To be Argued by:
JOHN N. LIPSITZ, ESQ.
(Time Requested: 30 Minutes)
APL-2014-00261
Appellate Division Docket No. CA 13-01373
Erie County Clerk’s Index No. I2010-12499
Court of Appeals
of the
State of New York
JOANNE H. SUTTNER, Executrix of the Estate of
GERALD W. SUTTNER, Deceased, and Individually as
the Surviving Spouse of GERALD W. SUTTNER,
Plaintiff-Respondent,
– against –
A.W. CHESTERTON COMPANY, et al.,
Defendants,
and
CRANE CO.,
Defendant-Appellant.
BRIEF FOR PLAINTIFF-RESPONDENT
LIPSITZ & PONTERIO, LLC
Attorneys for Plaintiff-Respondent
135 Delaware Avenue, 5
th
Floor
Buffalo, New York 14202
Tel.: (716) 849-0701
Fax: (716) 849-0708
Of Counsel:
Dennis P. Harlow, Esq.
John N. Lipsitz, Esq.
Anne E. Joynt, Esq.
March 6, 2015
i
TABLE OF CONTENTS
Page
TABLE OF AUTHORITIES .................................................................................... iv
PRELIMINARY STATEMENT ............................................................................... 1
QUESTIONS PRESENTED ...................................................................................... 8
COUNTER-STATEMENT OF FACTS .................................................................... 9
A. The Structure of Crane’s Valves ........................................................... 9
B. The Crane Co. Valves Mr. Suttner Serviced Contained
Asbestos-Containing Components at the Time of Sale ...................... 11
C. Crane’s Speculation That the Valves at Issue May Have
Been Supplied Without Original Asbestos-Containing
Parts Should Be Disregarded ............................................................... 14
D. Mr. Suttner’s Exposure to Crane’s Valves .......................................... 17
THE APPLICABLE STANDARD OF REVIEW ................................................... 20
ARGUMENT ........................................................................................................... 22
I. NEW YORK’S LAW OF PRODUCT LIABILITY ........................... 22
A. New York’s Law of Product Liability Is a Logical
Analytical Framework Composed of Doctrines Which
the Courts Use Collectively To Examine Individual
Circumstances; It is Not a Series of Facile Single-Factor,
Contradictory “Tests,” as Crane Would Have This
Court Believe ............................................................................ 22
B. New York’s Law of Product Liability, Generally:
The Current Standard ................................................................ 34
C. A Manufacturer’s Duties, Generally ......................................... 37
1. A Manufacturer’s Duty to Warn ..................................... 40
2. How Post-Sale Modifications to a Product Affect
a Manufacturer’s Liability .............................................. 42
3. How the Incorporation of Replacement Parts into
a Product Affects a Manufacturer’s Liability ................. 45
ii
4. How the Synergistic Use of Two Products
Affects a Manufacturer’s Liability ................................. 49
a) Rastelli Mandates a Case-Specific Analysis
of the Relationship Between the Products In
Question ..................................................................... 50
5. The Significance of Foreseeability within the
Context of a Manufacturer’s Duty to Warn .................... 55
D. The Application of New York’s Law of Product Liability
to the Present Case .................................................................... 59
1. Legally Significant Facts ................................................ 59
2. Crane Had a Duty to Warn Mr. Suttner Under
the General Negligence Principles which Govern
Product Liability ............................................................. 60
3. Crane Had a Duty to Warn Mr. Suttner of
Hazards Associated with Replacement Parts ................. 62
4. Crane Had a Duty to Warn Mr. Suttner of
Hazards Associated with the Synergistic Use
of its Products ................................................................. 69
E. The Crane Rule, as Crane Expresses it in its Brief ................... 71
1. Crane’s Rule Cannot be Reconciled with New
York Law ........................................................................ 75
2. Virtually Every New York State Jurist to Have
Examined the Issue of Crane’s Liability has
Found that It Had a Duty to Warn Under
Circumstances Similar to the Present ............................. 94
3. The Weight of the Case Law Demonstrates that
Crane’s Rule is an Attempt to Replace Settled
New York Law with an Outcome-Driven Test .............. 97
F. The Decisions of the Court Below Are Consistent with
the Express Public Policy of the State ...................................... 98
1. Crane Misframes the Relevant Legal Issue in its
Public Policy Discussion ................................................ 99
iii
2. Public Policy Favors a Broad Scope of the
Manufacturer’s Duty to Warn....................................... 101
3. New York’s Public Policy Disfavors Bright-Line
Tests of the Scope of Duty ........................................... 106
4. Crane’s Self-Serving Portrayal of Itself as a
Victim of Judicial Injustice Should Not Sway
this Court ...................................................................... 111
5. This Court Should Decline Crane’s Invitation
to Substitute Foreign Law for Controlling New
York Precedent ............................................................. 115
II. CRANE IS NOT ENTITLED TO JUDGMENT UNDER
THE COMPONENT PART DOCTRINE ......................................... 125
CONCLUSION ...................................................................................................... 127
iv
TABLE OF AUTHORITIES
Cases: Page
Appalachian Ins. Co. v General Electric Co.,
8 N.Y.3d 162, 863 N.E.2d 994 (2007) .......................................................... 54
Baum v. Eco-Tec, Inc.,
5 A.D.3d 842 (3d Dep’t 2004) ................................................................. 24, 69
Berkowitz v. A.C. & S., Inc.,
288 AD.2d 148 (1st Dept, 2001) .................. 24, 26, 29, 53, 69, 71, 80-82, 89,
91, 94, 95, 97, 119
Call v. Banner Metals, Inc.,
45 A.D.3d 1470 (4th Dept, 2007) ............................................... 47, 48, 57, 121
Campbell v. City of Elmira,
84 N.Y.2d 505 (1994) .................................................................................... 21
Codling v. Paglia,
32 N.Y.2d 330 (1973) ..........................................................100, 103, 104, 109
Cooley v. Carter Wallace,
102 A.D.2d 642 (4th Dept, 1984) ........................ 41, 42, 51, 61, 101, 103, 108
Cover v. Cohen,
61 N.Y.2d 261 (1984) ............................................... 23, 41, 52, 101, 107, 109
DeFazio v. Chesterton,
32 Misc. 3d 1235[A], 938 N.Y.S.2d 226, 2011
NY Slip Op 51588[U] [N.Y. Sup. Ct. 2011] ........................................... 91, 92
Denny v. Ford Motor Co.,
87 N.Y.2d 248 (1995) .................................................................... 35, 107, 117
Dinardo v. City of New York,
13 N.Y.3d 872 (2009) .................................................................................... 21
Enright v. Lilly & Co.,
77 N.Y.2d 377 ........................................................................................ 35, 116
Espinal v. Melville Snow Contrs.,
98 N.Y.2d 136 (2002) .................................................................................. 107
Gateway I Group v. Park Ave. Physicians, P.C.,
62 A.D.3d 141 ................................................................................................ 52
Gebo v. Black Clawson Co.,
92 N.Y.2d 387 (1998) .............................................................. 37, 42, 110, 112
v
Gray v. R. L. Best Co.,
78 A.D.3d 1346 (3rd Dept, 2010) ................................................................ 112
Greenberg v. Lorenz,
9 N.Y.2d 195 (1961) .............................................................................. 53, 109
Hamilton v Beretta U.S.A. Corp.,
96 N.Y.2d 222 (2001) ...................................................................... 56, 99, 100
Hanson v. Honda Motor Co.,
104 A.D.2d 850 (2nd Dept, 1984) ............................................................. 57, 68
Hoover v. New Holland North America,
23 N.Y.3d 41 (2014) ..................................................... 23, 43, 48, 51, 75, 109
In re: Eighth Judicial District Asbestos Litigation,
19 N.Y.3d 803 (2012) .................................................................................... 89
In Re: Eighth Judicial Dist. Asbestos Litig. [Drabczyk],
92 A.D.3d 1259 (4th Dept, 2012) .................. 27, 28, 54, 69, 82, 85, 87-89, 96
Kross v. Kelsey Hayes Co.,
29 A.D.2d 901 (3rd Dept, 1968) ......................................................... 38, 39, 60
Leahy v. Mid-West Conveyor Co.,
120 A.D.2d 16 (3rdDept, 1986) .................................................................... 126
Liriano v. Hobart Corp.,
92 N.Y.2d 232 (1998) .............................................................................passim
Lugo v. LJN Toys, Ltd.,
75 N.Y.2d 850 (1990) .................................................................................... 37
MacPherson v. Buick Motor Co.,
217 N.Y. 382 (1916) ........................................................................ 39, 60, 108
Markel v. Spencer,
5 A.D.2d 400 (4th Dept, 1958) ................................................................. 39, 60
Matter of New York City Asbestos Litig. [Dummitt I],
36 Misc. 32 1234(A); 2012 N.Y.Misc LEXIS 4057
(N.Y. Sup. Ct. 2012) aff’d,
Matter of New York City Asbestos Litig. [Dummitt II],
121 A.D.3d 230 (1st Dept, 2014) ....................................... 7, 29-33, 52, 70, 73,
81-85, 89, 97, 119, 120
vi
McLaughlin v. Mine Safety Appliances Co.,
11 N.Y.2d 62 (1962) .......................................................................... 23, 40, 60
Micallef v. Miehle Co.,
39 N.Y.2d 376 (1976) ..................................... 37, 40, 44, 51, 61, 86, 107, 108
Opera v. Hyva, Inc.,
86 A.D.2d 373 (4th Dept, 1982) .................................................................... 35
Ortiz v. Varsity Holdings, LLC,
18 N.Y.3d 335 (2011) .................................................................................... 20
Palka v. Servicemaster Management Servs. Corp.,
83 N.Y.2d 579 (1994) ........................................... 36, 42, 50, 56, 98, 107, 108
Palsgraf v. Long Island R. R. Co.,
248 N.Y. 339 (1928) .................................................................. 22, 30, 41, 109
Penn v. Amchem,
85 A.D.3d 475 (1st Dept, 2011) ................................................................ 39, 60
Penn v. Jaros, Baum & Bolles,
25 A.D.3d 402 (1st Dept, 2006) .............................................................passim
Quirin v. Lorillard Tobacco Company,
17 F.Supp.3d 750 (N.D. Ill., 2014) .............................................................. 122
Rastelli v. Goodyear Tire & Rubber Co.,
79 N.Y.2d 289 (1992) .............................................................................passim
Robinson v. Reed-Prentice Div.,
49 N.Y.2d 471 (1980) ........................................ 22, 23, 37, 43, 46-49, 66, 108
Rogers v. Sears, Roebuck & Co.,
268 A.D.2d 245 (1st Dept 2000) ............................................................passim
Sage v. Fairchild-Swearingen Corp.,
70 N.Y.2d 579 (1987) .............................................................................passim
Sawyer v. Crane Co.,
32 Misc.3d 1237(A), 938 N.Y.S.2d 230 (Sup. Ct.,
N.Y. Co., June 24, 2011) ............................................................................... 95
Smith v. Peerless Glass Co.,
259 N.Y. 292 (1932) .......................................................................... 38, 39, 60
vii
Sprung v. MTR Ravensburg, Inc.,
99 N.Y.2d 468 (2003) .................................................................................. 103
Sukljian v. Charles Ross & Son Co., Inc.,
69 N.Y.89 (1986) ......................................................................................... 100
Szczerbiak v. Pilat,
90 N.Y.2d 553 (1997) .............................................................................. 20, 21
Tortoriello v. Bally Case, Inc.,
200 A.D.2d 475 (1st Dept, 1994) .................. 24, 28, 29, 54, 69, 82, 85-87, 89
Vega v. Restani Const. Corp.,
18 N.Y.3d 499 (2012) .................................................................................... 20
Village of Groton v. Tokheim Corp.,
202 AD2d 728 (3d Dept 1994) ....... 24, 26, 54, 69, 71, 79, 81, 88, 94, 97, 102
Cases from Other Jurisdictions:
Braaten v. Saberhagen Holdings,
165 Wash.2d 373 (2008) ............................................................. 115-119, 124
Branon v. Gen. Elec. Co.,
2005 WL 1792122 (Ky.App.Ct., 2005) ....................................................... 123
Chicano v. GE,
2004 U.S. Dist. LEXIS 20330 (E.D.Pa. 2004) ............................................ 123
Conner v. Alfa Laval Inc.,
842 F.Supp.2d 91 (E.D.Pa. 2012) ................................................................ 121
Curry v. American Standard,
2010 U.S. Dist. LEXIS 142496 (S.D.N.Y., 2010) ......... 57, 68, 84, 91, 92, 94
Ford Motor Co. v. Wood,
119 Md.App. 1 (Md. Ct. Spec. App 1998) ............................................ 72, 122
George v. Celotex,
914 F.2d 26, 28 (2nd Cir., 1990) ..................................................................... 40
Gitto v. Chesterton,
2010 U.S. Dist LEXIS 144568 (S.D.N.Y., 2010) .......... 57, 68, 84, 91, 92, 94
Hughes v. A.W. Chesterton Co.,
435 N.J.Super. 326 (N.J. A.D., 2014) ......................................................... 122
viii
In re Asbestos Products Liability Litigation (No. VI) [Hoffeditz],
2011 WL 5881008 (E.D.Pa., 2011) ............................................................. 123
In re TMJ Implants Products Liability Litigation,
872 126 F.Supp.1019, 1026 (D.Minn., 1995) ............................................. 125
Kiefer v. Crane Co.,
2014 WL 6778704 (SDNY, 2014) .................................................... 89, 92, 93
Lindquist v. Buffalo Pumps, Inc.,
2006 WL 3456346 (R.I.Super.Ct., 2006) .................................................... 123
Lindstrom v. A-C Prod. Liab. Trust,
424 F.3d 488 (6th Cir., 2005) ........................................................................ 121
Marcias v. Saberhagen Holdings, Inc.,
175 Wash.2d 402 (2012) ............................................................................. 116
May v. Air and Liquid Systems Corp.,
219 Md.App. 424 (Md. Ct. Spec. App. 2014) ............................................. 122
O’Neil v Crane Co.,
53 Cal.4th 335 (2012) ............................................................ 63, 107, 115-120
Phillips v. Hoffman/New Yorker, Inc.,
2013 Del.Super. LEXIS 378 (Del.Sur.Ct., Aug. 30, 2013) ......................... 123
Salisbury v. Asbestos Corp.,
2014 U.S. Dist. LEXIS 11295 (E.D.P.A) .................................................... 122
Sether v. Agco Corp.,
2008 WL 1701172 (S.D.Ill. 2008) ............................................................... 123
Shields v. Hennessy Industries, Inc.,
205 Cal.App.4th 782 (Cal.App.1st Dist. 2012) ........................................... 129
Simonetta v. Viad Corp.,
165 Wn.2d 341, 197 P.3d 127 (2008) ........................................................... 63
Sparkman v. Goulds Pumps, Inc.,
2015 U.S. Dist. LEXIS 19579 (D.S.C., Feb. 19, 2015) .............................. 123
Surre v. Foster Wheeler,
831 F.Supp. 2d 797 (SDNY, 2011) ......................................24, 27, 28, 29, 32,
33, 70, 82-84, 89-94
Sweredoski v Alfa Laval, Inc.,
2013 R.I. Super. LEXIS 185(R.I. Super. Ct, Oct. 21, 2013) ............... 123, 124
ix
Unpublished New York Authorities:
Cobb v. A.O. Smith Water Prods.,
Index No. 10-3677 (Sup. Ct., Oswego County, Mar. 30, 2011) ................... 95
Egelston v. Air & Liquid Systems Corp.,
Index No, 2010-1038 (Sup. Ct., Onondaga Cty., July 11, 2011) .................. 96
Forth v. Crane Co.,
Index No. 2008-0491 (Sup. Ct., Schenectady
County, Sept. 12, 2011) ................................................................................. 95
Franck v. 84 Lumber Co.,
Index No. 5716/2010 (Sup. Ct., Orange County, Oct. 20, 2011) .................. 95
In re Sixth Judicial District Asbestos Litig.: [Schmerder],
Index No. CA2010-000927 (Sup. Ct., Broome County,
Sept. 26, 2011) ............................................................................................... 95
Jones v. Air & Liquid Systems,
Index No, 2010-3265 (Sup. Ct., Oswego Cty. July 11, 2011) ...................... 96
Major v. A.O. Smith Water Products Co.,
Index No. 800805/2013 (Sup. Ct. Erie County, January 22, 2015) .............. 96
Mosher v. A.W. Chesterton Co.,
Index No. 2010/7914 (Sup. Ct., Monroe County,
Oct. 4, 2011) .................................................................................................. 95
Pienta v. A.W. Chesterton Co.,
Index No. 2012-1161, (Sup. Ct., Erie County Jul 2, 96 2014) ................ 95-96
Sawyer v. A.C. & S., Inc.,
32 Misc. 3d 1237[A], 938 N.Y.S.2d 230, 2011
NY Slip Op 51612[U] [N.Y. Sup. Ct. 2011] ........................................... 91, 92
Statutes:
CPLR Article 16 ............................................................................................. 113, 114
CPLR 1401 ............................................................................................................. 113
CPLR 4401 ......................................................................................................... 20, 21
CPLR 4404(a) .......................................................................................................... 21
x
Other Authorities:
2 Harper & James, Torts, § 28.3 .............................................................................. 37
Birnbaum Unmasking the Test of Design Defect: From Negligence to
Strict Liability to Neglignce, 33 Vand. L. Rev. 593, 599-600) ..................... 35
PJI 2:120 vol. 1A at 718 (2015 edition) ................................................................... 35
Restatement (Second) Torts, § 134, Illustration 1 ................................................... 55
Restatement (Third) of Torts: Products Liability (“Restatement”) § 5cmt ........... 125
Schwartz, New Products, Old Products, Evolving Law, Retroactive Law,
58 NYU Law Rev. 796, 803 .......................................................................... 35
1
PRELIMINARY STATEMENT
The Defendant-Appellant in this case, Crane Co., manufactured large
industrial valves designed to facilitate the transportation and retention of steam. At
the time of sale, these valves were composed of a number of component parts,
including asbestos gaskets and asbestos packing.
The gaskets and packing that Crane incorporated into its valves during
manufacture were composed of asbestos fibers and a binding matrix which held the
asbestos together. Over time, the high temperatures at which the valves operated
caused the matrix to disintegrate, leaving only the asbestos fibers. In order to keep
the valves in working order, it was necessary for workers to regularly open the
valves, scrape off the old gasket and packing material, and install fresh gaskets and
packing. Maintenance of the valves caused carcinogenic asbestos fibers to be
released into the breathing zones of workers, such as the decedent.
Crane knew that proper maintenance of its valves would require workers to
change the gaskets and packing on a regular basis, just as proper maintenance of an
automobile requires changing the oil on a regular basis. Crane knew that, unless
workers took special precautions, the act of performing routine maintenance on the
valves would expose them to carcinogenic asbestos fibers. Yet Crane did not
provide any warnings of these latent hazards.
2
Plaintiff’s decedent, Gerald Suttner, was a laborer whose job duties included
servicing numerous Crane steam valves over a period of decades. He developed
mesothelioma as a result of his occupational exposure to asbestos. Mr. Suttner
brought suit against a number of defendants. A jury found that Crane was 4% at
fault for his injuries, and allocated fault to sixteen other entities.
The consumable replacement parts that Mr. Suttner installed in and removed
from Crane’s valves were not obtained from Crane, but rather from a third party
supplier. Crane contends that it may not be held liable for injuries resulting from
its failure to warn about the dangers of performing routine maintenance on its
valves unless it supplied (or “controlled”) the asbestos-containing components.
Crane’s contention is based on its erroneous reading of the decision in
Rastelli v. Goodyear Tire & Rubber Co., 79 N.Y.2d 289 (1992). Crane reads
Rastelli to create a bright-line rule by which a manufacturer is absolved of its duty
to warn of the known hazards of its products where that manufacturer did not
distribute (or “control”) the exact fungible components that happened to be in its
product on the day or days that the plaintiff occasioned to use it.
3
Crane’s Rule
1
is not found anywhere within the text of Rastelli and, indeed,
is inconsistent with a straightforward reading of that case. This Court has
specifically held that Crane’s proposed rule is contrary to public policy. See, Sage
v. Fairchild-Swearingen Corp., 70 N.Y.2d 579, 587 (1987) (“to insulate a
manufacturer under such circumstances would allow it to escape liability for
designing flimsy parts secure in the knowledge that once the part breaks and is
replaced, it will no longer be liable.”). Furthermore, to embrace Crane’s Rule
would require this Court to disregard numerous post-Rastelli appellate court
decisions fundamentally inconsistent with Crane’s reading of that case.
As a product manufacturer, Crane had a duty to warn of the latent dangers
associated with the use of its products. By this Appeal, it has sought to carve out
an unprecedented, categorical exception to that duty, in defiance of both precedent
and public policy.
The thesis statement of Crane’s Rule is that, “In Rastelli [citation omitted]
this Court held that the imposition of legal responsibility in the product liability
1
Crane uses a number of different expressions for the novel test that it seeks to persuade this
Court to adopt. For example, it refers to its proposed rule as: the “control-based stream-of-
commerce analysis articulated in Rastelli” (Brief for Appellant at 3); the “Control- Based
Analysis of Rastelli” (Id.. at 15, Point I); “The rule of Rastelli” (Id.); “the majority rule
nationwide” (Id. at 16); “the Control-Based Approach To Legal Responsibility Taken in
Rastelli” (Id. at 17) and the “control-based approach articulated in Rastelli” (Id. at 27). Since
Crane’s proposed rule is extremely inconsistent with Rastelli and is not “the majority rule
nationwide”, Plaintiff will refer to it, for the sake of clarity, as Crane’s Rule. Crane’s Rule and
its potential interpretations are discussed in detail at Point I.E.
