the current notice implicates that interest in the case of other members of the class who did not receive it or who were misled by the suggested defects, each movant had the opportunity to timely opt out to fully protect his or her interest. In addition, the court's certification of the class necessarily included the finding that class members and their counsel would "adequately protect the interests of the class." Fed. R. Civ. P. 23(a)(4). Movants have not suggested facts that would call this finding into question, as required to intervene as of right under Rule 24.

Second, while the movants have claims sharing common questions with those presented in this action as required by Rule 24(b)(1)(B), permissive intervention is simply unnecessary to protect their claims. Although the movants, as unnamed class members, are not parties to this action, the broad language of Rule 23(d) regarding the court's authority to enter orders in such an action, e.g., to "determine the course of proceedings", Fed. R. Civ. P. 23(d)(1)(A), and "deal with similar procedural matters" Fed. R. Civ. P. 23(d)(1)(E), suggests that there is no impediment to the court's entering an order adjudicating the instant motions. Addressing the adequacy of notice at this time will further the conduct of these proceedings, but the court's doing so should not be read to imply that non-parties have an unfettered right to be heard on motions as they please. Given the centrality of notice to the legitimacy of the class action, and the fact that movants have an undisputed interest in the action as unnamed class members, it would be unduly formalistic to refrain from addressing their concerns about the notice. B. Adequacy of Delivery of Notice

Having concluded that the objections to the adequacy of notice have been sufficiently raised, the court proceeds to evaluate the merits of those objections.

A large portion of the movants' argument is focused on their allegation that notice did not effectively reach class members. In their initial filings, this assertion was supported by movant Carrico's own purported survey of 63 individuals whom she calls class members, and by movant's expert, Todd B. Hilsee. Plaintiffs' response makes plain that Mr. Hilsee misunderstood the number of class members reached by the notice. Mr. Hilsee supposes that only 30% of the class would be reached by the 92,000 direct mailings sent as part of the notice plan. See Hilsee Decl. at 7. To arrive at this estimate, Mr. Hilsee appears to have divided the number of mailings by the estimate of class members affected by the water interruption initially stated in the plaintiffs' complaint, 300,000. Id. at 8 n. 1. In its order certifying the class, the court noted that an updated estimate based on discovery, which reflected customer information provided by the water company defendants and United States Census Bureau data, suggests there are approximately 224,180 class members. See ECF No. 470 at 42. This number includes residential, business and hourly worker class members, many of whom may be double counted (e.g., because they both reside and work in the affected area).

Because the mailing addresses were determined based on the water company's customer records, the number of mailings (92,000) corresponds to the number of households or businesses that were included in the direct mail plan, not the number of individual class members. As the mailings were sent to every identifiable customer served by the water company during the relevant period, Mr. Hilsee's statement that only 30% of the class would be reached by those mailings is plainly implausible. The court is thus unpersuaded by his conclusions that the notice was insufficient to provide notice to class members and that the plan failed to provide individual notice to the class.

Mr. Hilsee also notes that the current notice plan would not reach transient class members who have left the area since January 2014. See Hilsee Decl. at 9. Prior to sending the mailings, the plan administrator checked for reported changes of address. The movants have not suggested any other practicable method to reach transient class members.

Perhaps recognizing this, movant Carrico attached additional exhibits to her reply memorandum to support her criticism of the reach of the notice. Carrico submitted the affidavit of Bobby L. Hymel of Gravitas Marketing, describing the results of a poll commissioned by counsel for Carrico. Because Mr. Hymel's affidavit was submitted only in support of movant Carrico's reply brief, class counsel and defendants did not have the opportunity to respond to his methodology or findings. While the full details of this poll are not before the court, it is of dubious value in evaluating the adequacy of notice. The telephone survey, taken about two months after the mailing of the notice at issue, may not accurately reflect whether class member households in fact received the notice. In his affidavit, Mr. Hymel states that the poll chose its respondents "from a list of known current residents of Kanawha County, West Virginia." (ECF No. 619-3 at 2). However, there is no indication whether the poll attempted to distinguish current residents from those who were living in the area in January 2014, or whether the survey respondents were served by the defendant water company in January 2014. Neither is there a statement of the questions asked. At the outset, then, one has no way of knowing how many of the survey respondents were members of the class.

Also, two counsel on behalf of movants submitted affidavits indicating that they conferred with their clients, who are class members and who indicated that they did not receive the notice.

Even putting these methodological concerns to one side, as noted by the court in DeJulius, a survey of "actual notice rates" is not helpful in determining whether the notice chosen was the best practicable under the circumstances as required by Rule 23. See 429 F.3d at 944. The notice at issue was mailed directly to customers affected by the Do Not Use order issued by the water company as a result of the events in January 2014, as identified by the water company defendants. Movants have not adequately explained why they believe the selected form of notice was not reasonable under the circumstances, nor have they proposed any alternative method that would more effectively reach the absent class members.