4
context depends on a showing that the defendant had control over the production or
use of the allegedly defective product or played a role in placing them in the stream
of commerce.” See, Brief for Appellant at 15. This statement is demonstrably
untrue. Rastelli explicitly recognized that there were circumstances where the
imposition of legal fault in the product liability context does not depend on a
showing that the defendant had control over the production or use of the allegedly
defective product. Sage explicitly found that a manufacturer could be liable for
injuries arising from a defect associated with a replacement part that it did not
control, distribute or otherwise directly interact with. Numerous decisions written
by the Appellate Division over the course of nearly a quarter century have also
interpreted Rastelli as recognizing that circumstances do occur wherein there exists
a duty to warn about the use of dangerous components supplied by third parties in
and with one’s product.
Crane manufactured a product and placed it in the stream of commerce. The
act of performing routine maintenance on that product in the manner recommended
by Crane exposed the plaintiff to a carcinogen. Crane knew of this latent danger
but did not issue a warning.
Crane has suggested that any ruling that holds that a jury may find that it
breached its duty to warn must be “outcome-driven,” or inscrutably complex, but
5
the opposite is true. If the normal and intended use of one’s product poses a hazard
of terminal cancer then, under a plain reading of Liriano v. Hobart Corp., 92
N.Y.2d 232 (1998), a jury could find that the manufacturer breached a duty to
warn. Creating an exception whereby the duty to warn ceases to exist if a third
party wear item replaces the defendant’s original wear item would lead to an
exceedingly peculiar and harsh result, akin to the rules governing the privity-based
approach to product liability that this Court rightly disposed of decades ago.
Outside of the politically-loaded context of asbestos litigation, it is doubtful
that a company would seriously suggest that the manufacturer of a product which
regularly exposed its users to carcinogenic dust should have only a transitory duty
to warn of that fact, regardless of who supplied the consumable components.
It is, in fact, Crane that is seeking an outcome-driven result. Its paraphrase
of Rastelli is contradicted by Rastelli itself as well as by numerous decisions by
this and other New York State Appellate Courts. Even the Federal District Court
decisions that Appellant has cited in purported support of Crane’s Rule contradict
Appellant’s illogical and extreme position. Although Appellant has never obtained
a New York Appellate decision, or even a published New York trial court decision,
endorsing Crane’s Rule and, although it is presently appealing verdicts against it
upheld by two departments of the Appellate Division, Appellant continues to insist
6
that Crane’s Rule is the majority view, instead of being a bald attempt to carve out
an exception that would exempt it from the ordinary jury-based fact-finding
process for assessing the scope of the duty to warn. If this Court permits Appellant
to carve out a bright-line exception to the ordinary rules of the product liability
system, Crane and similarly-situated companies (and their insurers) will be able to
write off millions of dollars worth of inchoate costs. These costs are associated
with liability that it accrued by voluntarily selling industrial equipment that it knew
to be potentially defective in a state without a Statute of Repose. If Appellant
eliminates its liability, the cost of its windfall will be borne by other litigants: co-
tortfeasors who pay more than their equitable share, bankruptcy trusts that exhaust
their resources more quickly, and injured victims who go uncompensated.
Public policy imposes a duty to warn on Crane in this case. It imposes that
same duty on several other tortfeasors who also contributed to Mr. Suttner’s injury
and death. The state has a legitimate interest in seeing that the Estate of Suttner
has a fair opportunity to be made whole as well as a legitimate interest in seeing
that Crane has a fair opportunity to prove to a jury what its equitable share of the
damages should be. There are legislative and common law safeguards in place that
balance these interests and act to protect both plaintiffs and manufacturers. Crane,
believing itself to be insufficiently protected by such safeguards, has attempted to
7
turn this lawsuit into a public policy referendum by inserting irrelevant and
misleading claims about asbestos litigation in general into the briefs in both this
case and Dummitt and by taking the position that the only possible public policy
rationale for decisions rejecting the (universally-rejected) Crane Rule is a judicial
desire to unjustly compensate one litigant at the expense of another. These claims
distract from the real point of this lawsuit: whether or not a manufacturer has a
duty to warn against latent dangers resulting from foreseeable uses of its product of
which it knew or should have known.
It is respectfully submitted that this Court should not treat Crane’s appeal as
a referendum on the victims of mesothelioma or the lawyers who represent them.
And neither should it treat this appeal as a referendum on the manufacturers of
equipment dependent on the use of asbestos components. Rather, this appeal
presents a legal duty question that should be resolved on the basis of New York’s
time-tested law of product liability, and not on the basis of a proposed “rule” which
would require a fundamental alteration of our State’s negligence doctrine.
8
QUESTIONS PRESENTED
1. Does a product manufacturer have a duty to warn of the latent hazards
associated with the routine maintenance of its products when its product acts
synergistically with a component manufactured by a third party to create a
cancer hazard to end users?
The Court Below Answered: Yes
Proposed Answer: Yes.
2. Does a product manufacturer’s duty to warn of the latent dangers of
foreseeable uses of its product include a duty to warn of the hazards
associated with installing third party replacement parts into its products,
when the manufacturer knows that such replacement parts will be necessary?
The Court Below Answered: Yes
Proposed Answer: Yes.
9
COUNTER-STATEMENT OF FACTS
Because the facts of this case turn on the mechanics of how Crane’s products
were used, it is useful to examine the structural makeup of Crane’s valves before
turning to Mr. Suttner’s specific use of the valves. At trial, design schematics for
Crane steam valves from the 1950s through the late 1970s were introduced into
evidence as Plaintiff’s Exhibit 35. (See, Plaintiff’s Exhibit 35, reproduced at R.
5287-5296.). For ease of reference, a copy of one of these schematics is
reproduced as Addendum A to this Brief.
A. The Structure of Crane’s Valves
A valve is a device designed to modulate the flow of fluids (liquids and
gasses) through a piping system. (R. 1052-1053.).
Crane Co. manufactured industrial valves. These were finished products
which weighed up to several hundred pounds each and which were constructed out
of numerous component parts. The Crane schematic attached as Addendum A, for
example, lists seventeen individual component parts and specifies the composition
of those parts. For example, the “body” is to be made of bronze, the “hand wheel,”
is to be composed of malleable iron, and so forth.
10
The components that are relevant to the present Appeal are the “packing,”
which is identified with the number “12” on the diagram, and the “bonnet gasket,”
which is marked “24.”
A gasket is a shaped ring which seals the junction between two surfaces in
order to prevent leakage. In industrial valves, the bonnet gasket seals the space
between the body of the valve, through which the fluid flows, and the rest of the
machinery of the valve. (See, Addendum A, Part No. 24.).
Industrial valves are attached to pipes, which connect to the remainder of the
fluid transportation system, by flange gaskets, which prevent fluid from leaking out
from between the space where the valve meets the pipes.
“Packing” is used to describe rope-like material which is wound around the
stem of the valves in order to prevent leakage. (See, Addendum A, Parts No. 8 and
12.).
The term “packing” is also used to refer to sheet packing, which is a flat
sheet or roll of material from which gaskets can be cut. (See, Crane advertisement
at R. 4278.).
Historically, gaskets and packing have been made out of a variety of
materials, depending on the temperature and the pressure of the fluid that the
11
valves are intended to transport. For example, rubber gaskets were often used on
lower pressure, lower temperature lines. (R. 501.).
B. The Crane Co. Valves Mr. Suttner Serviced Contained Asbestos-
Containing Components at the Time of Sale
During the decades leading up to Mr. Suttner’s exposure, it was industry
custom to use asbestos-containing gaskets and packing in high pressure steam
lines. Crane supplied those valves which it intended for use in transporting high
pressure steam with internal asbestos-containing gasket and packing components.
In evidence as Plaintiff’s Exhibit 33 is a Crane catalog from 1936, the
approximate date when the GM facility where Mr. Suttner worked was
constructed. (The catalog is reproduced at R. 4387-5187. Testimony that
plaintiff’s workplace was constructed in the 1930s is found at R. 1054.). The
catalog contains a description of Crane’s proprietary asbestos-containing packing
and gaskets, which were sold under the trade name “Cranite.” (R. 4784. See also,
Cranite Purchasing Specifications, R. 5397-5401, dictating asbestos-content of
Cranite in 1957 and 1972.). According to Crane, “Cranite gaskets are used on all
Crane valves for high pressure or superheated steam.” (R. 4784, emphasis added.).
A jury could, therefore, properly conclude that defendants’ products were sold with
original Cranite asbestos-containing parts.
12
Crane continued to sell its valves with original asbestos-containing gaskets
and packing components into the mid-1980s. This is confirmed by the previously
cited product specifications, which date from 1955, 1963, 1965, 1968 and 1977, all
of which specify the use of original asbestos parts. (R. 5287-5296.). It is also
confirmed by Crane’s Answers to Interrogatories, where it states that it did not
begin to explore the prospect of replacing the asbestos components in its valves
until the late 1970s and early 1980s, and that it encountered difficulty finding
suitable replacement material during that time. (See, R. 5415. “Subject to and
without waiving the foregoing objections, in the late 1970s and early 1980s, as a
result of changes in customer preferences, Crane Co. began to explore the prospect
of replacing the asbestos-containing components in its industrial products. At the
time, Crane Co. encountered difficulty locating suitable substitute components.
Nevertheless, Crane Co. modified its engineering specifications in 1985 to phase
out asbestos-containing components from all valves manufactured in the United
States other than one specific valve designed for petroleum industry
applications.”). Expert testimony confirms Crane’s sworn statement that viable
alternatives to asbestos gaskets and packing were not available during Mr.
Suttner’s employment history. (R. 616-617.).
13
Crane Co. has repeatedly asserted that Crane Co.’s valves did not require
asbestos-containing gaskets to function. (See, Brief for Appellant at 12, 22.).
However, much of the record contradicts this assertion.
In support of its contention that General Motors could have elected to use
non-asbestos-containing valves, Crane cites the existence of flexible metallic
specialty gaskets (discussed in Point C, infra.) However, the record contains no
evidence to suggest that these specialty items were fungible with asbestos gaskets,
and Crane’s own Answers to Interrogatories strongly suggest the contrary. In the
Interrogatory Answers, Crane Co. objected to the interrogatory because it “implies
that there was a product that ‘could be substituted for’ asbestos-containing
components that may have been associated with any Crane Co. product.” (R.
5415). It went on to explain that it “began to explore the prospect of replacing the
asbestos-containing components in its industrial products” “in the late 1970s and
early 1980s,” but that it “encountered difficulty locating suitable substitute
components” and was unable to do so until approximately 1985. (Id.). By its own
admission, it took Crane, a company that had been manufacturing valves with
asbestos components since the 1850s, over half a decade of concerted effort to find
materials that could replace asbestos gaskets and packing, despite the fact that it
was motivated to do so by “changes in customer pressure.” (R. 5415.).
14
However, it blithely suggests that General Motors, a non-expert in the area
of valves, could have solved the same problem at any time during the 1930s
through the 1970s. Crane may be entitled to make this argument to a jury, but not
to have it treated as an undisputed matter of fact.
C. Crane’s Speculation That the Valves at Issue May Have Been Supplied
Without Original Asbestos-Containing Parts Should Be Disregarded
Crane has attempted to muddy the waters by speculating that the valves that
Mr. Suttner serviced might not have been asbestos-containing products at the time
that Crane sold them. The valves might, Crane implies, have contained non-
asbestos gaskets and packing at the time of sale, which the decedent’s employer
subsequently replaced with asbestos material. This line of speculation is wholly
unsupported by the record and should be disregarded. At a minimum, there is
sufficient basis in the record to permit the jury to conclude that the Crane valves
Mr. Suttner serviced were asbestos-containing products at the time of their original
sale.
Crane bases its speculative argument on the several catalog pages dealing
with metal gaskets and on the equivocal nature of its self-serving interrogatory
answers.
Corrugated metallic gaskets are specialty items which were used on valves
that operated at temperatures too hot even for asbestos gaskets to survive. Crane’s
15
1955 catalog discusses them at R. 3806. In that excerpt, Crane recommends
Cranite gaskets for temperatures of up to 750 degrees, and metallic gaskets for
extraordinary temperatures exceeding 750 degrees. Crane’s instruction manual on
valve maintenance, in evidence as Plaintiff’s Exhibit 46, confirms metallic gaskets’
status as a specialty item. Under the heading, “Facts About Gaskets,” it states that,
“This type gasket is used only in very high pressure-temperature services.” (R.
5374.).
Crane has speculated, without any apparent basis, that the decedent’s
employer purchased a number of specialty valves designed to be used on
applications of greater than 750 degrees, used their valves for applications of less
than 750 degrees, and switched out the alleged original metal bonnet gaskets for
asbestos gaskets. Assuming, arguendo, that this odd hypothetical had some basis
in reality, the valves in question were still sold with original, asbestos-containing
packing, and so Mr. Suttner would still have been exposed to asbestos-containing
replacement parts that were substantially identical to an original component
supplied by Crane Co. The totality of the evidence suggests, however, that the
valves in question were intended for use on high pressure steam-lines that operated
at less than 750 degrees Fahrenheit, and that Crane, therefore, at all times supplied
asbestos-containing bonnet gaskets as components of the original valves.
16
Crane has also attempted to rely on its Answers to Interrogatories, which
were read into the Record at R. 433, in support of its speculation that its valves
might have been supplied without asbestos-containing parts. (See, Brief for
Appellant at page 11.). The Answers to Interrogatories use equivocal language and
state: “Crane Company placed on the market industrial valves that may have
contained asbestos-containing materials within their metal structure as early as
1858. Asbestos was included as a component from certain Crane Company’s
industrial valves throughout the late 1970s.[sic]” (R.433.). Crane cites this passage
for the proposition that, “Certain of Crane Co.’s Valves may have been supplied
with an internal ‘bonnet’ gasket and a piece of internal stem packing at the time of
sale; however, those products may or may not have contained asbestos at the time
of sale.” See, Brief for Defendant-Appellant at page 11.
Crane may not leverage the equivocal, self-serving phrasing of its
interrogatory answer into some sort of proof that it supplied decedent’s employer
with high-pressure, high-temperature valves without asbestos components. The
totality of the evidence clearly suggests that the valves that Mr. Suttner worked
with contained asbestos bonnet gaskets and asbestos stem packing at the time of
sale. A jury could, in theory, and did, in fact, conclude that this was the case.
17
D. Mr. Suttner’s Exposure to Crane’s Valves
Mr. Suttner worked in the General Motors plant in Tonawanda, New York,
from 1961 until his retirement in 1997. (See, Plaintiff’s Videotaped Trial
Testimony, in the Record as Court Exhibit 4, R. 6452-6453). Between the years
1964 and the late 1970s, he worked as a pipefitter. (R. 6462.). One of his job
duties as a pipefitter was to service Crane’s steam valves. (R. 6462-6463.).
Mr. Suttner testified that his maintenance work on Crane’s valves caused
him to become exposed to asbestos in three ways: through stem packing, bonnet
gaskets and flange gaskets.
Mr. Suttner was exposed to asbestos-containing stem packing, which he
replaced in the stuffing boxes of the valves. (See, component labeled “12” in the
schematic at Addendum A). He had to remove the old packing with a hook, blow
out the stuffing box with an air hose, and cut and install the new packing, all of
which exposed him to asbestos fibers. (R. 6472-6473.).
Mr. Suttner was also exposed to asbestos when he replaced the bonnet
gaskets in the Crane valves. (See, component labeled “24” in the schematic at
Addendum A.). These gaskets were, at the time of sale, non-friable, with the
asbestos fibers sealed in a matrix material such as rubber. (See, Testimony of
Crane’s expert Charles Blake at R. 1017-1018.). After the superheated valves had
18
been in use for a period of time, the matrix would disintegrate, leaving the asbestos
material baked onto the valve in a friable state. (See, Testimony of Richard
Hatfield at R. 496-497; Videotaped Trial Testimony of Gerald Suttner at R. 6466.).
The plaintiff had to remove this baked-on, friable product with a wire brush, a
scraper and a grinder. (R. 6466-6469.). This process released respirable asbestos
fibers. The plaintiff categorized the state of the air, when he performed these
operations, as “full of debris.” (R. 6468.).
The gaskets, in other words, were changed from a non-hazardous state into a
hazardous one by the ordinary operation of Crane’s valves.
For purposes of this Appeal, Crane has attempted to downplay the
interaction between its valves and their asbestos-containing components, implying
that the latter is the product that injured the decedent, and that their valves did not
contribute to rendering them dangerous. However, Crane’s Answers to
Interrogatories confirm that gaskets were encapsulated asbestos products at the
time they were initially installed in and on its valves. (“Furthermore, any asbestos
contained in the components themselves was chemically and physically bound
within the component by a rubber-like compound.” R. 5409.).
Crane admits that, during the period of over a century when it sold valves
containing asbestos wear components, it never performed any tests to ascertain
19
whether it was dangerous for workers to change those components in the fashion
directed by Crane. (R. 5315, Testimony of Corporate Representative Anthony
Pantaleoni; R. 5429, Answers to Interrogatories.). Crane also admits that although
it manufactured products containing asbestos wear components from
approximately 1858 (R. 433) until the late 1980s or early 1990s (R. 5414), it did
not place any warning about the dangers of servicing these components on its
valves until the mid-1980s. (R. 5422.).
It is indisputable that Crane anticipated that mechanical grinding would be
used to remove baked-on gaskets from its valves. Crane published an instruction
manual, in evidence as Plaintiff’s 46, which specifically advocated the practice.
(R. 5376.).
Finally, Mr. Suttner was exposed to asbestos-containing gaskets that were
used to connect the flanges of the valves to the adjoining pipes which transported
the steam. (R. 6468). These gaskets became baked onto the valve in the same
fashion as the bonnet gaskets and were removed in the same fashion. (R. 6466-
6469.).
20
THE APPLICABLE STANDARD OF REVIEW
In determining whether a litigant is entitled to summary judgment, the Court
of Appeals must – like the trial court and Appellate Division – “[v]iew[] the facts
in the light most favorable to” the non-moving party. Ortiz v. Varsity Holdings,
LLC, 18 N.Y.3d 335, 340 (2011); Accord, Vega v. Restani Const. Corp., 18
N.Y.3d 499, 503 (2012). Summary judgment is appropriate only if the movant
“tender[s] sufficient evidence to demonstrate the absence of any material issues of
fact” and the opposing party “fails to establish the existence of material issues of
fact which require a trial of the action.” Id. (internal quotation marks and citation
omitted).
A similar standard applies upon review of motions to dismiss a plaintiff’s
complaint at the close of proof, pursuant to CPLR 4401, post verdict, pursuant to
CPLR 4404(a), and on appeal. As the Court held in Szczerbiak v. Pilat, 90 N.Y.2d
553 (1997):
In considering [a] motion for judgment as a matter of law [pursuant to
CPLR 4401], the trial court must afford the party opposing the motion
every inference which may properly be drawn from the facts
presented, and the facts must be considered in a light most favorable
to the nonmovant.
90 N.Y.2d at 556 (citation omitted). The motion can be granted, the Court further
held, only if “there is no rational process by which the fact trier could base a
21
finding in favor of the nonmoving party.” Id. (citation omitted); See also, Dinardo
v. City of New York, 13 N.Y.3d 872, 873-875 (2009) (applying that standard upon
review of orders denying defendant’s motions under CPLR 4401 and 4404[a]’);
and Campbell v. City of Elmira, 84 N.Y.2d 505, 511 (1994) (in reviewing a jury
verdict, the Court “respects the jury’s deliberations in weighing and resolving
disputed fact and credibility questions.”).
22
ARGUMENT
I. NEW YORK’S LAW OF PRODUCT LIABILITY
A. New York’s Law of Product Liability Is a Logical Analytical
Framework Composed of Doctrines Which the Courts Use
Collectively To Examine Individual Circumstances; It is Not a
Series of Facile Single-Factor, Contradictory “Tests,” as Crane
Would Have This Court Believe
New York’s product liability case law presents an orderly, logical, well-
settled analytical framework, which has evolved organically over the course of
approximately the past century. The collective canon of decisions embodies a
consistent set of public policy goals and represents a measured and considered
attempt to balance the legitimate and conflicting interests of plaintiffs and
defendants in an equitable fashion.
In order to hold a defendant to account for negligence, the defendant must
have breached a duty.
2
As soon as a company manufactures a product and places it
in the stream of commerce, it assumes a duty to manufacture and sell that product
in a non-negligent fashion.
3
Manufacturing a product in a non-negligent fashion
necessitates designing the product so that it is reasonably safe for its intended uses
and for foreseeable misuses.
4
Manufacturing a product in a non-negligent fashion
also requires issuing adequate warnings regarding foreseeable latent dangers about
2
Palsgraf v. Long Island R. R. Co., 248 N.Y. 339 (1928).
3
Liriano v. Hobart Corp., 92 N.Y 2d 232 (1998).
4
Robinson v. Reed-Prentice Div., 49 N.Y.2d 471, 479 (1980).
23
which the manufacturer knew or should have known.
5
The adequacy of a warning
is nearly always a jury issue.
6
The duty to adequately warn extends to buyers, end-
users and others foreseeably exposed to harm by the product.
7
A company may
have a duty to issue post-sale warnings.
8
Whether or not a post-sale duty to warn
falls into the scope of the manufacturer’s duty in a given circumstance requires
evaluating a number of case-specific factors.
9
When a product is modified after
sale, the court must evaluate case specific-factors to determine whether subsequent
injuries can still be said to have been a result of the defective design.
10
Even when
a modification, such as the disabling of a safety feature, occurs and a design defect
cause of action does not lie, a manufacturer who failed to issue warnings against
such a modification may have breached a duty to warn, depending on the
circumstances of the case.
11
If an accident victim has personal knowledge of
specific danger presented by the product, the manufacturer will not be held liable
for failure to warn because the failure was not a proximate cause of the injury.
12
Sometimes a victim is injured by a replacement part that has been incorporated into
5
Liriano, supra, 92 N.Y.2d at 237.
6
Id.
7
McLaughlin v. Mine Safety Appliances Co., 11 N.Y.2d 62, 68 (1962).
8
Cover v. Cohen, 61 N.Y.2d 261, 268 (1984).
9
Id.
10
Robinson, supra; Hoover v. New Holland North America, 23 N.Y.3d 41 (2014).
11
Liriano, supra, 92 N.Y.2d at 237.
12
Id. at 242.
24
the original manufacturer’s design; in such cases, the original manufacturer may
still be held liable.
13
Sometimes, the interaction between products or components
made by two different manufacturers foreseeably creates a hazard. In such cases,
the court must make a case-specific evaluation of whether the danger presented by
the interaction between the products fell within the scope of either or both
manufacturers’ duties to warn.
14
The above paragraph represents a non-exhaustive list of some of the
principles which make up the analytical framework of New York’s product
liability law. Although it is not intended to be comprehensive, the vast majority of
product liability issues that arise in most day-to-day tort cases can be addressed
using one or more of these legal principles. Most courts will only need to make
determinations on a handful of these issues in any given case – a company usually
does not dispute that it manufactured its products or that it manufactured them for
sale, for instance. The above rules represent a coherent analytical framework,
13
Sage v. Fairchild-Swearingen Corp., supra, 70 N.Y.2d 579 (1987).
14
Rastelli v. Goodyear Tire and Rubber Co., supra, 79 N.Y.2d 289 (1992); See also, Rogers v.
Sears, Roebuck & Co., 268 A.D.2d 245 (1
st
Dept 2000); Berkowitz v. A.C. & S., Inc., 288
AD.2d 148 (1
st
Dept, 2001); Penn v. Jaros, Baum & Bolles, 25 A.D.3d 402 (1
st
Dept, 2006);
Village of Groton v. Tokheim Corp., 202 AD2d 728 (3d Dept 1994); Baum v. Eco-Tec, Inc, 5
A.D.3d 842 (3d Dep’t 2004) (case-specific relationship between products dictated that the scope
of manufacturer’s duty to warn encompassed dangers of use with injury causing agents supplied
by third party); compare, Tortoriello v. Bally Case, Inc., 200 A.D.2d 475 (1
st
Dept, 1994); Surre
v. Foster Wheeler, 831 F.Supp. 2d 797 (SDNY, 2011) (case-specific relationship between
products dictated that the scope of manufacturer’s duty to warn did not encompass dangers of
use with injury-causing agents supplied by third party).
25
developed by the state judiciary over time, that is neither contradictory nor
confusing.
Part of Crane’s rhetorical strategy has been to take individual concepts out
of this analytical framework, selectively quote them to remove all nuance and
qualification, and assert that whichever case it has selectively quoted establishes a
rigid, formalistic rule that it refers to as a “test.”
For instance, Crane states that Rastelli “held that the imposition of legal
responsibility in the product liability context depends on a showing that the
defendant had control over the production or use of the allegedly defective product
or played a role in placing it in the stream of commerce.” Brief for Appellant at
15. It calls this paraphrase, “the rule of Rastelli,” and goes on to argue that
anything that contradicts this paraphrase must be wrong. (This Brief will refer to
the proposition in question as “Crane’s Rule”, since it contradicts the actual
Rastelli decision.)
As Point I.C.4., infra, discusses, the Rastelli decision, although finding that
the situation was not within the scope of the defendant’s duty to warn, describes
several situations where a manufacturer can be held liable for components it did
not “control the production of” or place in the stream of commerce. Furthermore,
26
numerous Appellate decisions citing Rastelli have held that manufacturers may be
held liable in circumstances that violate Crane’s Rule.
Crane does not discuss how its interpretation of Rastelli would interact with
Liriano, or any of the other cases that suggest that foreseeability defines the scope
of duty.
It does not even cite Penn v. Jaros, Baum & Bolles, supra, 25 A.D.3d 402
(1
st
Dept, 2006), Berkowitz v. A. C. & S., supra, (1
st
Dept, 2001), or Village of
Groton v. Tokheim Corp., supra, 202 A.D.2d 728 (3
rd
Dept, 1994), all Rastelli
progeny, cited by the trial court, that contradict the soi disant “rule of Rastelli,”
and Crane has to misleadingly quote other cases to make them seem in accord.
(See, Point I.E., infra.). But by calling its position a “rule” and naming it after a
case, Crane lends an air of doctrinal legitimacy to a legal interpretation that has
been universally rejected by every New York Court to consider it.
Appellant also takes judicial statements out of context, declaring them to be
“rules” or “tests,” as a means to dismiss legal opinions which do not accept
Crane’s proposed reading of Rastelli. By reducing the well-reasoned and carefully
phrased cases which puncture its position to a series of contradictory “tests” which
can be expressed in brief, catchy nicknames, Crane paints the New York courts as
hopelessly confused and in need of the illusion of clarity offered by Crane’s Rule.
27
This is demonstrated by Crane’s treatment of the trial court’s post-trial
decision in this case. Justice Lane wrote an eleven page decision, virtually all of
which focused on Crane’s argument that it did not have a duty to warn. (R. 13-
24.). In the course of that decision, Justice Lane explained the fact pattern,
analyzed what the Liriano and Rastelli precedents dictated under the fact pattern,
and cited seven other appellate cases that contradict Crane’s Rule. Justice Lane
also carefully analyzed Appellant’s misinterpretation of the Drabczyk
15
and Surre
16
cases, which Appellant contended support Crane’s Rule. Justice Lane even quoted
Surre, observing that, in situations such as this one, the Surre court acknowledged
that a duty to warn about parts one did not supply may arise where “circumstances
strengthen the connection” between the defendant’s equipment and the third party
components. (R. 22.). Justice Lane’s is a thoughtful and well-reasoned decision
which analyzes all of the factors that it should and concludes that a jury may
properly find that Crane breached a duty to warn about exposure to asbestos during
maintenance of its valves. The Fourth Department, satisfied with Justice Lane’s
detailed legal analysis, affirmed his decision, for the reasons stated therein. (COA
7102.).
15
In Re: Eighth Judicial Dist. Asbestos Litig. [Drabczyk], 92 A.D.3d 1259 (4
th
Dept, 2012),
cited at R. 21-22.
16
Surre v. Foster Wheeler, 831 F.Supp. 2d 797 (SDNY, 2011), cited at R. 21-22.
28
One of the observations that Justice Lane’s decision makes in its analysis of
the law was that, “A manufacturer may be held liable where a plaintiff is injured
by replacement parts that it neither supplied nor specified, which are substantially
similar to the original parts.” (R. 6.). Instead of addressing Justice Lane’s
reasoning, Crane responded by declaring the decision to rest entirely on this one
line and declaring that Suttner had been decided under what it refers to as, “the
replacement part rule.” See, e.g., Brief for Appellant at page 28.
Crane has submitted a brief which does not even bother to cite Liriano, nor
to analyze how the Liriano Court’s explanation of the duty to warn interacts with
Crane’s Rule. It makes a token effort to distinguish Rogers and Sage, but does not
even acknowledge the five other appellate cases that Justice Lane used to explain
the legal inaccuracy of Crane’s Rule or address the trial court’s patient critique of
Crane’s arguments regarding Rastelli, Drabczyk, Tortoriello
17
, and Surre. Crane
has attacked the court’s decision not by analyzing its decision as a whole, but by
picking out a single phrase, assigning it a pithy nickname, and then pretending that
the decision turned on a single factor, which Crane then compares to its own
proposed single factor test.
17
Tortoriello v. Bally Case, Inc., 200 A.D.2d 475 (1
st
Dept, 1994).
29
Appellant has used the same technique to attack every New York Court that
has declined to embrace Crane’s Rule.
In response to the Dummitt post-trial motions, Justice Madden wrote a 79
page decision which exhaustively examined the dozens of cases briefed therein.
Matter of New York City Asbestos Litig. [Dummitt I], 36 Misc. 32 1234(A); 2012
N.Y.Misc LEXIS 4057 (N.Y. Sup. Ct. 2012) aff’d, Matter of New York City
Asbestos Litig. [Dummitt II], 121 A.D.3d 230 (1
st
Dept, 2014). Approximately 20
of those pages dealt directly with the scope of a manufacturer’s duty to warn. In
the decision, the court analyzed all of the relevant New York case law, including
Liriano, Rastelli, and every case that cited Rastelli on the issue of synergistic
product use, including those cases where the court found that an issue of fact
existed as to the manufacturer’s breach of its duty to warn (such as Penn, Rogers
and Berkowitz) and those cases which found that no valid question of fact existed
(such as Tortoriello and Surre).
Justice Madden extensively described the relationship between Crane’s
valves and the third party asbestos parts used in their maintenance. One of the
factors she discussed was the foreseeability (the inevitability, really) of such
asbestos components being used in maintenance of Crane’s valves. Dummit I at
*13. Such foreseeability does not create a duty to warn, of course – manufacturing
30
a product does that – but helps define the scope of such a duty. One cannot have a
legal duty to warn of the unforeseeable, but foreseeability is one of the key factors
that defines the scope of a fixed duty. “The risk reasonably to be perceived defines
the duty to be obeyed and risk imports relation; it is risk to another or to others
within the range of apprehension.” Palsgraf v. Long Island R. R. Co., 248 N.Y.
339, 344 (1928).
The Dummitt I decision also explained, in elaborate detail, how Crane’s
bright-line reading of Rastelli was impossible to reconcile with the same large
body of New York cases cited by Justice Lane in Suttner.
Rather than addressing the Court’s explanation of how Crane’s theory was
inconsistent with multiple precedents, Crane simply took an aspect of the decision
out of context, assigned it a memorable catchphrase (“the foreseeability test”), and
used it to misrepresent the Court’s reasoning. When Justice Madden discussed
foreseeability in the context of the scope of Crane’s duty to warn, Crane charged
her with claiming that foreseeability creates duty.
18
Justice Madden did not make
any such claim and (perhaps anticipating that her decision was likely to be
misleadingly summarized) explicitly stated the opposite twice. (“Under these
circumstances, the duty is not based solely on foreseeability, or the possibility that
18
See, e.g. Reply Brief for Appellant In re: New York City Asbestos Litig. [Dummitt], APL-
2014-00209, p. 9, “Plaintiff does not attempt to defend the trial court’s use of a “foreseeability-
based” test for duty…”
31
a manufacturer's sound product may be used with a defective product so as to
militate against a finding of a duty to warn.” Dummitt I at *15. “Moreover, for the
reasons stated above, Crane's duty is not based on foreseeability alone, but rather
on circumstances which strengthen the connection between Crane's valves and the
defective gaskets, packing and insulation.” Dummitt I at *24.).
The First Department unanimously agreed with Justice Madden’s reasoning
regarding the scope of Crane’s duty in Dummitt and rejected Crane’s interpretation
of Rastelli. Even the two dissenting Justices rejected Crane’s claim that it did not
have a duty to warn. See, Dummitt II at 260, Friedman, J. dissenting (“…I believe
that the Dummitt plaintiff is entitled, on this record, to prevail on the issue of
duty…”).
One would never know that from Crane’s Brief, however, which calls
Justice Madden’s analysis a “forseeability test” which “all five First Department
Justices rejected.” Reply Brief for Appellant In re: New York City Asbestos Litig.
[Dummitt], APL-2014-00209 at p. 6. Crane then goes on to quote the Dummitt II
majority and dissent stating that foreseeability alone is insufficient to give rise to
duty, as though the First Department was criticizing Justice Madden. In fact, the
First Department explicitly acknowledged that, “The [trial] court noted that …
Crane's liability was not based solely on whether it was foreseeable to Crane that
32
asbestos-containing components would be used with its products, but rather on
‘circumstances which strengthen the connection between Crane's valves and the
defective gaskets, packing, and insulation.’” Dummitt II, 121 A.D.3d at 239,
quoting Dummitt I at *24.
Having dismissed Justice Lane and the Fourth Department’s rejection of the
Crane Rule as the “replacement parts test,” and dismissed Justice Madden’s similar
analysis as the “foreseeability test,” Crane used the same rhetorical tactic to attack
the First Department’s affirmance of Dummitt.
In Dummitt II, the First Department cited virtually all of the same cases as
the trial court, and came to the same conclusions about their implications, applying
the same nuanced analyses. The First Department also used the same language
that Justices Madden and Lane did to explain the nexus of connection between the
valves and their asbestos components, stating that the factual circumstances
“collectively strengthen the connection between Crane’s valves and the asbestos-
containing components that made Dummitt sick.” 121 A.D. at 251, quoting Surre
v. Foster Wheeler, 831 F.Supp.2d 797 (SDNY, 2011), citing Rogers.
Instead of addressing the First Department’s analysis of Rastelli and its
progeny, Crane reduced approximately ten pages of the Court’s analysis to a single
sentence, which it dubbed the “significant role test.” See, Brief for Appellant at
33
page 28; Brief for [Dummitt] Appellant at 20. (See Discussion at Point I.E.1.
infra.).
The trial court in Suttner, the Fourth Department (which explicitly endorsed
Justice Lane’s reasoning), the trial court in Dummitt and the First Department all
reached the same legal conclusions by analyzing virtually all of the same cases and
reaching identical interpretations of the way holdings in those cases should be
interpreted. The Courts’ conclusions are in harmony with one another and in
harmony with the unanimous conclusions of numerous trial court judges that have
written opinions on this issue over the past decade. (See, Point I.E.3., infra.)
19
Crane uses selective quotation to suggest that the Courts reached their
positions through incompatible lines of reasoning, assigns each court’s supposed
“test” a memorable nickname, and then creates the illusion of discord by
suggesting that the decisions rejecting its theory are hopelessly irreconcilable.
This Court should look to the lower courts’ unanimous agreement on the
proper interpretation of the controlling case law, and not to Crane’s simplistic
“tests.” The trial court’s decision in Suttner correctly applied Liriano and Rastelli,
19
The concordance of judicial reasoning is demonstrated by the fact that all three decisions adopt
the same passage from Surre, a federal trial court case, to illustrate their view of the scope of
duty analysis: “Where additional circumstances strengthen the connection between the
manufacturer's product and the third party's defective one, a duty to warn may arise.” Surre,
supra 831 F.Supp.2d at 801 quoted at Dummitt II, supra, 121 A.D.3d at 239; Dummitt I, supra
2012 N.Y. Misc. LEXIS 4057 *22; Suttner Decision and Order, Erie County Index No. 2010-
12499 (Lane, J., March 15, 2013) (R. 22).
34
as numerous other New York courts have done before, and determined that a
question of fact exists as to whether Crane’s conduct constitutes a breach of its
duty to warn. New York’s law of product liability is fact-intensive because it
disfavors bright-line rules as a matter of policy, but it is not arbitrary.
Consideration of all of the relevant doctrines inevitably supports upholding a jury
finding of liability against Crane Co. for its asbestos-containing products.
This Court should reject Crane’s invitation to replace New York’s nuanced,
logical and equitable approach to product liability with an unprecedented, bright-
line rule that will inevitably produce harsh and inequitable results.
B. New York’s Law of Product Liability, Generally: The Current
Standard
This Court summarized New York’s well-established and currently
controlling law of products liability in Liriano, where it wrote:
A manufacturer who places a defective product on the market that
causes injury may be liable for the ensuing injuries. A product may be
defective when it contains a manufacturing flaw, is defectively
designed or is not accompanied by adequate warnings for the use of
the product. A manufacturer has a duty to warn against latent dangers
resulting from foreseeable uses of its product of which it knew or
should have known. A manufacturer also has a duty to warn of the
danger of unintended uses of a product provided these uses are
reasonably foreseeable.
Liriano v. Hobart Corp., supra, 92 N.Y.2d 232, 237 (1998) (internal citations
omitted).
35
Actions seeking compensation for injuries caused by defective products can
be brought under theories of negligence or strict products liability, or both.
Traditionally, the difference between an action sounding in strict liability and one
sounding in negligence is that a tortfeasor subject to strict liability may be held to
account for damages without any proof of fault. The law of New York has
developed in such a fashion that manufacturing defects give rise to true strict
liability, but design defect and failure to warn claims require proof of fault,
whether the complaint styles the claim as “negligence,” “strict liability” or both.
20
In analyzing the scope and nature of a defendant’s duties, this Court has long
favored balancing the interests of all parties and weighing the facts and
circumstances of the given case, rather than creating and adhering to the sort of
20
See, Denny v. Ford Motor Co., 87 N.Y.2d 248 at FN3 (1995), citing Birnbaum Unmasking the
Test of Design Defect: From Negligence to Strict Liability to Neglignce, 33 Vand. L. Rev. 593,
599-600) (“In [cases alleging manufacturing defects] the flaw alone is a sufficient basis to hold
the manufacturer liable without regard to fault.”); Id. at 258 quoting Schwartz, New Products,
Old Products, Evolving Law, Retroactive Law, 58 NYU Law Rev. 796, 803 (“[i]n general, … the
strict liability concept of ‘defective design’ [is] functionally synonymous with the earlier
negligence concept of unreasonable designing.”); Denny at 258, quoting Enright v. Lilly & Co.,
77 N.Y.2d 377, 387 (“[A] failure to warn claim ‘though … couches in terms of strict liability, is
indistinguishable from a negligence claim.’”); See also, Opera v. Hyva, Inc., 86 A.D.2d 373,
377, internal citations omitted (4
th
Dept, 1982) (“Defective design cases are thus similar to
negligence cases and the standards for imposing liability for design defects are general
negligence principles. … So, too, in the case of failure to give adequate warning or instruction,
the test is a subjective one of what is reasonable and feasible under the circumstances. Where the
theory of liability is failure to warn or adequately instruct, negligence and strict products liability
are equivalent causes of action.”); PJI 2:120 vol. 1A at 718 (2015 edition): “[T]he ‘strict
products liability’ is actually a misnomer when applied to claims based on design defect and
inadequate warning, both of which require scrutiny of the manufacturer’s conduct and analysis of
factual issues involving the manufacturer’s fault,” citing Denny, supra; Enright, supra.
36
single factor tests which predominated prior to the development of tort law. This
Court has referred to the balancing approach as, “the traditional, complex and
particularized analytical path…” Palka v. Servicemaster Management Servs. Corp.,
83 N.Y.2d 579, 588 (1994), and a survey of the case law dating back to the time of
Cardozo shows that this path has served as the guiding principle behind this
Court’s analysis of products liability law for nearly one hundred years. The
experience of the twentieth century bears out the need for such nuance. As Justice
Bellacosa, writing for this Court in Palka, explained:
Common law experience teaches that duty is not something derived or
discerned from an algebraic formula. Rather, it coalesces from
vectored forces including logic, science, weighty competing socio-
economic policies and sometimes contractual assumptions of
responsibility. These sources contribute to pinpointing and
apportioning of societal risks and to an allocation of burdens of loss
and reparation on a fair, prudent basis.
Id. at 585, emphasis added.
According to Palka, “a duty of reasonable care owed by a tortfeasor to an
injured party is elemental to any recovery in negligence.” Id. at 584. The analysis
of such a duty requires a balancing of factors. “What constitutes ‘reasonable care’
will, of course, vary with the surrounding circumstances and will involve ‘a
balancing of the likelihood of harm and the gravity of harm, if it happens, against
37
the burden of precaution which would be effective to avoid the harm.” Micallef v.
Miehle Co., 39 N.Y.2d 376, 385 (1976), quoting 2 Harper & James, Torts, § 28.3.
C. A Manufacturer’s Duties, Generally
An entity that manufactures and sells a product assumes certain duties by
doing so. As Liriano’s summary of the forms of defects implies, a manufacturer
has a duty to make certain that its products are free of manufacturing defects, that
they are not defectively designed, and that they are sold with adequate warnings
associated with their latent dangers.
21
A manufacturer has a duty to design products that are reasonably safe for
their intended uses, or foreseeable unintended uses. In Robinson v. Reed-Prentice
Div., supra, 49 N.Y.2d 471, 480 (1980), this court explained, by way of example,
that “[T]he manufacturer of a screwdriver must foresee that a consumer will use
his product to pry open the lid of a can and is thus under a corresponding duty to
design the shank of the product with sufficient strength to accomplish that task.”
Similarly, Lugo v. LJN Toys, Ltd., 75 N.Y.2d 850 (1990), in which the defendant
manufactured a toy depicting “Voltron,” a children’s cartoon character who carried
21
This Court articulated a limited exception to this otherwise iron-clad rule in Gebo v. Black
Clawson Co., 92 N.Y.2d 387 (1998), wherein it was held that “casual manufacturers” (such as a
defendant that manufactures a product solely for its own use) are held to a lesser standard than
manufacturers that manufacture a product to sell in the ordinary course of their business.