Movants' remaining objections to the form of notice criticize the use of a bulk rate and single sheet for the notice mailing. The movants cite no authority for the proposition that in sending direct mail notices, which are otherwise the gold standard for class notice, the use of bulk pricing creates a defect in the notice plan. The latter objection to the form of notice, alleging that the notice was not distinguishable from "junk mail," is factually inaccurate. The outer fold of the notice was clearly marked with language in a large font informing recipients that it contained an "important legal notice of pendency of class action and partial settlement in litigation arising out of the January, 2014, water contamination event." (See ECF No. 514-1). C. Adequacy of Content of Notice

Turning to the movants' objections to the content of the notice, none of the issues raised implicate the notice's overall adequacy. Both movant Carrico and Mr. Hilsee base much of their evaluation of the notice's content on a checklist prepared by the Federal Judicial Center to assist judges in developing class action notice plans. While this document discusses best practices for notice, its suggestions do not supplant the notice requirements set out in Rule 23. In its order approving the form of notice, the court necessarily concluded that the proposed notice was written in the clear and concise language required by the rule, and that it otherwise contained the information required. In addition, the notice largely complies with the checklist's recommendations. Mr. Hilsee cited portions of the checklist discussing the availability of a trained administrator or class counsel to answer questions, and in fact both class counsel and the staff of the toll-free number were available to do so. Many of the additional portions cited inquire about whether class members will receive individual notice and how effectively the notice will reach those class members. As discussed above, the court is satisfied that the decision to mail notice directly to the customers identified by the water company defendants meets these recommendations.

The checklist, Federal Judicial Center Plain Language Notice Guide (2010), was submitted to the court as Exhibit D to Carrico's reply brief (ECF No. 619-4) and is available at http://www.fjc.gov/public/pdf.nsf/lookup/NotCheck.pdf/$file/NotCheck.pdf (last accessed March 22, 2016).

Movant Carrico's argument that the content of the notice was deficient is also undercut by the cases she cites in support of that contention, which are distinguishable in that they address much more serious notice defects than any said to be at issue here. The court in In re Katrina Canal Breaches Litigation found a settlement notice inadequate where it failed to include critical information regarding the possibility of a cy pres distribution and misleadingly suggested that class counsel would not seek attorneys' fees. 628 F.3d 185, 197-99 (5th Cir. 2010). By contrast, the notice issued in this action advised recipients that class counsel would request attorneys' fees from any potential recovery. In Georgine v. Amchem Products, Inc., additional notice was only necessary due to "the adverse effects of an allegedly massive campaign, launched by attorneys who oppose the [class] settlement, to solicit opt-outs through purportedly misleading mass mailings and advertisements targeted to absent class members." 160 F.R.D. 478, 479 (E.D. Pa. 1995). While some concerns about misleading communications to absent class members were raised by class counsel earlier in these proceedings, the movants do not rely on any such communications in their challenge to the notice.

On January 25, 2016, the court held a hearing to discuss concerns raised by class counsel regarding certain communications made by attorneys, including some counsel for the movants, who represent parties in state court actions relating to the January 2014 chemical spill. Class counsel stated that these communications could confuse class members during the opt out period. At that time, the court took no position with respect to the communications at issue and instructed the parties to proceed by motion if further relief was sought. See Transcript of Proceedings (January 25, 2016) (ECF No. 565).

While the movants point to additional information they would have found helpful and generally state that the notice was "confusing," none of the additions they propose are necessary to render the notice adequate. The test for whether a given item must be included in a class notice is whether that information is such that "a reasonable person would consider [it] to be material in making an informed, intelligent decision of whether to opt out or remain a member of the class and be bound by the final judgment." Nissan, 552 F.2d at 1105. Movants complain that the notice did not provide a geographical description of the areas in which affected class members work and reside. Under the circumstances of this case, the court is not persuaded that there is a serious risk that absent class members will be unable to determine whether or not they are part of the proposed class. Because the claims alleged are based on a regional environmental event involving a widely-disseminated Do Not Use order for tap water, individuals who were affected are in the best position to recognize whether they are part of the class. In addition, since the affected area includes part but not all of nine West Virginia counties, any attempt to precisely delineate its boundaries within the notice would likely have led to more confusion. Similarly, inclusion of additional text regarding pending state court actions or further describing the legal claims brought in the consolidated complaint would have made the notice harder for a layperson class member to understand, not easier.

Movant Carrico also argues the notice should have "advise[d] the absent class that the class member may have to file a different individual case in order to prove damages, may have to hire an additional attorney to file that case or may have to forego a trial by jury on their personal damage issue or may have to accept a settlement which they are not a part of." ECF No. 581 at 11. This speculative parade of horribles facing absent class members is completely inconsistent with the actual proceedings in this class action. While the court has bifurcated liability and damages determinations, it nowhere suggested that class members will not be entitled to recover damages in this action, through their own counsel or, potentially, through the representation of class counsel at further proceedings should a liability determination be reached in the fault-only phase. Rather than discussing all the potential procedural developments that may occur in the case, the initial notice needed only to alert the class members to an action affecting their rights and "sufficiently inform [them] of the terms of the proposed settlement and their available options." Decohen v. Abbasi, LLC., 299 F.R.D. 469, 478 (D. Md. 2014) (citing In re MicroStrategy, Inc. Sec. Litig., 150 F. Supp. 2d 896, 906 (E.D. Va. 2001)). Indeed, the proposed settlements with the individual defendants, Southern and Farrell, represent a miniscule portion of that which is at stake in this case.