However, even a casual manufacturer may be “held to answer for failure to provide adequate
warnings to the product’s user, and is under a duty to warn of known defects in its product which
are not obvious or readily discernable…” Gebo at 394-395.
38
a shield which he sometimes threw at his opponents. The toy was supplied with a
detachable shield component which, perhaps unsurprisingly, ended up being used
as a projectile during play and injured a child. This Court held that the plaintiff
could proceed with causes of action based on design defect and failure to warn
because such a use of the toy constituted foreseeable misuse.
In addition to the duty to furnish a properly designed product with adequate
warnings, a manufacturer also has a duty to test and inspect its finished products,
to test and inspect any components manufactured by third parties that it
incorporates into its finished products, and to maintain an expert level of
knowledge on the subject of its products.
The duty to test and inspect is naturally implied by the duty to furnish a safe
product. In a manufacturing context, “Reasonable care consists, among other
things, in making such inspections and tests during the course of manufacture and
after the article is completed as the manufacturer should recognize as reasonably
necessary to secure production of a safe article.” Kross v. Kelsey Hayes Co., 29
A.D.2d 901, 927 (3
rd
Dept, 1968), citing Smith v. Peerless Glass Co., 259 N.Y. 292
(1932). The duty to test and inspect requires a manufacturer to inspect component
parts manufactured by third parties and incorporated by its finished products. See,
Smith, supra (“There emerges, we think, a broad rule of liability applicable to the
39
manufacturer of any chattel, whether it be a component part or an assembled
entity.”).
As the Fourth Department explained in Markel v. Spencer, “One who puts
out a complete product, as being of his manufacture, is liable for any defect in a
component part as if he had manufactured it, even though, in fact, he had
purchased the part from others.” 5 A.D.2d 400, 409 (4
th
Dept, 1958). This
doctrine stems from Justice Cardozo’s seminal opinion in MacPherson v. Buick
Motor Co., 217 N.Y. 382 (1916), which held an automobile manufacturer liable for
injuries resulting from a defect in a wheel manufactured by a third party that it had
incorporated into one of its cars.
A defendant’s negligent failure to test its products often arises in the context
of design defect liability, as in Kross, Smith, Markel and MacPherson, but it is
equally applicable in the failure to warn context. See, Penn v. Amchem, 85 A.D.3d
475 (1
st
Dept, 2011) (“On the issue of the duty to warn, evidence that Kern did not
test or investigate the safety of its asbestos liners permitted the jury to conclude
that [defendant-manufacturer] failed to adequately warn [plaintiff] of a potential
danger that it knew or should have known about,”) internal citation omitted. A
manufacturer must, after all, identify those dangers which can be remedied by a
warning in addition to those that can be remedied by an improvement in design.
40
A manufacturer’s duty to exercise reasonable care includes a duty to keep
abreast of recent scientific developments. Micallef v. Miehle Co. Dev. of Miehle-
Goss Dexter, 39 N.Y.2d 376, 386 (1976); See also, George v. Celotex, 914 F.2d
26, 28 (2
nd
Cir., 1990), internal citations omitted, (“[a manufacturer] is held to the
knowledge of an expert in its field and therefore has a duty to keep abreast of
scientific knowledge, discoveries, and advances and is presumed to know what is
imparted thereby.”).
1. A Manufacturer’s Duty to Warn
The duty to warn extends to known or knowable latent dangers associated
with a product. Liriano, supra. “The duty to warn of latent dangers extends to the
original or ultimate purchasers of the product, to employees of those purchasers
and to third parties exposed to a foreseeable and unreasonable risk of harm by the
failure to warn.” McLaughlin v. Mine Safety Appliances Co., 11 N.Y.2d 62, supra
(1962).
“Unlike design decisions that involve the consideration of many
interdependent factors, the inquiry in a duty to warn case is much more limited,
focusing principally on the foreseeability of the risk and the adequacy and
effectiveness of any warning.” Liriano, supra, 92 N.Y.2d at 239.
41
The existence of duty is sometimes purely legal and sometimes a mixed
question of fact and law. “The range of reasonable apprehension is at times a
question for the court, and at times, if varying inferences are possible, a question
for the jury.” Palsgraf v. Long Island R. R. Co., supra, 248 N.Y. 339, 345 (1928);
See also, Liriano, supra, 92 N.Y.2d at 240, internal citation omitted, (“[T]he scope
and existence of such a duty [to warn] are generally fact specific”); Cooley v.
Carter Wallace, 102 A.D.2d 642, 644 (4
th
Dept, 1984) (“Unlike the often highly
technical design or manufacturing defect case, warning cases usually center on a
factual determination of whether an adequate warning was given. These factual
determinations are often interwoven with the question of whether the defendant
manufacturer has a duty to warn, and if so, to whom that duty is owed.”). The duty
to warn is a continuing one, and the scope of that duty is defined by the weighing
of case-specific factors; they are almost always properly decided by a jury. Cover
v. Cohen, supra, 61 N.Y.2d 261 (1984).
Public policy tends to favor a broad duty to warn of non-obvious hazards
associated with products specifically because warning ordinarily presents a
relatively minimal burden. “Since the cost of providing warnings is often minimal,
the balance usually weighs in favor of an obligation to warn.” Cooley v. Carter
Wallace, supra, 102 A.D.2d at 644; See also, Liriano, supra, 92 N.Y.2d at 239-240
42
(“it is neither infeasible nor onerous” to warn of the hazards associated with
foreseeable post-sale modifications); Gebo v. Black Clawson Co., supra, 92
N.Y.2d at 394-395 (casual manufacturer lacks the ordinary duty to provide a safe
product, but is still obligated to warn of latent defects).
As with other aspects of negligence, the question of whether a warning was
necessary and, if given, was sufficient, is ordinarily a particularized, fact specific
question. “The adequacy of the warning in a product liability case based on failure
to warn is, in all but the most unusual of circumstances, a question of fact to be
determined at trial.” Cooley, supra, 102 A.D.2d at 644.
2. How Post-Sale Modifications to a Product Affect a
Manufacturer’s Liability
Many of the cases that have come before this Court over the years pertain to
when a manufacturer may properly be held liable for injuries arising from products
that were somehow changed between the time of their sale and the time of the
plaintiff’s injury. This Court has applied Palka’s “traditional, complex and
particularized analytical path,” in answering such questions.
A number of cases have arisen where a manufacturer furnishes a product
which is safe for its intended use but where end-users, often months or years later,
subsequently disable the product’s safety features, leading to an accident.
43
This Court has recognized that, “While the manufacturer is under a
nondelegable duty to design and produce a product that is not defective, that
responsibility is gauged at the time the product leaves the manufacturer’s hands.”
Robinson v. Reed-Prentice Div., supra 49 N.Y.2d 471, 479. It therefore follows
that a “manufacturer of a product may not be cast in damages, either on a strict
products liability or negligence cause of action, where, after the product leaves the
possession and control of the manufacturer, there is a subsequent modification
which substantially alters the product and is the proximate cause of the plaintiff’s
injuries.” Id. at 475.
Of course, not all subsequent changes to a product cut off a manufacturer’s
liability. As a corollary to Robinson, if a subsequent modification does not
substantially alter the product, or the substantial alteration is not the proximate
cause of the plaintiff’s injuries, then the manufacturer may still be held liable for
the defect. In Hoover v. New Holland, Inc., 23 N.Y.3d 41 (2014), the plaintiff was
injured by a post hole digger. The post hole digger was originally supplied with a
safety shield component which had been removed by the purchaser after it became
damaged and worn out with use. If the shield, or a substantially similar
replacement shield, had been in place, the plaintiff would not have been injured,
and an adequate warning made it clear that it was not safe to operate the device
44
without a shield. Nevertheless, a fact question existed as to whether the safety
shield had, itself, been defective. The Court explained, “[W]here the plaintiff
raises questions of fact whether the machine incorporated a defective safety device,
the manufacturer or others in the distribution chain cannot automatically avoid
liability on the basis that the safety device was removed post sale and not replaced.
Such a broad rule would lessen the manufacturer’s duty to design effective safety
devices that make products safe for their intended purpose and ‘unintended yet
reasonably foreseeable use.’” Id. at 59, quoting Micallef, supra, 39 N.Y.2d at 385-
386, emphasis in original.
Because the costs involved in warning are substantially less than the costs
involved in redesigning a product, it is possible for a manufacturer to have a duty
to warn about the dangers associated with post-sale modifications, even when
those modifications are sufficiently severe to preclude recovery in a design defect
cause of action. Liriano, supra. (Purchaser’s removal of safety-guard from meat
grinder constituted a post-sale modification that proximately caused plaintiff’s
injury, precluding design defect liability, but constituted a foreseeable misuse of a
product about which a jury could properly find a duty to warn.).
45
3. How the Incorporation of Replacement Parts into a Product
Affects a Manufacturer’s Liability
From time to time (including in this Appeal), the question has arisen whether
a manufacturer may be held liable in negligence for injuries caused by its product
when the injury-causing component consists of a replacement part that the
manufacturer did not, itself, manufacture or distribute.
A common sense reading of Liriano would seem to answer the question:
surely, if a jury may properly find that a meat grinder is defective if it fails to
inform the user that the safety-devices should not be removed, then a jury may
properly find that a valve is defective for failing to inform the user that using it as
directed may release carcinogenic dust. If the unintended subtraction of a safety
device can constitute a hazard within the scope of the duty to warn, in Liriano, then
it stands to reason that the intended addition of a carcinogenic wear item would
also warrant a warning.
However, any ambiguity in this view can be addressed by the issue in Sage
v. Fairchild-Swearingen Corp., supra, 70 N.Y.2d 579 (1987). In Sage, the
defendant corporation manufactured and sold an aircraft. One of the component
parts of the aircraft was a hook (intended to support a detachable ladder) attached
to the doorway of the plane’s lower cargo hold. One of the hooks that had
originally been supplied with the plane had broken and been replaced with a
46
substantially identical replacement hook fabricated by plaintiff’s coworkers. One
night, the plaintiff caught her finger on the hook while lowering herself into the
cargo hold (without benefit of the ladder). Her finger was so severely damaged
that it had to be amputated. “Employees of the defendant testified that they
assumed the ladder would not be used at all times and that the hangers would break
and be replaced.” Id. at 584.
The hook in question was a replacement part that defendant manufacturer
did not manufacture, sell or otherwise place into the stream of commerce. Like
Crane, defendant Fairchild-Swearingen argued that it could not be held liable
because the injury-causing component was a replacement part. The Appellate
Division agreed, holding that the incorporation of a replacement part constituted a
substantial modification under Robinson, supra, and vacated the jury verdict. On
appeal, this Court rejected the manufacturer’s proposed control-based approach, in
favor of the customary case-specific balancing of factors test, and explained:
That the hanger actually involved in the accident was a replacement
and not the original is not dispositive because in fabricating and
installing a new part, Commuter's employees, as the jury found, did
no more than perpetuate defendant's bad design as defendant's
representatives foresaw they might.
Sage, 70 N.Y.2d at 587.
47
Public policy considerations favor the imposition of liability against the
original manufacturer because:
Placing the economic burden on the manufacturer under these
circumstances does no more than induce it to design quality
equipment at the outset and discourages misdesign rather than
encourages it. Conversely, to insulate a manufacturer under such
circumstances would allow it to escape liability for designing flimsy
parts secure in the knowledge that once the part breaks and is
replaced, it will no longer be liable.
Sage, 70 N.Y.2d at 587 (internal citations omitted).
The defendant in Call v. Banner Metals, Inc., 45 A.D.3d 1470 (4
th
Dept,
2007), made the same argument. In that case, the manufacturer of a defective
bakery truck ramp argued that the plaintiff’s injuries arose from failure of
replacement parts provided by a third party. The defendant contended that the use of
replacement parts that it did not place in the stream of commerce constituted a
material alteration under Robinson, entitling it to summary judgment. The Fourth
Department held that defendant was not entitled to summary judgment, as “plaintiffs
submitted evidence establishing that the modifications consisted of nothing more
than the installation of replacement parts that ‘did no more than perpetuate
[Banner's] bad design as [Banner's] representatives foresaw [it] might’.” Call, 45
A.D.3d at 1471, citing Sage.
48
Justice Lane cited these cases in the Decision and Order that gave rise to this
Appeal, writing, “A manufacturer may be held liable where a plaintiff is injured by
replacement parts which it neither supplied nor specified, which are substantially
similar to the original parts.” (R. 18.).
Sage and Call are entirely consistent with the rest of the law governing
negligence-based product liability. Robinson holds that a manufacturer is
responsible for injuries resulting from defects that were present at the time that the
product left its hands; if the manufacturer sells a product in a non-defective state,
which a user subsequently modifies, rendering the product defective, the
manufacturer will not be held liable for injuries resulting from the defect that the
user introduced. However, not all post-sale changes to the product fall into that
category, as the alteration to the product may result from a defect that existed at the
time of sale. See, Hoover, supra. “Control of the instrumentality at the time of the
accident in such a case is irrelevant since the defect arose while the product was in
the possession of the manufacturer.” Robinson, supra, 49 N.Y.2d at 480.
The replacement of a worn out or broken part with a substantially identical
replacement part may be the clearest example of a post-sale modification that does
not entitle a manufacturer to the protection of Robinson. Robinson insulates
manufacturers when a user “substantially alters the product” and when such
49
alteration “is the proximate cause of the plaintiff’s injuries.” 49 N.Y.2d at 475. By
definition, restoring a product to the state it was in at the time it was distributed is,
perhaps, the least substantial alteration that one could make to a product; it is, in
effect, undoing other post-sale alterations to the product created by time and usage.
Similarly, the alteration cannot be said to be the proximate cause of the resultant
injuries, since the same injuries would have occurred had the plaintiff encountered
the product in its original state. In such a case, the product was defective at the
time of sale and the customer merely perpetuated the manufacturer’s defect by
maintaining the product.
4. How the Synergistic Use of Two Products Affects a
Manufacturer’s Liability
The question has also sometimes arisen as to whether a manufacturer may be
held liable when an injury occurs as a result of two products being used in
conjunction. The seminal case addressing this point is, of course, Rastelli v.
Goodyear Tire and Rubber Co., supra, 79 N.Y.2d 289 (1992). In the present
appeal, Crane argues, as it has many times before, that Rastelli established a
bright-line rule which shields it from liability. (Crane’s legal argument is
addressed in detail at Point 1.D.). In contrast to the picture painted by the
defendant, however, Rastelli is a nuanced, well thought-out decision which held
that a manufacturer sometimes has a duty to warn of the hazards of the foreseeable
50
combination of its products with products manufactured by a third party, and
sometimes has no such duty, depending on the weight of the factors. Rastelli, in
other words, represents another application of Palka’s “traditional, complex and
particularized analytical path.”
a) Rastelli Mandates a Case-Specific Analysis of the
Relationship Between the Products In Question
In the Rastelli case, the plaintiff’s decedent was killed when a multi-piece
tire rim, manufactured by an unknown third party, exploded during tire inflation.
The plaintiff sued the tire manufacturer, Goodyear, for failure to warn of the
hazards of using the rim in combination with its tires.
This Court held that Goodyear could not be held liable for the decedent’s
injuries, writing:
Under the circumstances of this case, we decline to hold that one
manufacturer has a duty to warn about another manufacturer's product
when the first manufacturer produces a sound product which is
compatible for use with a defective product of the other manufacturer.
Goodyear had no control over the production of the subject multipiece
rim, had no role in placing that rim in the stream of commerce, and
derived no benefit from its sale. Goodyear's tire did not create the
alleged defect in the rim that caused the rim to explode. Plaintiff does
not dispute that if Goodyear's tire had been used with a sound rim, no
accident would have occurred. This is not a case where the
combination of one sound product with another sound product creates
a dangerous condition about which the manufacturer of each product
has a duty to warn. Nothing in the record suggests that Goodyear
created the dangerous condition in this case. Thus, we conclude that
Goodyear had no duty to warn about the use of its tire with potentially
51
dangerous multipiece rims produced by another where Goodyear did
not contribute to the alleged defect in a product, had no control over
it, and did not produce it.
Id. at 297-298 [Internal citations omitted, emphasis added.].
If this Court’s intention were to establish a single factor test, then the
holding is needlessly verbose and so confusing that the Appellate Division has
consistently misapplied it for over twenty years. Alternatively, if this Court’s
intention were to explain why the scope of Goodyear’s duty, in the particular case,
did not include a duty to warn about the rim in question, then the decision makes
perfect sense.
The first line of the holding indicates that the decision is based on an
analysis of “the circumstances of this case,” as Micallef, Hoover, Liriano, and
Cooley, supra, as well as numerous other precedents, require.
The rest of the ruling indicates that this Court weighed the following factors
in determining whether Goodyear had a duty to warn:
(1) whether Goodyear’s product was “sound” (lacking and defects
relevant to the injury at the time of sale); (It was);
(2) whether the rim-manufacturer’s product was sound; (It was not);
(3) whether the relationship between the products was one of mere
compatibility; (It was);
52
(4) whether Goodyear had control over the production of the rim; (It did
not);
(5) whether Goodyear had a role in placing the rim in the stream of
commerce; (It did not);
(6) whether Goodyear derived benefit from the sale of the rim; (It did
not);
(7) whether Goodyear’s tire created the defect that caused the rim to
explode; (It did not);
(8) whether the explosion would have occurred if Goodyear’s tire had
been used with a sound rim; (It would not);
The Court also clearly indicated that, if both Goodyear’s product and the rim
manufacturer’s products had been sound at the time of sale, but their combination
had foreseeably resulted in a latent danger, then both parties would have had a duty
to warn.
22
22
It is anticipated that Crane will argue that any assessment of Rastelli that acknowledges that
the Court considered more than one (or possibly two) factors is incomprehensible or too complex
to be useful. In its Reply Brief in the Dummitt matter, Crane refers to the Court’s technique of
analyzing the circumstances of the individual case as “the orbit test” (in response to plaintiff’s
suggestion that some cases fell “within Rastelli’s orbit.”). It also condemns Rastelli’s actual
holding as “a non-exclusive, eight-factor test for legal responsibility,” and suggests that public
policy favors imposing the bright-line test that Crane calls “the rule of Rastelli”. Dummitt Reply
Brief at 12. Plaintiff notes that many significant matters of public policy involve elaborate
weighing of factors. Cover v. Cohen, supra, lists nine factors that juries should consider. The
traditional test to pierce the corporate veil requires weighing ten factors in assessing the scope of
the post-sale duty to warn. See, Gateway I Group v. Park Ave. Physicians, P.C., 62 A.D.3d 141.
53
In the twenty-three years since Rastelli was decided, New York’s appellate
courts have universally interpreted it as mandating a fact-specific inquiry when the
synergistic use of two products allegedly results in injury. Specifically, the
decisions make it clear that where a plaintiff is exposed to a hazardous agent
during the normal and intended use of defendant’s product, the third party’s
distribution of the particular hazardous component is not outcome-determinative
on the duty issue. Each case applying Rastelli, whether the court ultimately found
that the manufacturer had a duty to warn or not, has involved a fact-specific
inquiry.
See, Rogers v. Sears, Roebuck & Co., 268 A.D.2d 245 (1
st
Dept, 2000) (grill
manufacturer had a duty to warn of the hazards of using its product in combination
with injury-causing propane tank that it did not put in the stream of commerce);
Berkowitz v. A.C. & S., Inc., 288 AD.2d 148 (1
st
Dept, 2001) (industrial pump
manufacturers may have a duty to warn of the hazards of using its pumps with
asbestos-containing replacement gaskets and packing that it did not put in the
stream of commerce); Penn v. Jaros, Baum & Bolles, 25 A.D.3d 402 (1
st
Dept,
(2
nd
Dept, 2009). New York favors complex, case-specific, multi-factor tests precisely because
this Court has often had to step in to correct the unjust consequences of bright-line rules. See,
e.g., Greenberg v. Lorenz, 9 N.Y.2d 195 (1961) (abolishing bright-line privity requirement that
held that retailer had no duty to child whose father had bought injury-causing, debris-laced
canned fish).
54
2006) (alarm manufacturer had a duty to warn of the hazards of using its product in
combination with CO2 fire suppression system that it did not put in the stream of
commerce); Village of Groton v. Tokheim Corp., 202 AD2d 728 (3
rd
Dept, 1994)
(manufacturer of regulator device had a duty to warn of using it in combination
with a fuel tank that it did not place in the stream of commerce); Baum v. Eco-Tec,
Inc, 5 A.D.3d 842 (3
rd
Dept, 2004) (manufacturer of aluminum refining machine
had duty to warn of hazards of using it with “probe bars” that it did not place in the
stream of commerce); compare, Tortoriello v. Bally Case, Inc., 200 A.D.2d 475
(1
st
Dept, 1994) (manufacturer of freezer had no duty to warn of dangers of
installing particular tile in freezer when tile was merely potentially compatible); In
Re: Eighth Judicial Dist. Asbestos Litig. [Drabczyk], 92 A.D.3d 1259 (4
th
Dept,
2012) (manufacturer had no duty to warn of the hazards associated with applying
exterior asbestos-containing insulation to defendant’s pumps where insulation was
merely compatible with said pumps).