Finally, many of the movants' arguments, while presented as critiques of the notice, in fact take issue with the court's certification of the class on the limited issue of liability. While a bifurcated process is necessarily more complex than a certification on all issues, the notice explained that "[i]f the verdict at the conclusion of the class trial is in favor of plaintiffs, the Court will determine the method and manner of additional proceedings to determine whether you may be entitled to damages and the nature and extent of any such damages." (ECF No. 514-1). The movants argue that the failure to more extensively discuss damages and the process to be used to determine recovery implicates the adequacy of the notice, was "misleading," and would make it difficult for absent class members to make an informed response to the notice. However, these arguments overlook the fact that "[c]ertifying a class to determine the defendant's liability, while leaving the class members to pursue their individual damages claims, is a common example of partial certification." In re Motor Fuel Temperature Sales Practices Litig., 292 F.R.D. 652, 666 (D. Kan. 2013) (quotation omitted). Whenever a court takes this route, there will be some degree of uncertainty regarding the eventual recovery of damages. While Carrico believes that the statement regarding these further proceedings in the notice was "misleading and confusing," the necessarily contingent nature of those proceedings prevented the parties from describing them in more detail in this early notice. Balancing the need to describe the proceedings with the concern that overwhelming class members with information could lead to more confusion, the parties made a reasonable decision to include the statement they did regarding the need for further proceedings following the liability trial. See Nissan, 552 F.2d 1088, 1104 (noting that "an overly detailed notice would . . . confuse class members"). To the extent movants preferred not to pursue their claims through a bifurcated class action, their remedy was to opt out of the class.

Similarly, the objection that notice of the two individual settlements should not have been included with the initial class notice is contradicted by case law approving this "single-notice procedure." See In re Corrugated Container Antitrust Litig., 643 F.2d 195, 223 (5th Cir. 1981). --------

In short, the court finds no defect in the notice that would warrant the relief requested by movants. The basic requirements of Rule 23 and due process are intended to ensure that notices fairly and reasonably apprise class members of a pending action affecting their rights and their options with respect to that action, but those requirements should not transform the notice into "a long 'brief' of the parties' positions, precise in every detail and slated in such fashion as to please every litigant." Goldwater v. Alston & Bird, 673 F. Supp. 930, 932 (S.D. Ill. 1987) (declining to order amendment of a notice based on trivial objections).

Conclusion

The court concludes that movant Carrico may not intervene because she has not shown that class counsel are inadequately protecting the interests of the class, cannot show prejudice because she had notice of these proceedings and the opportunity to opt out during the opt-out period, and allowing intervention would cause undue delay. The court also concludes that the movants' objections to the adequacy of notice lack merit, and that the notice sent satisfied the requirements of due process and Rule 23. Accordingly, the court ORDERS that:

1. Rachel Carrico's Motion and Petition to Require Adequate Notice and Extension of Time to Opt Out (ECF No. 581), Motion to Require Re-Notice of Putative Class (ECF No. 584) and Motion to Intervene (ECF No. 599) be, and they hereby are, denied;

2. Paula J. Compston's Motion and Petition to Require Adequate Notice and Extension of Time to Opt Out (ECF No. 583) be, and it hereby is, denied; and

3. Charles Justice and Cindra Justice's Motion and Petition to Require Adequate Notice and Extension of Time to Opt Out (ECF No. 586) be, and it hereby is, denied.
4. Movant Carrico's motion for hearing on her motion filed September 26, 2016, is denied as unnecessary.

Inasmuch as the movants' filings, prior to the opt-out deadline, evidence their intent to opt out of the class, the court further ORDERS that the named movants may file, no later than ten days following the entry of this order, a letter opting out of the class consistent with the instructions in the class notice.

The Clerk is directed to forward copies of this written opinion and order to counsel of record and any unrepresented parties.

DATED: September 30, 2016

/s/_________

John T. Copenhaver, Jr.

United States District Judge


Summaries of

Good ex rel. M.T.S. v. Am. Water Works Co.

UNITED STATES DISTRICT COURT SOUTHERN DISTRICT OF WEST VIRGINIA AT CHARLESTON
Sep 30, 2016
Civil Action No.: 2:14-01374 (S.D.W. Va. Sep. 30, 2016)
Case details for

Good ex rel. M.T.S. v. Am. Water Works Co.

Case Details

Full title:CRYSTAL GOOD, individually and as parent and next friend of minor children…

Court:UNITED STATES DISTRICT COURT SOUTHERN DISTRICT OF WEST VIRGINIA AT CHARLESTON

Date published: Sep 30, 2016

Citations

Civil Action No.: 2:14-01374 (S.D.W. Va. Sep. 30, 2016)

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