It is worth noting that, fifteen years after Rastelli was decided, this Court
observed that the “typical asbestos suit” was against a manufacturer based on its
failure to warn of the dangers of asbestos insulation manufactured by others and
used in conjunction with its turbines. See, Appalachian Ins. Co. v General Electric
Co., 8 N.Y.3d 162, 166-67, 863 N.E.2d 994 (2007).
55
To the extent that Crane implies that its interpretation of Rastelli is widely
accepted, it is mistaken.
5. The Significance of Foreseeability within the Context of a
Manufacturer’s Duty to Warn
A layman reading Crane’s briefing might be forgiven for concluding that
“foreseeability” was a concept without legal relevance, or perhaps an archaic
concept that has long been banished from the realm of product liability.
Negligence is, of course, an essential element of proving a product liability claim.
The mere fact that an injury was foreseeable does not give rise to a duty to
prevent it in negligence. The classic Anglo-American common law example is, of
course, the lack of a general duty to rescue. As the Restatement (Second) of Torts
describes it:
A sees B, a blind man, about to step in front of an approaching
automobile. A could prevent B from so doing by a word or touch
without delaying his own progress. A does not do so, and B is run
over and hurt. A is under no duty to prevent B from stepping into the
street, and is not liable to B.
Restatement (Second) Torts, § 134, Illustration 1.
The fact that foreseeability does not, in and of itself, establish the existence
of a duty is well-known and frequently mentioned. “Foreseeability, alone, does not
define duty--it merely determines the scope of the duty once it is determined to
56
exist.” Hamilton v Beretta U.S.A. Corp., 96 N.Y.2d 222, 233 (2001), citing Palka,
supra, 83 N.Y.2d 579 at 588.
It is axiomatic that Crane had a duty to warn of the known hazards of its
products. (“A manufacturer has a duty to warn against latent dangers resulting
from foreseeable uses of its product of which it knew or should have known.”
Liriano, supra, 92 N.Y.2d at 237, quoting Rastelli, supra, 79 N.Y.2d at 297.).
Analysis must next turn to the scope of the duty. Not every foreseeable use
of a product necessarily gives rise to a duty to warn. So, for instance, in Rastelli,
Goodyear manufactured a non-defective tire that was used with a defectively
designed rim, resulting in an explosion. This did not fall within the scope of
Goodyear’s duty to warn, because Goodyear had no meaningful connection with
the rim, and Goodyear’s tire did not create or contribute to the danger. It is
difficult to imagine what a meaningful warning in Rastelli would have consisted of
– a tag reading, “Caution: Some manufacturers of rims may not have designed
them safely. Ascertain whether or not your rim has been negligently designed
before using with this tire,” perhaps. Crane’s valves, in contrast, could easily have
incorporated a plate advising workers to use adequate respiratory protection when
servicing the valves, to avoid exposure to carcinogens.
57
Similarly, in Hanson v. Honda Motor Co., 104 A.D.2d 850 (2
nd
Dept, 1984),
the plaintiff purchased a motorcycle and replaced the manufacturer’s original
wheel with a dangerously oversized wheel, intended to make the vehicle more
aesthetically pleasing. After the plaintiff was injured, he brought suit for design
defect, and for failure to warn of the hazards of modifying the motorcycle. While
the scope of the duty to warn requires warning of the risks associated with certain
foreseeable modifications in certain cases (see, Liriano), the Court found that the
scope of Honda’s duty did not involve a duty to warn of every conceivable artistic
modification to its vehicles.
On the other hand, this Court and others have held that a manufacturer may
be held liable for injuries related to its distribution of products, even when the
injury causing agent was manufactured and controlled by a third party. This is
particularly true in the case of substantially similar replacement parts. See, Sage
and Call, supra Point I.C.3.; See also, Gitto v. Chesterton, 2010 U.S. Dist LEXIS
144568 (S.D.N.Y., 2010) (holding that industrial equipment manufacturers can
have a duty to warn of the risks of asbestos-containing replacement gaskets and
packing); Curry v. American Standard, 2010 U.S. Dist. LEXIS 142496 (S.D.N.Y.,
2010) (same).
58
This section Respondent’s Brief responds to Crane’s frequent use of
rhetorical sleight-of-hand in discussing the issue of foreseeability. In analyzing the
scope of Crane’s duty, plaintiffs and judges ordinarily make reference to the fact
that it was foreseeable (intended, in fact) that Crane’s asbestos-containing valves
would continue to be used in combination with asbestos-containing wear items.
They do this because “foreseeability” is one of the elements described in Liriano,
Rastelli, and every other modern Court of Appeals case pertaining to the scope of
the duty to warn.
Crane invariably argues that, by explaining the applicability of foreseeability
to the scope of Crane’s duty, plaintiffs’ counsel or the presiding justice is inventing
a “foreseeability test,” whereby the limits of the plaintiffs’ imagination dictate the
scope of the manufacturer’s duty. This is not the case.
Crane manufactured and sold an asbestos-containing product which
contained “wear items” in the form of gaskets and packing. These wear items were
rendered dusty and dangerous by the normal and intended operation of the valves
in question. Users of the valves had to replace those wear items. The process of
doing so exposed those workers to carcinogenic dust. Crane did not issue any
59
warning of the latent danger in question.
23
The trial court’s analysis of the
foreseeability, like the analysis of foreseeability in Sage and Liriano, correctly
evaluated whether these facts gave rise to a duty to warn.
D. The Application of New York’s Law of Product Liability to the
Present Case
1. Legally Significant Facts
Crane manufactured and sold large industrial valves in the regular course of
its business. At the time of sale, Crane’s valves contained carcinogenic asbestos
components, in the form of packing and gaskets. These components were “wear
items,” which were expected to wear out and require replacement regularly over
the lifetime of the valve. After they wore out, the original asbestos-containing
components were replaced with asbestos-containing replacement components,
manufactured and supplied by a third party. Both original and replacement
components were encapsulated in a binding matrix at the time of sale. During the
23
Crane’s Brief repeatedly uses the rhetorical tactic of referring to servicing the valves as though
that were not a use of the valves. (See, e.g., Brief for Appellant at page 19, FN 7, “The question
here is not whether Crane Co. is liable for the use of the valves, since it is uncontested that Crane
Co. valves – nor any other Crane Co. product – did not emit a single asbestos fiber to which Mr.
Suttner was exposed. Rather, the issue here is the extent, if any, to which Crane Co. could be
held liable for the use of someone else’s product, regardless of whether that use may have been
‘foreseeable.’”) Changing a baked-on gasket or removing worn out packing constitutes use or
maintenance of a valve in the same way that draining and replacing oil in an automobile
constitutes use or maintenance of a car. If a defective engine caused oil to become uniquely
toxic and an injured plaintiff brought suit against the car manufacturer, surely nobody would
argue that the plaintiff was merely “using the oil manufacturer’s product.”
60
normal and intended operation of the valves, the valves became intensely hot. This
heat caused the binding matrix to disintegrate. Because of this, when the wear
items had to be replaced, they were in a friable state, which released asbestos dust
into workers’ breathing zones.
Mr. Suttner’s job duties required him to periodically replace the gaskets and
packing. This was an intended use of the product, and one which was necessary to
keep the valves operating. Performing this work without respiratory protection
exposed Mr. Suttner to a latent, deadly danger, in the form of carcinogenic dust.
Crane neither tested the safety of performing upkeep on its valves, nor
provided any warning about the hazards of changing its carcinogenic components.
2. Crane Had a Duty to Warn Mr. Suttner Under the General
Negligence Principles which Govern Product Liability
By manufacturing a product in the regular course of its business, Crane
assumed a duty to warn end-users, such as Mr. Suttner, of all non-obvious latent
dangers associated with the use of its product. See, Liriano; McLaughlin; Point
1.A., supra. Crane’s failure to test its valves to determine whether maintaining
them presented a cancer hazard was negligent. See, Kross, Smith, Markel,
MacPherson and Penn; Point 1.B., supra. Crane’s valves were defective at the
time of sale, by virtue of the fact that they were sold without any warning that
maintaining them as directed could cause terminal cancer. See, Liriano, supra, 92
61
N.Y.2d at 237 (“A product may be defective when it … is not accompanied by
adequate warnings for the use of the product”); Rastelli, 79 N.Y.2d at 297 (“We
have held that a plaintiff may recover in strict products liability or negligence when
a manufacturer fails to provide adequate warnings regarding the use of its product.
A manufacturer has a duty to warn against latent dangers resulting from the
foreseeable uses of its products of which it knew or should have known.”).
According to Micallef, supra, one must balance the likelihood of harm, the
gravity of harm if it happens, and the burden of taking reasonable precautions. In
this case, the likelihood of harm was high, as it is far from intuitively obvious that
worn-out gaskets and packing are carcinogenic. Terminal cancer is, of course,
among the very gravest harms that a human being can suffer. The burden involved
in warning would have been minimal, as Liriano and Cooley, supra, have both
noted.
Even if New York did not have a robust body of controlling law addressing
issues such as liability for replacement parts, foreseeable modifications, and the
synergistic use of products, Mr. Suttner would have fallen well within the ambit of
Crane’s duty to warn about its carcinogenic components. Crane created a product
which, when used as intended, exposed Mr. Suttner to a carcinogen, and did not
provide any warning.
62
3. Crane Had a Duty to Warn Mr. Suttner of Hazards
Associated with Replacement Parts
Even if reliance on general principles were to leave any room for doubt
about the scope of Crane’s duty, this Court’s decision in Sage would provide
sufficient guidance.
As previously mentioned, the defendant in Sage supplied its product (an
airplane) with a component part consisting of a hook, located in the mouth of a
cargo hold, from which a ladder was intended to hang. Workers routinely lowered
themselves into the cargo hold without the aid of a ladder. Evidence in the record
indicated that the manufacturer intended and expected that workers would lower
themselves into the cargo hold without the use of a ladder, and also that the
manufacturer expected that the hooks would wear out and be replaced. The hook
wore out over time and was replaced by a substantially identical hook fabricated by
a third party (plaintiff’s co-worker), as the defendant intended. The defendant did
not have any role in placing the replacement part in the stream of commerce and
did not exercise any control over the hook. Despite the fact that the defendant did
not place the hook in the stream of commerce or otherwise “control” it, this Court
found that it was still liable for the plaintiff’s injuries.
24
24
Sage, supra, at 582-584. Crane’s Brief erroneously describes the injurious component at issue
as a “ladder,” instead of a hook. Plaintiff respectfully submits that the hook, as a small, fungible
63
Under Crane Co.’s interpretation of the law, the Sage defendant should not
have been liable for any injuries resulting from the replacement hook. While it
would have been liable for injuries associated with the original hook, its liability,
according to Crane, should have evaporated as soon as its original component was
replaced. This was precisely the position taken by the Sage defendant. This Court
declined to embrace such a harsh rule, explaining that it was contrary to public
policy.
Crane’s Brief addresses Sage at pages 29-31, where it argues that Sage is
inapplicable to the present case because the fact pattern in question dealt with a
design defect cause of action, rather than failure to warn, as in this case.
25
Crane provides three rationales for disregarding this Court’s holding in Sage.
It first argues, “the replacement ladder [sic] was fabricated by employees of
the aircraft’s purchaser; it was not acquired from a third party.” Id. at 30. This
statement is true, but irrelevant. Ms. Sage’s co-workers were third parties to the
component that the defendant admittedly expected to be replaced, is far more analogous to the
gaskets at issue in this case than a ladder would have been.
25
Through Crane’s concession that, under Sage, a manufacturer may be subject to a cause of
action for defective design when a plaintiff is injured by a replacement part that the defendant
did not manufacture, Crane admits that California and Washington product liability law is at
least partially out of step with New York regarding the stream of commerce. In O’Neil v Crane
Co., 53 Cal.4th 335 (2012), the California court made it clear that its “bright-line rule” precluded
design defect liability as well as failure to warn liability for injuries arising from replacement
parts. Simonetta v. Viad Corp., 165 Wn.2d 341, 197 P.3d 127 (2008), also exempts
manufacturers of industrial equipment for design defect liability arising from the intended use of
asbestos replacement parts.
64
lawsuit. Whether they fabricated the hook in house, acquired it from an airplane
supply house or purchased it from a hook emporium, this Court in Sage still held
that a manufacturer was responsible, in a product liability context, for injuries
arising from a component that it did not control the production or use of, nor place
in the stream of commerce.
Crane next argues, “in fabricating the ladder [sic], the aircraft purchaser’s
employees duplicated the defective design of the original ladder [sic] originally
supplied by the aircraft’s manufacturer.” Id. at 30. This argument cuts in favor of
Crane’s duty to warn. By engaging in the thoroughly foreseeable action of
replacing original asbestos wear items with fresh asbestos wear items, Mr. Suttner
and his fellow employees merely perpetuated the warning defect of the valves
originally supplied by Crane. Plaintiff has proven that Crane’s valves were sold in
a defective condition. Their defect was a lack of warnings about the latent danger
of their intended use. The valves remained defective when Crane’s carcinogenic
components were replaced by carcinogenic replacement components made by
Garlock.
Crane finally argues, “thus, the aircraft manufacturer was the designer of the
replacement part that caused the plaintiff’s injury.” Id. at 30. Perhaps so. And
yet, imposing liability under that circumstance is clearly contrary to the thesis
65
statement of Crane’s Brief: “the imposition of legal responsibility in the product
liability context depends on a showing that the defendant had control over the
production or use of the allegedly defective product or played a role in placing
them in the stream of commerce.” Id. Crane admits that Fairchild-Swearingen
Corp. did not have control over the production of the replacement hook. Crane
admits that Fairchild-Swearingen Corp. did not place the hook in the stream of
commerce. Therefore, Crane’s thesis is wrong, and a product manufacturer may
sometimes be held responsible for injuries arising from replacement parts that it
neither controlled nor placed in the stream of commerce.
Crane’s analysis completely neglects to address Sage’s public policy
rationale, which is clear, specific, and equally applicable to product defect cases
arising out of failure to warn.
Crane’s valves contained asbestos components without adequate warnings at
the time of sale. Those parts wore out and were subsequently replaced, as the
manufacturer intended. The subsequent users in this case “did no more than
perpetuate defendant's [failure to warn] as defendant's representatives foresaw they
might,” just as the subsequent product users in Sage “did no more than perpetuate
the defendant’s bad design as defendant’s representatives foresaw they might.”
Sage, supra, 70 N.Y.2d at 587. Whether a product is defective because of
66
misdesign or inadequate warnings, the foreseeable replacement of a part with a like
part merely perpetuates the defendant’s original act of negligence.
Even Crane does not argue that it did not have a duty to warn of the hazards
associated with the use of the asbestos components that it originally supplied. In
Sage, this Court wrote that, “[T]o insulate a manufacturer under such
circumstances would allow it to escape liability for designing flimsy parts, secure
in the knowledge that once the part breaks and is replaced, it will no longer be
liable.” Sage, supra, 70 N.Y.2d at 587. To insulate Crane under the present
circumstances would allow it to escape liability for selling a product with
consumable, carcinogenic components, without a warning, secure in the
assumption that once the parts wore out and were replaced, Crane was no longer
liable. Because the defect (absence of a warning) existed at the time of sale,
“Control of the instrumentality at the time of the accident … is irrelevant …”
Robinson, supra, 49 N.Y.2d at 480.
Crane’s Rule holds that control of the instrumentality at the time of the
accident is vital to determining whether or not there is a duty, regardless of its
intended use. See, Brief for Appellant at 15. This is, of course, entirely
incompatible with Sage and Robinson.
67
According to Crane’s Rule, since Mr. Suttner’s employer could,
hypothetically, in some imaginary world, have replaced Crane’s asbestos-
containing components with non-asbestos alternatives, thereby rendering Crane’s
previously defective product non-defective, Crane’s duty to warn Mr. Suttner
ceased to exist the first time Crane’s original asbestos-components were replaced
with a non-Crane replacement part. Because Crane did not compel Mr. Suttner’s
employer to replace asbestos with asbestos, Crane’s duty to warn was cut off. This
analysis is, essentially, the exact opposite of the public policy position expressed
by the Court in Sage.
Applying the same logic to Sage, Fairchilde-Swearingen Corporation did not
have control of the airplane at the time that its defective hook broke off. Ms.
Sage’s employer had complete discretion in choosing to replace the dangerous
hook with a similarly dangerous hook. For all Fairchilde-Swearingen Corporation
knew or cared, Ms. Sage’s employer could have removed the hooks entirely, or
replaced them with clearly-marked, foam-padded hooks. Nonetheless, since the
product was in a defective condition at the time of sale, control of the
instrumentality at the time of the accident was irrelevant.
In the asbestos context, two Federal District Court decisions have held that,
when an industrial valve is supplied with asbestos-containing component parts, and
68
those parts are foreseeably replaced with like parts, the manufacturer may be held
liable for failure to warn, even it did not supply the injury-causing component.
See, Gitto v. Chesterton, 2010 U.S. Dist LEXIS 144568 (S.D.N.Y., 2010); Curry v.
American Standard, 2010 U.S. Dist. LEXIS 142496 (S.D.N.Y., 2010).
Crane’s primary argument that it cannot be held liable for injuries arising
from replacement parts consists of citations to the law of foreign jurisdictions, and
is addressed below. It does, however, cite Hanson v. Honda Motor Co., supra, 104
A.D.2d 850, which it describes as, “applying the ‘stream of commerce’ rule in the
context of replacement parts and holding that the original manufacturer of a
motorcycle had no duty to warn of the use of defective replacement wheel and
spoke assembly.” Brief for Appellant at 32. In Hanson, the plaintiff replaced a
normal-sized wheel with a decorative, oversized wheel in hopes of making his
motorcycle look more appealing to fans of large wheels. 104 A.D.2d at 851. This
would be akin to the defendant in Sage providing a brightly colored, gently-
rounded hook that the purchaser intentionally removed and replaced with a
concealed, jagged hook. Hanson does not deal with the foreseeable use of like
replacement parts, but rather with dangerous modifications to a previously safe
product.
69
4. Crane Had a Duty to Warn Mr. Suttner of Hazards
Associated with the Synergistic Use of its Products
The question of whether the scope of a manufacturer’s duty to warn includes
a duty to warn of the hazards associated with the combination of its products and
the products of a third party depends on a fact-specific inquiry into the nature of
the relationship between those products.
In cases where the defendant’s product is merely compatible with an injury-
causing component supplied by a third party, the defendant may not be held liable
for failing to warn of the hazards associated with using the products together. See,
Rastelli, Tortoriello, Drabczyk, supra.
However, in cases where two products combine to create a danger, or the
defendant’s product creates the danger in the third party’s product, Rastelli
recognizes that both manufacturers have a duty to warn. (See, Point I.C.4., supra,
Point I.E.2., infra.); See also, Rogers; Berkowitz; Penn v. Jaros, Baum & Bolles;
Village of Groton; and Baum, supra.
The Supreme Court of Erie County, the Appellate Division of the Fourth
Department (adopting the reasoning of the court below), the Supreme Court of
New York County and the First Department of the Appellate Division have all held
that, when determining whether Crane had a duty to warn about the hazards of
70
components it did not supply, one must look at the relationships between the
products and see if “circumstances strengthen the connection” between the two
products. Surre, 831 F.Supp.2d at 801, quoted at Dummitt II, supra, 121 A.D.3d at
239; Dummitt I, supra, 2012 N.Y. Misc. LEXIS 4057 *22; Suttner Decision and
Order, Erie County Index No. 2010-12499 (Lane, J., March 15, 2013) (R. 22).
Each of these courts ruled that a jury could properly find that Crane breached a
duty to warn about the hazards of carcinogenic, third-party components.
While Appellant’s Brief strains to reinvent Crane as a manufacturer of
generic metal goods subsequently modified, without its knowledge or consent, to
include carcinogenic components, the record does not support such an
interpretation. According to Crane’s Answers to Interrogatories, Crane got into the
business of selling asbestos-containing valves before the U.S. Civil War and did
not stop until the late 20
th
century. The use of these components in hot valves
acted to release the encapsulated material, changing the latent danger of
encapsulated fibers into the imminent danger of free-floating, carcinogenic dust.
Crane’s valves did, in fact, contribute to the defective condition that caused the
fibers to become airborne.
71
The relationship between Crane’s valves and their asbestos-containing
components is closely akin to the relationship between the products described in
Rogers, Berkowitz, Penn v. Jaros, Baum & Bolles,; and Village of Groton.
E. The Crane Rule, as Crane Expresses it in its Brief
The Brief for the Appellant contains two statements of the Crane Rule. In
the first paragraph of its argument section Crane states:
In Rastelli v. Goodyear Tire & Rubber Co. [citation omitted], this
Court held that the imposition of a legal responsibility in the product
liability context depends on a showing that the defendant had control
over the production or use of the alleged defective product or played a
role in placing it in the stream of commerce.
Appellant’s Brief at page 15. In its heading, it refers to this as “the Control-Based
Analysis of Rastelli”. Id. at Point I. It elaborates on it bright-line rule at page 19:
Whether the facts of a given case involve “replacement parts” or some
other type of third-party product, the legal question of responsibility is
the same – did the defendant have “control over the production” or
use of the allegedly defective product at issue or a “role in placing [it]
in the stream of commerce.” [citation to Rastelli omitted] If the
answer to these questions is “no,” then legal responsibility should not
lie, regardless of the exact type of third party product involved.
Brief for Appellant at 19-20.
As Point I.C.4.a. discusses, the Rastelli Court described seven factors that it
considered in determining that the scope of Goodyear’s duty to warn did not
extend to the tire rim at issue in that case. One of those was whether Goodyear had
72
“control over the production of the subject multipiece rim,” and another was that
Goodyear “had no role in placing that rim in the stream of commerce.” Rastelli,
supra, at 279-280. Crane’s Rule appears to have been created by fusing together
two out of the seven Rastelli factors and appending the vague term, “or use,” to the
end of this Court’s phrase, “control over the production.”
26
In the course of the rest of its Brief, Appellant recognizes two exceptions to
Crane’s Rule. At page 29-31, it concedes that Sage departs from the “control
based approach,” although it appears to argue that Sage is, at a minimum, limited
to design defect cases and may be limited to its facts.
Interestingly, at page 22 of its Brief, Crane states that Rogers “is wholly
inapposite because … the defendant’s product ‘could not be used without the
injury-causing product at issue.’” The Rogers exception is notable in that it seems
to concede that, if Crane’s valves are shown to have required asbestos gaskets to
perform their intended functions, Crane may be held liable under Rogers. Contrary
26
It is unclear what would fall under the “control over the … use of the alleged defective”
provision of Crane’s Rule. Since the phrase is not drawn form any case and appears to be
entirely original to Crane’s Brief, there is no case law that explains the phrase. Crane does not
give any affirmative examples of conduct that would fall into this exception, but we can infer
that it must be a very narrow exception from the rest of Crane’s Brief. Crane has argued that a
manufacturer never has a duty to warn about the use of third party replacement parts, even if
those parts were required for the product’s use. Brief for Appellant at 32-33, citing Ford Motor
Co. v. Wood, 119 Md.App. 1 (Md. Ct. Spec. App 1998). It has also argued that a manufacturer
does not ever have a duty to warn of such products when it, “had a significant role, interest or
influence in the type of component used with the product after it entered the stream of
commerce.” Brief for Appellant at 27-28 (explaining that it is not “legally correct” to hold that a
manufacturer has a duty to warn in such a circumstance).
73
to Crane’s insistence, the Record clearly supports a finding that Crane’s valves did,
in fact, require asbestos gaskets in order to function properly. See, Statement of
Facts, supra.
In Crane’s Reply Brief in the pending Dummitt matter, it complains that,
“Contrary to Plaintiff’s repeated assertion, Crane Co. is not arguing that liability
extends only to those who actually made or sold the allegedly injurious product.
This incorrect assertion fails to appreciate the nuance of the stream-of-commerce
test of Rastelli, and the careful balance it strikes in framing tort liabilities.” See,
Reply Brief for Appellant In re: New York City Asbestos Litig. [Dummitt], APL-
2014-00209 at p. 6, FN 3. Compared to the careful balancing of factors described
in Rastelli, Liriano and their progeny, however, Crane’s Rule seems extremely
lacking in nuance. It appears that Crane recognizes one circumstance when it can
ordinarily be held liable (when it placed the injury causing product in the stream of
commerce), one exception to the rule (when it controlled the production of the
product but did not, for some reason, have a role in placing it in the stream of
commerce) and one vague exception of which it does not provide any examples
(controlling the “use” of the product). It also concedes limited exceptions to the
rule based on Sage and Rogers. Compared to the elaborate set of factors described
74
in Rastelli, Liriano, and their progeny, however, Crane’s Rule seems utterly
lacking in nuance and, to borrow Crane’s expression, “outcome driven.”
Notably absent from Crane’s Brief is any citation to, much less analysis of,
Liriano v. Hobart, 92 N.Y2d 232 (1998). The omission seems peculiar, both
because Justice Lane cited Liriano twice in his decision (R. 5, 6) and because
Lirano is probably the most prominent decision that this Court has issued regarding
a manufacturer’s duty to warn since Rastelli was decided.
Rastelli was clearly on the Lirano Court’s mind, as Liriano quoted it for the
essential proposition that “A manufacturer has a duty to warn against latent
dangers resulting from foreseeable uses of its product of which it knew or should
have known.” Liriano at 237, quoting Rastelli at 297. The Liriano Court made a
point to recite circumstances that were not within the scope of the duty to warn,
such as risks actually known to the injured party and patently dangerous hazards.
Liriano at 241-242. It did not include the circumstance “when the injury-causing
component was placed in the stream of commerce by another.” Rather, Liriano
held that the scope of the duty to warn could potentially encompass a duty to
inform users not to disable safety features, since warning “…is neither infeasible
nor onerous...” Id. at 239.
75
It is conceptually difficult to reconcile a bright-line test like Crane’s Rule
with a public policy that gives as much deference to juries as New York’s does. In
Liriano, this Court held that a jury could properly find that a meat-grinder
manufacturer’s breach of its post-sale duty to warn of the dangers of disabling a
safety feature was a contributing cause of a plaintiff’s injury when the meat-
grinder was sold in 1961 and injured the plaintiff in 1990. In Hoover, this Court
held that a jury could properly find that a digging tool’s design defect was a
contributing factor to the plaintiff’s injury when the design defect consisted of
having a breakable safety device and the manufacturer issued warnings not to
operate the tool if the safety device was not in place.
These fact patterns may have presented Mr. Liriano and Ms. Hoover with
uphill battles in front of juries, but they were entitled to their respective days in
court. New York’s rejection of rules which allow a manufacturer to “automatically
avoid liability” for an alleged act of negligence is inconsistent with the Crane Rule.
Hoover, supra, 23 N.Y.3d at 59.
1. Crane’s Rule Cannot be Reconciled with New York Law
Crane’s Rule is inconsistent with how trial and appellate courts have
interpreted Rastelli since it was decided.
76
As Point I.C.4., supra, discusses, Rastelli observes that, if the combination
of two products acts to create a defect, then the manufacturers of both products
have a duty to warn. It does not state that one manufacturer must have control over
the other’s product in order to trigger this duty. Thus, the newly-formulated
“control-based” approach of Crane’s Rule cannot even account for the scenarios
described within the text of the decision that Crane purports to have drawn its rule
from.
Crane’s Rule cannot be logically reconciled with Rogers v Sears, Roebuck
& Co., 268 A.D.2d 245 (1
st
Dept, 2000). In Rogers, the plaintiff was injured by a
replacement propane tank on a grill. The grill manufacturer moved for summary
judgment, arguing that it did not supply the injury-causing component, and thus
had no duty to warn under Rastelli. Although the grill manufacturer did not place
the replacement tank into the stream of commerce, the First Department averred
that:
…even assuming the accident was caused by a defect in a
valve incorporated into a propane tank neither of which
appellant manufactured, we are unpersuaded by
appellant's argument that it was under no duty to warn of
the dangers presented by such a defect, where its grill
could not be used without the tank, and where its own
warning to use the grill only outdoors was itself
recognition of the danger of gas emission inherent in the
use of the grill regardless of any defects.
77
Id. In so doing, this Court contrasted Rastelli by using the “compare” signal.
As noted in Point I.E., supra, Crane admits that Rogers was correctly
decided and does not fall into its “rule,” but attempts to distinguish it by arguing
that the propane tank was necessary for the grill to function.
According to Crane, if an alternate, non-explosive gas was also theoretically
compatible with the grill in Rogers, the grill manufacturer would not have had a
duty to warn. Crane is mistaken, however, according to Penn v. Jaros, Baum&
Bolles, 25 A.D.3d 403 (1
st
Dept, 2006).
Crane’s argument is essentially identical to the argument made by the
defendant Kidde-Fenwall in Penn. The decedent in Penn was a bank employee.
She became trapped in the bank’s vault after hours and was unable to call for help
by phone. The decedent pulled a fire alarm inside the vault, hoping to attract
attention, and the fire alarm system flooded the vault with carbon dioxide, which
suffocated the decedent. The plaintiff sued several defendants, including Kidde-
Fenwall. Kidde-Fenwall manufactured several components of the system,
including the alarm box and the discharge cylinders. It neither designed the system
nor specified that its alarm should be used in conjunction with carbon dioxide.
Kidde-Fenwall argued that, under Rastelli, it did not have a duty to place a warning
label on the alarm. The First Department denied it summary judgment, writing
78
that, “Kidde was aware, at a minimum, that the alarm could be used in conjunction
with a CO2 suppression system.” Id. at 204.
Just as Crane argues that it valves could have, hypothetically, been
combined with non-asbestos gaskets and packing, Kidde argued that its
components could have been combined with non-CO2 systems. (See, Trial Order
in Penn v. Jaros, Baum & Bolles, 2005 WL 6035846 (N.Y. Sup.) (“Kidde's expert
also stated that none of these three components was designed to be used solely in a
carbon dioxide fire suppression system, but that they were generic, and could be
used in any type of fire suppression system.”).
Like Rogers, Penn is a case where two manufacturers’ products combined
synergistically to cause the decedent’s injury, and where a third party placed the
injury-causing agent in the stream of commerce. Unlike Rogers, the record in
Penn indicates that Kidde-Fenwall’s alarm could have functioned in the absence of
the injury causing agent. Nonetheless, the latent danger created by the foreseeable
synergistic use of the products triggered a duty to warn. It stands to reason,
therefore, that either Crane’s Rule is incorrect, even when it includes the necessity
exception that the Appellant reads into Rogers, or Rogers and Penn were both
wrongly decided.
79
Village of Groton v. Tokheim Corp., 202 A.D.2d 728 (3
rd
Dept, 1994) lv
denied 84 N.Y.2d 801, is also incompatible with Crane’s reading of Rastelli. In
that case, the plaintiff municipality brought suit against Tokheim, the manufacturer
of a regulator, which was used in conjunction with an above-ground fuel
dispensing system manufactured by a third party. The latter system failed, causing
a fuel spill; Tokheim Corp.’s regulator could not be safely used when exposed to
sunlight, because of the excess thermal energy, and this caused the other
manufacturer’s system to fail and cause the damages.
Tokheim, citing Rastelli, argued that the plaintiff was seeking to hold it
responsible for the failure of a fuel tank that it had not placed in the stream of
commerce. The Court observed that neither manufacturers’ product was
defectively manufactured or designed, but that the use of these two products
together created a hazard that gave rise to a duty to warn, and cited Rastelli’s
synergistic use exception. 202 A.D.2d at 730.
As in Penn and Rogers, the injury-causing agent (the fuel or the fuel tank, or
both) was supplied by a third party. The injury-causing component was the fuel
tank, which was rendered dangerous by the failure of the regulator, just like the
gaskets in the present case were rendered dangerous by the hot valves
disintegrating the binding matrix. The court in Village of Groton, however,
80
categorized it as a dangerous condition created by the combination of two
products, rather than as a failure of Tokheim’s product. Again, the Court’s fact-
specific inquiry demonstrates that Crane’s proposed bright-line rule is alien to New
York law.
Berkowitz v. A.C. & S., Inc., 288 AD.2d 148 (1
st
Dept, 2001), is also
illustrative. In Berkowitz, the First Department upheld the denial of various
summary judgment motions by manufacturers of pumps used on Navy vessels. The
defendant manufacturers were being sued for injuries resulting from exposure to
asbestos-containing components sustained during the maintenance of their
products. Berkowitz is a brief decision addressing a consolidation of eight appeals
involving manufacturers of asbestos-containing naval equipment. Because it dealt,
summarily, with eight fact patterns, it reached its result through several lines of
reasoning. In one case, “an issue of fact as to whether these pumps contained
asbestos is raised by the defendants’ admission that Worthington sometimes used
gaskets and packing containing asbestos [and by] plaintiff Tancredi’s production of
a Worthington manual for the power plant where he worked referring to an
asbestos component in one of its pumps at the plant,” for instance. 288 AD.2d at
149. This is, of course, analogous to the present case.
81
The court in Berkowitz wrote, “Nor does it necessarily appear that
Worthington had no duty to warn concerning the dangers of asbestos that it neither
manufactured nor installed on its pumps. While it may be technically true that its
pumps could run without insulation, defendants’ own witness indicated that the
government provided certain specifications involving insulation and it is at least
questionable whether pumps transporting steam and hot liquids on board a ship
could be operated safely without insulation, which Worthington knew would be
made out of asbestos.” 288 AD.2d at 149. The Court supported this view with a
citation comparing Rogers and Rastelli.
The Berkowitz court, in other words, like the courts in Rogers, Penn, and
Village of Groton, interpreted Rastelli as requiring a fact-specific analysis of the
actual relationship between the defendant’s product and the injury-causing agents,
favoring jury resolution of such factual disputes.
In Re: New York City Asbestos Litig. [Dummitt], 121 A.D.3d 230 (1
st
Dept,
2014) (currently on appeal), dealt with a fact pattern similar to the present case, in
that the plaintiff was exposed to asbestos-containing components, including
replacement parts, manufactured and supplied by third parties, while performing
maintenance on asbestos-containing industrial valves manufactured by Crane Co.,
as well as to asbestos parts, including exterior insulation, specified by Crane. As
82
with all of the other appellate cases interpreting Rastelli, the Court followed the
traditional, and particularized analytical path dictated by our State’s public policy,
and evaluated the relationship between Crane’s product and the components
utilized in its maintenance.
Although two justices dissented regarding proximate cause issues pertaining
to the preclusion of a defense expert, all five justices on the panel rejected Crane’s
Rule.
The majority spent approximately five pages of its decision explaining why
Crane’s Rule was incompatible with New York law. Dummitt II, supra, 121
A.D.3d at 248-252. In the course of that discussion, the Court analyzed most of
the same cases analyzed by Justice Lane in the present case: including Rastelli,
Surre, Drabczyk, Tortoriello, Berkowitz, and Rogers, and concluded that Crane’s
Rule was not an accurate statement of law. In the course of that analysis, the court
wrote:
These cases, and others cited by Crane, together stand for the rather
unremarkable proposition that where there is no evidence that a
manufacturer had any active role, interest or influence in the types of
products to be used in connection with its own product after it placed
its product in the stream of commerce, it had no duty to warn. The
cases cited by the Dummitt plaintiff, however, demonstrate that where
a manufacturer does have a sufficiently significant role, interest or
influence in the type of component used with its product, after it
enters the stream of commerce, it may be held strictly liable if that
component causes injury to an end user of the product.
83
121 A.D.3d at 250.
Just as it has done with the Suttner decision, which it asserts applied “the
replacement parts test,” and the Dummitt I decision, which it asserts applied, “the
foreseeability test,” the defendant has taken the above passage out of context and
dubbed it, “the substantial interest test.” See, Brief for Appellant at 28. The
defendant has gone on to suggest that the Dummitt decisions are inconsistent with
the Suttner decision, despite the fact that they analyzed the same law and reached
the same conclusion, because Crane has deliberately chosen to interpret the phrase,
“significant role,” in a fashion which would conflict with Suttner.
The Dummitt II Court does not explicitly address whether or not
substantially similar third party replacement wear items fall into the category of
products over which a jury may decide that Crane had “any active role, interest or
influence in.” However, in the context of the decision as a whole, it is clear that
they do.
The Dummitt II majority cited Surre for the proposition that the Court must
determine whether the “facts collectively ‘strengthen the connection’ between
Crane’s valves and the asbestos-containing components that made Dummitt sick.”
Dummitt II at 251, quoting Surre at 801. (Dummitt I and Suttner both cite the
same passage. See, Dummitt I at *24, Suttner Decision and Order at R. 24). It
84
context, it is clear that the “significant role, interest or influence” analysis is not
some new test made up by the First Department, but rather another way of phrasing
the well-established position that the strength of the connection between the
products determines whether a jury can properly find that a duty existed to warn of
that hazard.
Surre favorably cited Gitto and Curry as examples of situations where the
facts “collectively strengthened the connections,” between Crane’s valves and third
party replacement wear items in the form of gaskets and packing.
Crane’s bald assertion that the Suttner verdict would not survive the so-
called “test” in Dummitt II is simply based on Appellant’s ipse dixit assertion that
its role was not “significant.” There is currently no case law analyzing the passage
that Crane has chosen to call “the significant role test,” but all of the case law
interpreting the strength-of-connection analysis holds that a jury may permissibly
find that failing to warn of the hazards of substantially similar replacement parts is
a breach of a manufacturer’s duty to warn.
Crane made the decision to sell its valves with asbestos-containing parts,
which it knew would wear out and require replacement. Crane has argued that,
instead of replacing like parts with like parts, the end user could have substantially
modified the valve in order to make it non-carcinogenic. (There is conflicting
85
evidence in the record as to whether such a thing was even possible while
maintaining the valve’s functionality.). Crane did not recommend that end users
do such a thing and does not appear to have communicated to end users that such a
modification was possible or desirable (if indeed it was). To say that selling a
product that contained asbestos parts, which the seller knew would regularly be
replaced, does not constitute having a “significant role” in the use of asbestos in its
products is absurd. Contrary to Crane’s assertion, the Suttner case would readily
survive under the Dummitt II analysis.
Mr. Suttner’s case, like Dummitt II, “…is not even close to Rastelli, because
of Crane’s demonstrated interest in the use of asbestos components with its
valves.”121 A.D.3d at 252.
Appellant cites two post-Rastelli, New York appellate cases that it contends
support Crane’s Rule. Tortoriello v. Bally Case, Inc., supra, 200 A.D.2d 475 (1
st
Dept, 1994); In Re: Eighth Judicial Dist. Asbestos Litig. [Drabczyk], supra, 92
A.D.3d 1259 (4
th
Dept, 2012).
Tortoriello, like Rastelli, is an explicitly fact-specific case. In Tortoriello,
the plaintiff was injured when she slipped on ice which had accumulated on the
floor of a walk-in freezer. The manufacturer of the non-floor components of the
walk-in freezer successfully moved for summary judgment under Rastelli, on the
86
grounds that the defective floor tiles were merely compatible with its products.
The court agreed that mere compatibility was an insufficient basis to place a
product within the scope of the manufacturer’s duty to warn. Like this Court in
Rastelli, the First Department used case-specific language in its holding, writing,
“Under the circumstances of this case, we decline to hold that a question exists as
to whether Bally Case, Inc. had a duty to warn the prospective purchasers herein
about the use of quarry tile flooring with its components for walk-in freezers.” 200
A.D.2d at 477.
27
The First Department, which decided Tortoriello, is the same Court which
decided Penn v. Jaros, Baum & Bolles, supra, wherein the manufacturer of the
non-injury-causing portions of an alarm system was held to have a duty to warn,
despite the fact that the alarm system did not require the injury-causing
27
Although the court in Tortoriello granted summary judgment to the moving defendant, it is
still impossible to harmonize with Crane’s Rule. The Court granted summary judgment to the
manufacturer of the freezer but denied summary judgment to the manufacturer of the floor tile,
writing, “We reject Taylor-Mitchell’s claim that it could not be held liable for a possible latent
defect in the flooring material, as it was in an optimal position to eliminate the latent dangers
attendant to such a defect.” Tortoriello, supra, 200 A.D.2d at 471, citing Micallef, supra. By
holding that the manufacturer of the tile may have had a duty to warn about the risk of
combining it with a third party’s freezer, the Court held that a defendant can, when
circumstances dictate, have a duty to warn about the dangers of third party products that it
neither placed within the stream of commerce nor controlled the production of. The proper
inquiry is not into who distributed the harm causing agent, but rather into who could logically
have remedied the defect. Crane Co. manufactured a permanent piece of industrial equipment
which could easily accommodate a warning plate. Like the tile manufacturer in Tortoriello, it
was “in an optimal position to eliminate the latent dangers,” compared to the manufacturers of
short-lived wear items such as gaskets and packing.
87
components in order to function. Under the plaintiff’s interpretation of Rastelli
and its progeny, this makes perfect sense. The courts, in each case, analyzed the
relationship between the two products and determined whether the connections
between the two products were sufficient to trigger a duty to warn of the hazards of
their synergistic use. Under Crane’s interpretation of the case law, however, the
First Department correctly apprehended the bright-line rule in 1994, when
Tortoriello was decided, but had forgotten how to correctly interpret Rastelli by
2006, when it decided Penn.
Finally, the defendant attempts to rely on the Fourth Department’s ruling in
Drabczyk, supra, 92 A.D.3d 1259 (4
th
Dept, 2012). In Drabczyk, the decedent was
injuriously exposed to asbestos packing, gaskets and insulation while performing
repair work on valves manufactured by defendant Fischer. The jury found the
defendant 5% liable for plaintiff’s injuries, and reckless. The defendant appealed,
arguing that, under Rastelli, it could not be held liable for exterior insulation,
which that record showed, in that case, was merely compatible.
28
28
An excerpt from the Appellant’s Brief on Appeal in Drabczyk is found in the Record at page
7024. The Appellant, notably, did not contest that it was liable for injuries arising from
replacement gaskets and packing used in conjunction with its valves, writing only that, “The trial
court erred when it instructed the jury that the defendant was responsible for the plaintiff’s
exposure to asbestos from external insulation that the defendant did not manufacture, sell,
require, recommend or otherwise place in the stream of commerce.” (R. 7026.). The issue of
whether or not a defendant could be held responsible for the foreseeable, intended use of
replacement parts was not before the Court in Drabczyk, and the issue of whether a manufacturer
88
The Fourth Department upheld the verdict and the finding of recklessness,
but noted that the trial court erred in instructing the jury. The passage in question
reads: “Although we agree with defendant that Supreme Court erred in charging
the jury that defendant could be liable for decedent’s exposure to asbestos
contained in products used in conjunction with defendant’s valves (see generally,
Rastelli v. Goodyear Tire & Rubber Co., 79 NY2d 297-298), we nevertheless
conclude that the error was harmless.” Drabczyk, 92 A.D.3d at 1260.
Crane has interpreted this passage to indicate that the Fourth Department
Court embraced its bright-line rule, and that a manufacturer may not be held
responsible for the synergistic use of its product with an injury causing component
under any circumstances. As the Crane views the case, the Fourth Department
decided to answer a question that was not before it in a fashion that substantially
altered the scope of a product manufacturers’ duty to warn, regardless of
circumstances, and then inexplicably disregarded its own paradigm-shifting
precedent in Suttner.
Respondent respectfully submits that the more sensible interpretation is that
the Fourth Department saw Drabczyk, like Rastelli, Rogers, Village of Groton,
could be held liable for the combination of its product with insulation was decided on a fact-
specific record.
89
Penn, Berkowitz, and Tortoriello as being limited to the specific circumstances of
its record. This Court seemingly agreed with the narrower reading of Drabczyk, as
it declined an invitation to review the case as allegedly in conflict with the First
Department’s decision in Berkowitz. See, In re: Eighth Judicial District Asbestos
Litigation, 19 N.Y.3d 803 (2012), denying leave to appeal.
The clearest evidence that Drabczyk was not intended to replace case-
specific analysis with a bright-line rule is, of course, the fact that the Fourth
Department upheld the verdict for Suttner. Crane expresses bafflement that “In
Drabczyk the appellate division relied explicitly on Rastelli, but here, the same
court inexplicably disregarded Rastelli completely.” See, Brief for Appellant at 21.
However, this outcome is only confusing if one disregards the decades-old body of
case law that reads Rastelli as requiring a case-specific inquiry into the relationship
between the products in question, and that the mere compatibility situation
described in Drabczyk gives rise to a lesser duty than the replacement part situation
at issue in Suttner or the specification at issue in Dummitt.
In addition to Tortoriello and Drabczyk, Crane attempts to rely on two U.S.
District Court decisions: Surre v. Foster Wheeler, 831 F.Supp. 2d 797 (SDNY,
2011) and Kiefer v. Crane Co., 2014 WL 6778704 (SDNY, 2014).
90
Surre was a lengthy decision and order by Federal District Court Judge
Denny Chin granting Crane Co. summary judgment in an action where the plaintiff
sought to hold it liable for injuries arising from his exposure to exterior insulation
that had been applied to boilers that the defendant’s predecessor-in-interest had
manufactured. Unlike the present case, Surre was not a replacement parts case
where Crane supplied a product which contained asbestos at the time of the sale.
(See, 831 F.Supp. 2d at 799, “Surre was not exposed to any asbestos from products
or components internal to Pacific Boilers.”). Rather, it dealt solely with whether
the defendant had a duty to warn about the hazards of adding third party insulation
to the exterior of a boiler under circumstances when the Record contained no
evidence that the defendant had any reason to believe that such a thing would
occur. (Presumably, had Surre been sued as a design defect case, Crane would
have been entitled to the protection of the substantial modification doctrine.).
Crane’s decision to cite Surre is interesting because Justice Chin rejects
Crane’s Rule and demonstrates an extremely detailed application of the balancing
of factors test. Appellant quotes the passage in Surre that states, “Generally, a
manufacturer has no duty to warn against defects in such third-party products so
long as the manufacturer had no control over the production of the defective
product and did not place it into the stream of commerce.” 831 F.Supp.2d at 801.
91
However, Appellant’s Brief omits the passage from Surre that states, “Where
additional circumstances strengthen the connection between the manufacturer's
product and the third party's defective one, a duty to warn may arise.” Id. at 801,
citing Rogers and Berkowitz, supra. Crane also omits the passage that states:
I acknowledge that two New York district court opinions and several
New York state trial court opinions have denied summary judgment in
cases similar to this one. See, e.g., Gitto v. Cherterton, No. 07-04771
(S.D.N.Y. Dec. 7, 2010); Curry v. Am. Standard, No. 08-10228, 2010
U.S. Dist. LEXIS 142496 (S.D.N.Y. Dec. 6, 2010); DeFazio v.
Chesterton, 32 Misc. 3d 1235[A], 938 N.Y.S.2d 226, 2011 NY Slip
Op 51588[U] [N.Y. Sup. Ct. 2011]; Sawyer v. A.C. & S., Inc., 32
Misc. 3d 1237[A], 938 N.Y.S.2d 230, 2011 NY Slip Op 51612[U]
[N.Y. Sup. Ct. 2011]. In this case, however, on this record, there are
not sufficient factual grounds to support a finding that Crane had a
duty to warn.
Id. at 804.
29
Far from embracing a bright-line test, such as Crane’s Rule, Surre
explicitly acknowledged that a case by case, factual analysis of the record will
sometimes establish that a manufacturer has a duty to warn about components that
it did not place into the stream of commerce or otherwise exercise “control” over.
Surre is inconsistent with Crane’s position in this appeal. Under Crane’s
Rule, there would be no fact pattern sufficient to “strengthen the connection”
29
The Gitto and Curry decisions, supra, both denied summary judgment to Crane Co., both cited
Rastelli, and both explicitly held that Crane Co.’s liability was partially premised on the fact that
its valves were sold with asbestos-containing original parts that would require periodic repair or
replacement. Id. at 2.
92
between two products, and Gitto, Curry, DeFazio and Sawyer were, therefore, all
wrongly decided.
Finally, the Appellant cites Kiefer v. Crane Co., 2014 WL 6778704 (SDNY,
2014), 2014 U.S. Dist. LEXIS 169941 (SDNY, 2014). The Kiefer decision is
labeled “Telephone Conference and Decision,” and it appears to consist of a
transcript of a bench decision from Federal District Court Judge Katherine B.
Forrest, delivered during a conference call. The judge indicates that she is
delivering her decision extemporaneously, based on notes, rather than reading a
written decision aloud. (“I will say that I’ve got my notes here, having gone
through the record, but I don’t have a written opinion, nor does the Court intend to
write an opinion. This transcript will constitute the opinion of the Court. A
separate short order, just one line as to each, will issue that will reflect the grant of
summary judgment.”) Kiefer, 2014 WL 6778704 at *1.
30
Judge Forrest granted Crane summary judgment, relying partially on Surre.
In the course of her oral decision she at one point stated, “Under New York law it
is clear that one manufacturer cannot be held liable for the products of another.”
Id. at *5. Appellant, at page 21 of its Brief on Appeal, quotes that line, but omits
30
Citations herein refer to the Westlaw document only. LexisNexis, in keeping with the Judge’s
wishes as expressed in the transcript, includes only a single sentence statement explaining the
content of each Order the court issued.
93
the sentence that follows, “That is Judge Chin’s decision in the Surre v. Foster
Wheeler case.” Id. at *5.
The tenuous nature of Crane’s argument is demonstrated by the fact that it
has been unable to locate a single Court of Appeals decision endorsing its single
factor test; it has been unable to locate a single decision from the Appellate
Division that endorses a single factor test; it has been unable, even, to locate a
published trial court decision that endorses a single factor test. Surre, the
published federal trial court decision upon which Crane attempts to rely, explicitly
rejects a single factor test. In order to find a case based on New York law which
appears to endorse a single factor test, Crane can only point to the transcript of an
extemporaneous bench decision based on a set of notes and not intended for
publication. And even in that case, Crane had to selectively quote Kiefer and make
it appear as though the statement, “it is clear that one manufacturer cannot be held
liable for the products of another,” was an original conclusion of Judge Forrest’s,
based on a full analysis of the case law, rather than a casual summary of the
nuanced, seven page long Surre decision.
It is striking that a brief on the subject of product liability in New York does
not find any cause to discuss the implications of Liriano to its position. It is
equally striking that a brief that takes the position that one manufacturer never has
94
a duty to warn about components it did not control chooses not to cite, much less
attempt to distinguish, Berkowitz, Penn v. Jaros, Baum & Bolles or Village of
Groton, supra. All of those cases are New York Appellate Decisions, which held
that, under the circumstances of the case, one manufacturer had a duty to warn
about products that it did not place in the stream of commerce. Each of those cases
was cited by Justice Lane in the decision appealed from, and although Appellant
dismisses Justice Lane’s analysis as “amorphous,” it makes no attempt to address
his reasoning, or the reasoning of the authorities he cited.
It is equally striking that, in looking to the federal courts for authority, Crane
addressed only Surre, a case where an asbestos-free product was modified by the
post-sale addition of exterior asbestos, but neglected to discuss or distinguish
Curry and Gitto – both of which held that Crane can be liable for injuries arising
from its failure to warn of the hazards of using asbestos-containing replacement
parts. Crane was, of course, aware of Curry and Gitto, which are cited approvingly
in Surre.
2. Virtually Every New York State Jurist to Have Examined
the Issue of Crane’s Liability has Found that It Had a Duty
to Warn Under Circumstances Similar to the Present
Throughout its Brief, Appellant implies that Crane’s Rule, its idiosyncratic
reading of Rastelli, is widely accepted and that the rulings by Justice Lane and the
95
Fourth Department (and the rulings by Justice Madden and the First Department)
are outliers. This is not the case.
Rastelli was decided twenty three years ago. Berkowitz was decided
fourteen years ago. In the time since then, manufacturers of asbestos-containing
equipment have attempted to persuade numerous courts from across the state to
accept their “no duty” rule. New York’s Supreme Court Justices have, without
exception, declined to embrace Crane’s extra-textual interpretation of Rastelli and
its progeny.
For examples of such cases, see, e.g., Cobb v. A.O. Smith Water Prods.,
Index No. 10-3677 (Sup. Ct., Oswego County, Mar. 30, 2011) (Hon. James W.
McCarthy); Sawyer v. Crane Co. 32 Misc.3d 1237(A), 938 N.Y.S.2d 230 (Sup.
Ct., N.Y. Co., June 24, 2011) (Hon. Sherry K. Heitler); Forth v. Crane Co., Index
No. 2008-0491 (Sup. Ct., Schenectady County, Sept. 12, 2011) (Hon. Richard T.
Aulisi); In re Sixth Judicial District Asbestos Litig.: [Schmerder], Index No.
CA2010-000927 (Sup. Ct., Broome County, Sept. 26, 2011) (Hon. Robert C.
Mulvey); Mosher v. A.W. Chesterton Co., Index No. 2010/7914 (Sup. Ct., Monroe
County, Oct. 4, 2011) (Hon. Ann Marie Taddeo); Franck v. 84 Lumber Co., Index
No. 5716/2010 (Sup. Ct., Orange County, Oct. 20, 2011) (Hon. Robert A. Onofry);
Pienta v. A.W. Chesterton Co., Index No. 2012-1161, (Sup. Ct., Erie County Jul 2,
96
2014)(Hon. Jeremiah J. Moriarty III); Major v. A.O. Smith Water Products Co.,
Index No. 800805/2013 (Sup. Ct. Erie County, January 22, 2015) (Hon. Deborah
A. Chimes).
31
The examples cited were chosen not for their comprehensiveness, but
because they demonstrate that the disinclination of New York Courts to embrace
Crane’s Rule is not the product of one judge, one judicial district, one region of the
state or one political party. Rather, it is the universal consensus of every New
York jurist who has heard such a motion. In addition to Justices Lane and
Madden, at least eight other New York state judges have, in the past few years
alone, applied this Court’s traditional duty analysis, rather than adopting Crane’s
bright-line rule.
31
In the interest of thoroughness, Plaintiff notes that Justice McCarthy, formerly of the Fifth
Judicial District asbestos docket, issued two decisions finding that Crane had no duty to warn of
the hazards of asbestos-exposure associated with its products in July, 2011. See Jones v. Air &
Liquid Systems, Index No, 2010-3265 (Sup. Ct., Oswego Cty. July 11, 2011) (R. 6764-R.6771.)
and Egelston v. Air & Liquid Systems Corp., Index No, 2010-1038 (Sup. Ct., Onondaga Cty.,
July 11, 2011) (R.6756-R.6763.) These decisions were in conflict with several of Judge
McCarthy’s prior decision, and were explicitly premised on the judge’s conclusion that the
Fourth Department had adopted a strict stream of commerce test in Drabczyk. Since the Fourth
Department’s affirmance of Suttner makes it clear that such interpretation of Drabczyk was
incorrect, presumably they would not be decided the same way if they were heard today.
97
3. The Weight of the Case Law Demonstrates that Crane’s
Rule is an Attempt to Replace Settled New York Law with
an Outcome-Driven Test
The plaintiff is mindful that this Court is not bound by the longstanding
consensus of the Appellate Division (and trial courts) and could properly hold
Rogers, Village of Groton, Penn, Berkowitz, and Dummitt (as well as Curry, Gitto
and Surre and the dozens of State Supreme Court Orders rejecting Crane’s
proposed rule) to have been wrongly decided.
It nevertheless seems worth pointing out that, while Crane has couched its
Brief in the modest and conservative rhetoric of a litigant seeking the protection of
a straightforward precedent, it is not merely asking this Court to conclude that the
Fourth Department misapplied Rastelli in the present case. It is asking this Court
to conclude that, in the nearly quarter century since Rastelli has been decided,
every New York State appellate judge to have interpreted Rastelli has failed to
understand that it really mandates the imposition of the bright-line rule described
in Crane’s test. It is asking this Court to conclude that a panoply of judges from a
wide range of backgrounds, geographic origins and political orientations have all
misunderstood Rastelli to Crane’s detriment.
There is nothing improper in Crane requesting that this Court radically alter
the rules that govern product liability, but Crane should be forthright about the fact
98
that it is seeking an extreme remedy, and that every New York jurist to have
considered the merits of Crane’s Law has interpreted Rastelli as counseling it to
follow Palka’s “traditional, complex and particularized analytical path,” rather than
establishing a bright-line “no duty” rule.
F. The Decisions of the Court Below Are Consistent with the Express
Public Policy of the State
Crane’s discussion of the public policy incorrectly frames both the relevant
legal issues and Crane’s treatment by the courts. Legally, the question before this
Court is not whether or not to impose a new duty on Crane. The question is
whether or not a jury may permissibly find that failing to warn the plaintiff of the
latent dangers of using its valves constituted a breach of Crane’s duty to warn.
Underlying Crane’s discussion of the public policy is the implication that it
is a harmless actor that has been victimized by the court system. Crane’s Brief
even goes so far to suggest that the courts’ only conceivable public policy motive
in not adopting Crane’s Rule must be to enrich plaintiffs. See, Appellant’s Brief at
page at 23. However, Crane is not being treated any differently than any other
manufacturer whose actions in the market led it to accrue a certain amount of
inchoate liability.
99
Both injured product users and the manufacturers of products have
legitimate interests that the Courts should and do act to protect. The civil justice
system has a number of rules and safeguards in place to protect the interests of
defendants like Crane, just as it has rules and safeguards in place to protect people
like Mr. Suttner and his widow.
Crane is not asking to be protected from the imposition of a new duty.
Crane is asking that this Court carve out an exception to the ordinary rule in order
to protect it. There is no blanket rule that says that a manufacturer may stay mute
about the latent dangers of the intended use of its product, so long as a third party
placed the injury-causing component in the market, nor should there be.
1. Crane Misframes the Relevant Legal Issue in its Public
Policy Discussion
Crane begins its discussion of public policy by attempting to extrapolate a
broad legal rule from a single, out of context phrase that it has quoted from an
irrelevant case.
Citing Hamilton v. Baretta, 96 N.Y.2d 222 (2001), Crane argues that the
court must weigh the public policy implications issue of imposing a duty. Crane
frames the public policy question as one of “judicial recognition of a duty of care,”
and suggests that the trial court and Appellate Division, “recognize[d] a broad, and
novel, form of legal responsibility…” Appellant’s Brief at 22, 26. However, this
100
Court has already recognized that, as a product manufacturer, Crane assumed a
duty of care by selling its valves. The question is not about whether Crane owed
Mr. Suttner a duty of care, but whether Crane’s admitted failure to warn about the
carcinogenic hazards of maintaining its equipment falls within the scope of that
duty.
32
Under the ordinary rule, if Mr. Suttner was foreseeably exposed to a deadly
latent danger as a result of an intended use of Crane’s valves, then Crane had a
duty to warn him of that danger. See, Point I.D., supra.
When a plaintiff improperly seeks compensation from the manufacturer of a
non-defective product that, by happenstance, was used with a defective product,
the court should dismiss the plaintiff’s claim. For example, the application of the
defective rim to the tire in Rastelli did not, as a matter of law, fall into the category
of, “latent dangers resulting from foreseeable uses of the product of which it knew
or should have known,” or the category of, “unintended uses of a product …
[which are] … reasonably foreseeable.” Liriano at 243. However, a product
32
The Court in Hamilton was asked to determine if gun manufacturers owed victims of gun
violence a heretofore unrecognized duty to prevent firearms from being used criminally. It is
necessary to weigh the public policy implications of imposing previously unrecognized duties.
This Court has already evaluated the public policy implications of imposing a broad duty on
manufacturers to warn end-users of latent dangers associated with the use of their products, and
has found that it is meritorious to do so for the reasons discussed at length in such cases as
Liriano, supra, Codling v. Paglia, 32 N.Y.2d 330 (1973) and Sukljian v. Charles Ross & Son
Co., Inc., 69 N.Y.89 (1986).
101
manufacturer’s liability for breaching its duty of care is not cut off if the injury-
causing component happens to be replacement part. See, Sage, supra. Rastelli is
not to the contrary for the reasons cited in Point I.C.4. and I.E.1., supra.
Determining whether failing to warn about a given use or misuse of a
product breaches a duty of care is a fact-specific inquiry that should ordinarily be
made by a jury. Liriano v. Hobart Corp., supra, 92 N.Y.2d at 243; Cooley v.
Carter Wallace, supra, 102 A.D.2d 642 at 644; Cover v. Cohen, 61 N.Y.2d 261
(1984); Point I.C., generally, supra.
2. Public Policy Favors a Broad Scope of the Manufacturer’s
Duty to Warn
At Point I.A.2., Crane makes the rather extraordinary assertion that the only
possible motive it can discern for finding that an issue of fact exists regarding the
scope of its duty to warn about the cancer hazard associated with its valves is a
desire to enrich plaintiffs:
The only discernable policy that will be served by adopting the sort of
vague, open-ended rule of “replacement part” responsibility described
by the trial court is ensuring that plaintiffs will have a broader range
of potential defendants to sue in “asbestos” cases like this one –i.e.,
both the entities that made, sold and distributed the allegedly defective
part and the entities that made, sold and distributed the equipment
with which it was used at some time years, or even decades, later.
Appellant’s Brief at 22.
102
Given that, to date, panels from at least two Departments of the Appellate
Division have unanimously rejected Crane’s interpretation of Rastelli and at least
10 trial judges have done so, it seems uncharitable to suggest that such a diverse
array of jurists could only have been motivated by sympathy or a desire to unjustly
enrich one litigant at the expense of another.
By Crane’s logic, it would seem that the only discernable policy that was
served by finding that a jury could permissibly assess the scope of the
manufacturers’ duties in Rogers, Penn, Village of Groton and Sage was to unfairly
benefit people allegedly injured by propane tanks, carbon monoxide, leaky fuel and
improvidently placed hooks at the expense of grill sellers, makers of security
equipment, fluid regulators and airplanes, respectively. In reality, the courts,
weighing the facts of the situation found that, in those cases, the relationship
between the defendant’s product and the injury-causing agent was such that, even
though the defendant did not distribute the injury-causing agent, a jury could
properly find that it breached a duty of care by not warning about the use of its
product that brought about the plaintiff’s injury.
One reason that the public policy in New York explicitly favors a broad duty
to warn is cost. Warning is relatively inexpensive and undemanding, particularly
compared to redesigning a product. See, Liriano, supra, 92 N.Y.2d at 239-240
103
(“although it is virtually impossible to design a product to forestall all future risk-
enhancing modifications that could occur after the sale, it is neither infeasible nor
onerous, in some cases, to warn of the dangers of foreseeable modifications that
pose the risk of injury”); Cooley v. Carter Wallace, supra, 102 A.D.2d at 644
(“Since the cost of providing warnings is often minimal, the balance usually
weighs in favor of an obligation to warn.”).
The broad scope of the duty to warn also increases the safety of products by
shifting the financial risk of failing to learn about a product’s latent danger away
from the injured victims (and the taxpayer, as insurer of last resort) and toward the
natural riskbearers: the manufacturers of dangerous articles. Manufacturers of
dangerous industrial equipment are able to account for and minimize the risk of
fatal injury associated with their products and to mitigate those risks, when they
fail, by insuring themselves against those costs and spreading the cost of that risk
out through the chain of distribution. See, Sprung v. MTR Ravensburg, Inc., 99
N.Y.2d 468, 473 (2003) (“the burden of accidental injuries caused by defective
products is better placed on those who produce and market them, and should be
treated as a cost of business against which insurance can be obtained.”).
This Court discussed the practical economics of allocating the cost of
accident risk in Codling v. Paglia, 32 N.Y.2d 330 (1973), which abolished the last
104
remnants of the privity requirement and held that product manufacturers could be
held liable in negligence for injuries to third party non-users who were foreseeably
injured by the manufacturer’s breach of its duty of care. This Court held that public
policy was served by adopting a broad scope of duty because:
Pressures will converge on the manufacturer, however, who alone has
the practical opportunity, as well as a considerable incentive, to turn
out useful, attractive, but safe products. To impose
this economic burden on the manufacturer should encourage safety in
design and production; and the diffusion of this cost in the purchase
price of individual units should be acceptable to the user if thereby he
is given added assurance of his own protection.
Id. at 341.
Crane attacks this logic by arguing that, “Imposing a legal responsibility on
complete strangers to the distributive chain that produced a harm-causing product
may enhance the compensation opportunities of injured consumers, but it would
not lead to any clear enhancement of product, and thus, consumer safety.” Brief
for Appellant at 24. However, broad warning requirements have a clear link to
consumer safety. Had Crane’s valves contained a warning about the hazards of
their asbestos components on their nameplate, at the time of sale, that warning
would have served to caution Mr. Suttner about the hazards of replacement gaskets
just as surely.
105
Crane stresses the fact that the carcinogenic exposure occurred, “years, or
even decades,” after it sold the products. Brief for Appellant at 23. However, the
public policy inquiry in Liriano focused on the macro-scale question of whether
imposing a broad continuing duty to warn helped consumer safety, as a general
rule. It did not on focus on the micro-scale question of whether meat-grinders
would be made safer by permitting a jury to find that the continuing duty to warn
about a meat grinder distributed in 1961 potentially applied in 1993. The public
policy implications of permitting juries to find a broad scope of the duty to warn
are the same in Suttner as they were in Liriano.
Crane Co.’s own corporate history provides an excellent illustration of the
utility of broad duties to warn in promoting public safety. Crane Co. was a major
company which, by its own admission, used carcinogenic components in its valves
until the 1980s, decades after they were widely known by industry to be
carcinogenic. Crane Co. admits that it never once conducted any tests to ascertain
whether these valves presented a hazard to workers. (R. 5315; R. 5429.).
The reason that it ultimately stopped supplying valves with carcinogenic
parts, according to its Answers to Interrogatories, is that “…in the late 1970s and
early 1980s, as a result of changes in customer preferences, Crane Co. began to
explore the prospect of replacing the asbestos-containing components in its
106
industrial products.” (R. 5415) In other words, increasingly widespread concern
about the health hazards of asbestos, brought about by increasingly widespread
warnings, caused “Pressures [to] converge on the manufacturer,” just as Codling
anticipated. If Crane had conducted safety tests, and issued warnings, about the
intended uses of its valves, those warnings may have influenced customer
preferences sooner, and thus motivated industry to arrive at safer alternatives
sooner. Conversely, if the duties of product manufacturers were less stringent, the
civil justice system may have provided a less effective check on industry, and
asbestos components might remain relatively common.
Crane criticizes the courts below for failing to spell out the public policy
rationale behind their denial of Crane’s motion. However, Crane’s objections only
make sense if the Courts were finding a new duty. Justice Lane painstakingly cited
the decisions upon which he relied in enforcing the ordinary rule: most relevantly,
Liriano, Rastelli and Sage. Judges are not under an obligation to make a recital of
the public policy behind well-settled cases every time they write a decision.
3. New York’s Public Policy Disfavors Bright-Line Tests of the
Scope of Duty
Bright-line tests for duty have the advantage of being simple to apply and
lowering the costs associated with litigation of disputed facts. On the other hand,
such tests do not permit the court to account for the contextual facts and
107
circumstances surrounding an alleged act of negligence and, thus, frequently
compel harsh or unjust outcomes.
This Court has explicitly stated that, “the ‘policy-laden’ nature of the
existence and scope of a duty generally precludes any bright-line rules...” Espinal
v. Melville Snow Contrs., 98 N.Y.2d 136, 139 (2002), citing Palka v.
Servicemaster Mgt. Servs. Corp., supra, 83 N.Y.2d 579.
33
Instead, New York has traditionally favored case-specific tests. See,
generally, Point I.B., supra; Palka, supra, 83 N.Y.2d 579, 585 (“Common law
experience teaches that duty is not something derived or discerned from an
algebraic formula.”); Id. 83 N.Y.2d at 586 (courts traditionally, “fix the duty point
by balancing factors”); Id. at 589 (courts ascertain scope of duty by applying the
“the traditional, complex and particularized analytical path…”).
Numerous New York cases stress the merits of balancing tests over bright-
line tests. See, e.g., Cover v. Cohen, 61 N.Y.2d 261 (1984) (determining scope and
existence of post-sale duty to warn involves weighing a number of factors); Denny
v. Ford Motor Co., 87 N.Y.2d 248, 257 (1995) (design defect causes of action
require a “risk/utility balancing test” instead of bright-line strict liability); Micallef
33
Other states have made different public policy decisions, and embraced the simplicity of
bright-line rules. (See, e.g., O’Neil v Crane Co., 53 Cal.4th 335 (2012), “our strict products
liability precedents have recognized ‘a bright-line legal distinction’ imposing liability only on
those entities responsible for placing an injury-producing product into the stream of commerce.”)
108
v. Miehle Co., 39 N.Y.2d 376, 385 (1976) (“What constitutes ‘reasonable care’
will, of course, vary with the surrounding circumstances and will involve ‘a
balancing of the likelihood of harm, and the gravity of harm if it happens, against
the burden of precaution which would be effective to avoid the harm.’); Palka v.
Servicemaster Mgt. Servs. Corp., 83 N.Y.2d 579, 586 (1994) (Courts traditionally
“fix the duty point by balancing factors”); Robinson v. Reed-Prentice Div., 49
N.Y.2d 471, 479 (1980) (determining if designer breached duty of care requires
“balancing of the likelihood of harm against the burden of taking precaution
against that harm.”); Sage v. Fairchild-Swearingen Corp., 70 N.Y.2d 579, 586
(1987) (“The determination of whether a product is defectively designed requires a
balancing of the likelihood of harm against the burden of taking a precaution
against that harm” citing Robinson at 479); Cooley v. Carter-Wallace, 102 A.D.2d
642, 664 (4
th
Dept, 1984) (“The imposition of the duty to give a warning of some
kind involves a balancing test that weighs the seriousness of potential harm to the
customer against the costs to the manufacturer.”).
Indeed, numerous seminal New York product liability cases have arisen in
out of circumstances where this Court has replaced a bright-line rule with a case-
specific weighing of factors in the interest of justice or equity. See, e.g.
MacPherson v. Buick Motor Co., supra, 217 N.Y. 382 (1916) (rejecting bright-line
109
rule requiring manufacturer to be the original source of defective component in
order to stand liable); Greenberg v. Lorenz, 9 N.Y.2d 195 (1961) (rejecting bright-
line privity rule to hold food seller liable for injuries resulting from non-purchaser
child’s ingestion of metal debris packed in salmon); Codling v. Paglia, supra, 32
N.Y.2d 330 (1973) (abolishing remaining privity requirements in negligence;
abolishing bright-line test for comparative negligence); Cover v. Cohen, supra, 61
N.Y.2d 261 (1984) (bright-line rule limiting duty to warn to time of sale replaced
with balancing of factors); Sage v. Fairchilde-Swearengin Corp., supra, 70 N.Y.2d
579 (1987) (rejecting bright-line stream of commerce rule in favor of balancing of
factors); Liriano v. Hobart, supra, 92 N.Y2d 232 (1998) (rejecting bright-line rule
that substantial modification falls outside of scope of duty to warn); Hoover v.
New Holland, supra, 23 N.Y.3d 41, 59 (2014) (internal citation omitted) (rejecting
bright-line rule that would hold that removal of a safety device automatically
constituted substantial modification.).
One should not mistake this Court’s embrace of situational nuance for an
outcome-driven approach which serves only to maximize plaintiffs’ compensation.
In Palsgraf, supra, this Court recognized that the duty of reasonable care was a
highly situational concept, but nevertheless, did not find the scope of the
defendant’s duty sufficiently broad to permit the defendant to be held liable. In
110
Gebo v. Black Clawson Co., 92 N.Y.2d 387 (1998), this Court held that an entity
that fabricated a machine for personal use and subsequently sold it for scrap could
not be held to the responsibilities of a manufacturer in strict products liability or
ordinary negligence. The bright-line rule would dictate that the defendant was
strictly liable, regardless of whether that would lead to an inequitable outcome. In
Rastelli, this Court recognized that there were several circumstances in which a
manufacturer could have a duty to warn about hazards associated with components
that it did not place in the stream of commerce, but nevertheless held that, under
the circumstances of that particular case, the defendant had no duty to warn.
This Court has historically rejected bright-line tests because they are both
over and under-inclusive. While they offer more predictable outcomes, such
outcomes are often predictably inequitable. Crane’s proposed bright-line rule
would carve out an incongruous exception to New York’s organically-developed,
fact-specific law of product liability by stating that the duty to warn never requires
a manufacturer to warn of non-obvious, potentially fatal harm that is nearly certain
to occur when the product is used as directed, as long as the injury-causing
component originated with a third party.
111
4. Crane’s Self-Serving Portrayal of Itself as a Victim of
Judicial Injustice Should Not Sway this Court
A persistent theme of Appellant’s Brief has been the intimation that applying
the ordinary rules dictated by the CPLR to Crane Co. is fundamentally unfair and,
therefore, against public policy.
Crane Co. is a large manufacturing concern with a long history – it was
founded prior to the American Civil War. Over the decades, Crane has
manufactured numerous product lines with numerous purposes for numerous
markets. Some of its product lines have consisted of specialized industrial
equipment.
Manufacturing industrial equipment can be an extremely lucrative endeavor.
There are high barriers to entry, which minimize competition and permit higher
prices to be charged than in markets with more participants. Like any commercial
venture, it also entails certain costs and risks. Specialized industrial equipment
often poses latent dangers, and often results in calamitous and expensive bodily
injuries. By placing a product on the market with a potentially flawed design or
potentially inadequate warning, a manufacturer assumes a finite, but uncertain,
amount of inchoate liability, which may take years or decades to vest.
34
34
The fact pattern in many significant cases reflects the reality that liability for negligent design
or failure to warn regarding industrial equipment often vests long after the initial act of
negligence. The plaintiff in Liriano was injured in 1993 by a meat grinder manufactured over
112
By choosing to do business in a state without a statute of repose, Crane
voluntarily assumed the economic risk associated with taking on an unpredictable
amount of potential future liability that would remain inchoate for several decades.
Crane made the decision that access to New York’s markets was worth being
subject to New York’s laws. Now that the costs associated with those choices are
coming due, Crane is protesting that it is unfair that it must pay them, and is asking
this Court to exempt it from the ordinary rules associated with the allocation of
liability in New York State.
Mr. Suttner had a good faith claim that Crane Co. was partially liable for his
injuries. His estate had every right to hale Crane into court to answer his
allegations and, if settlement could not be reached, his estate had the right to prove
Crane’s liability to a jury, by a preponderance of evidence, which it did.
Because of Crane’s choices and actions in the marketplace, there are a
number of people who, like Mr. Suttner, are capable of raising a legally valid
question of fact as to whether Crane’s failure to warn about intended use of its
three decades earlier. The plaintiff in Gebo v. Black Clawson, 92 N.Y. 387 (1998), was injured
in 1990 by a device constructed in 1966. The plaintiff in Gray v. R. L. Best Co., 78 A.D.3d 1346
(3
rd
Dept, 2010), was injured in 2005 by a press manufactured in 1974. These are just three
examples of published cases which note, in passing, when the product happened to have been
manufactured. Cases pertaining to accidents involving long-lived durable goods rarely bother to
make reference to the age of the product in question at the time of the injury, presumably
because no New York court has ever held that the date of manufacture is a relevant factor which
should be considered.
113
valve contributed to their terminal cancer. One of the costs associated with its
business is that Crane will have to settle or defend those claims. This may be
inconvenient or expensive, but it is an inconvenience and an expense to which
every manufacturer that chooses to take advantage of New York’s markets must
agree. To reject the traditional, analytical approach in favor of a bright-line rule
immunizing Crane would permit a company to remove a set of inchoate liabilities
it accrued as a result of its conduct off of its balance sheet and shift those costs on
to the general public.
The system has a number of protections in place to aid Crane. Crane is very
rarely the only source of asbestos to which a plaintiff was exposed, and so its
actions are virtually never alleged to have been the sole proximate cause of a
plaintiff’s injuries. Article 16 of the CPLR permits Crane to prove the liability of
its co-tortfeasors, including that of bankrupt entities, and entitles it to an offset
based on the total settlements from co-tortfeasors and the amount of liability
assigned to the other entities.
35
Article 14 of the CPLR protects Crane’s right to
seek contribution or indemnification from its co-tortfeasors. See, CPLR 1401.
35
In its Statement of Facts, Crane gratuitously notes that Plaintiff’s initial complaint named
thirty-seven defendants. See, Brief for Appellant at 6. The complaint, of course, named every
defendant the plaintiff and his counsel had a good faith belief might share in the liability for his
injury. Those against whom there turned out to be no admissible evidence were released by
stipulation and the remainder settled. At trial, the jury asked to consider the liability of nineteen
entities and attributed fault to seventeen. Defendant likely cites the number of named defendants
114
In the present case, despite the fact that Crane was the sole defendant at trial,
Crane was able to present a compelling liability case against its fellow tortfeasors,
leading the jury to find it liable for less than 1/20 of Mr. Suttner’s damages. (R.
34.). (For comparison’s sake, Crane was found 4% liable, as were two other
manufacturers of industrial valves. Manufacturers and sellers of thermal insulation
were found 45% liable, and the manufacturer of the gaskets and packing that were
installed in, and rendered friable by, Crane’s valves, was assigned 15% liability.).
Id.
Crane protests in a footnote that the protections afforded it by Article 16 are
insufficient because it might be held jointly and severally liable under the
recklessness exception to Article 16 or a jury might award punitive damages. Brief
for Appellant at 7, FN 3. However, the recklessness exception and the concept of
punitive damages exist for a reason. If Crane’s misconduct rose to the level that,
legally speaking, a jury can properly find it reckless, or award punitive damages
against it, then it needs to account for that potential liability as part of its business
liabilities. If its conduct did not rise to the minimum legal threshold necessary to
in an attempt to suggest that the plaintiff must have cast an unreasonably wide net. However, in
a situation where a large number of entities have some potential liability, such as a dozen vehicle
pileup or a toxic exposure case involving a number of common products, there is nothing
remotely improper about suing a large number of defendants. Far from showing that Crane is a
victim of litigative overreach, it shows that Crane had a full and fair opportunity to make the case
that its co-tortfeasors were the primary parties responsible for the injury. R. 34.
115
sustain such a finding, then the trial judge or an appellate court will provide a
remedy. In either case, it is a matter of the rules operating as they were written and
intended.
5. This Court Should Decline Crane’s Invitation to Substitute
Foreign Law for Controlling New York Precedent
The high courts of Washington State and California have both issued
decisions that embraced a single factor test which holds that a manufacturer
virtually never has a duty to warn regarding the foreseeable hazards cause by
components that it did not place in the stream of commerce. The California case
specifically dealt with Crane valves. See Braaten v. Saberhagen Holdings, 165
Wash.2d 373 (2008) and O’Neil v. Crane Co., supra, 53 Cal.4
th
335 (Cal. 2012).
Both of these cases contain brief citations to Rastelli.
Crane, unable as it is to locate a single New York Appellate case that
supports its proposed rule, has made extensive attempts to rely on these, and other
foreign cases, at every stage of this proceeding. Indeed, Crane’s Brief cites more
cases form other jurisdictions than it does from New York State courts, and briefs
O’Neil at greater length than any other case other than (debatably) Rastelli.
O’Neil and Braaten both endorse a narrow approach to stream of commerce
and apply it to protect manufacturers from liability related to replacement parts in
116
both design defect and failure to warn cases. These decisions are incompatible
with New York law for the reasons stated in Points I.C.3. and I.D.3., supra.
Even Crane has admitted that New York recognizes circumstances where a
manufacturer which did not place the injury causing agent in the stream of
commerce may still be held liable for foreseeable injuries caused by that agent’s
use in its product.
36
The out-of-state cases, in contrast, represent exactly the kind
of bright-line rule Enright warned against. See, O’Neil, 54 Cal.4
th
at 335
(recognizing “‘a bright-line legal distinction’ imposing liability only on those
entities responsible for placing an injury-producing product into the stream of
commerce.” internal citation omitted); Braaten, supra, 165 Wash.2d at 392 (2008)
(holding duty to warn evaporated when original parts were replaced with
substantially similar replacement parts).
37
36
Crane admits that the manufacturer in Sage was properly held liable because the third party
replacement part did no more than further the initial negligent design. Brief for Appellant at 29-
31. Crane further admits that a manufacturer may have a duty to warn about products that it did
not place in the stream of commerce (or control the production of) if those products were
necessary to operation of the manufacturer’s product. Brief for Appellant at 22, citing Rogers,
supra. Compare, O’Neil, supra, 53 Cal.4
th
335 at 350, FN 6. (California strict stream of
commerce rule would apply even if the consumable product was necessary for the item’s
function.).
37
Washington’s experience with the inequitable nature of bright-line rules has mirrored that of
New York. In Marcias v. Saberhagen Holdings, Inc., 175 Wash.2d 402 (2012), the plaintiff
alleged that defects in his respirator caused him to become exposed to asbestos, despite his
attempts to use respiratory protection. The Supreme Court of Washington permitted his cause of
action to go forward, despite the fact that the respirator did not supply the injury-causing agent,
in the face of a strong dissent arguing that the majority was betraying the bright-line rule.
117
This Court has previously recognized that Washington’s approach to product
liability is inconsistent with New York’s, and declined to adopt the alien law. See,
Denny v. Ford Motor Co., supra, 87 N.Y.2d at 260 (declining to adopt
Washington’s “single analytical test.”); Similarly, Braaten, supra, 165 Wash.2d at
285, FN 6 (contrasted Washington’s strict stream of commerce approach which
conflicts with jurisdictions, “that apply a more negligent-like approach to product
claims.”).
Despite the large body of contrary precedent, Crane has criticized the courts
below for not taking sufficient interest in their sister states’ law, and for failing to
discuss Braaten and O’Neil’s citation of Rastelli:
Notably, both the supreme courts of California and Washington
supported their holdings by citing this Court’s decision in Rastelli.
Yet, neither the trial court nor the Appellate Division ever referenced
the decisions rendered by these courts, let alone attempted to argue
that these courts misinterpreted this Court’s holding in Rastelli.
Brief for Appellant at 32.
The entirety of the Braaten Court’s interpretation of Rastelli consists of a
parenthetical summary in a string cite, which reads, “tire manufacturer who
produced a sound product had no duty to warn of danger associated with a
defective rim manufactured by another because the tire manufacturer had no role in
placing the rim into the stream of commerce, derived no benefit from its sale, did
118
not contribute to the alleged defect, had no control over it, and did not produce it,”
Braaten, supra, 165 Wash.2d at 387 and a footnote reading, “In addition, there are
some cases where the combination of two sound products creates a dangerous
condition and both manufacturers have a duty to warn.” Id. at 385 FN 7 citation to
Rastelli omitted.
The summary of Rastelli in Braaten appears tenth in a string of fifteen cases
which are cited for the general proposition that a previous Washington case was
“in accord with the majority rule nationwide.” Braaten at 386. Crane has used this
passage to argue that, “courts across the United States have looked to Rastelli to
define ‘the majority rule nationwide’ in cases like this one.” Brief for Appellant at
16.
O’Neil’s discussion of Rastelli comes in the context of a passage reading,
“[N]o case law … supports the idea that a manufacturer, after selling a completed
product to a purchaser, remains under a duty to warn the purchaser of potentially
defective additional pieces of equipment that the purchaser may or may not use to
complement the product bought from the manufacturer.” O’Neil, 53 Cal.4
th
at 352
internal citation omitted. The California Court of Appeals’ entire discussion of
Rastelli consists of the following passage and a footnote:
Decisions from other jurisdictions are in accord. … In Rastelli, the
plaintiff sued the tire manufacturer, arguing that Goodyear should
119
have warned about the inherent dangers of multipiece rims because its
tires were compatible for use with such rims. [Citation omitted.] New
York's highest court refused to impose such a duty based solely on
foreseeability. The court stressed that Goodyear had no control over
the defective rim's production or marketing, it derived no benefit from
the rim's sale, and Goodyear's own product did not create the defect or
combine with the rim to create a hazardous condition that did not
previously exist. [Citation omitted.]
O’Neil, 53 Cal.4
th
at 353. The subsequent footnote also compares a California
“case where the combination of one sound product with another sound product
creates a dangerous condition about which the manufacturer of each product has a
duty to warn” and cites Rastelli for the proposition. O’Neil, 53 Cal.4
th
at 361.
Plaintiff respectfully submits that neither O’Neil nor Braaten has any proper
bearing on the Suttner case. Unlike Justice Lane’s decision (and the decisions of
the courts in Dummitt and Dummitt II), neither O’Neil nor Braaten addresses New
York product liability law as a whole. Neither Court appeared to be aware that
there are numerous decisions by New York appellate courts inconsistent with
bright-line reading of Rastelli. (See, generally, Points I.E.2. and I.E.3., supra).
Neither Court even cites Berkowitz, one of Rastelli’s progeny that was, at the time,
the only New York Appellate case to address the use of third party asbestos
components.
Plaintiff respectfully submits that the voluminous opinions of the many New
York State trial court and appellate judges that have interpreted Rastelli within the
120
context of briefing which focused on New York precedent are, individually and
collectively, more applicable to the analysis of New York’s law than are passing
citations by the courts of sister states, however learned and august their justices
may be.
38
Justice Lane addressed Crane’s foreign authority by writing, “Finally, I am
unpersuaded by out-of-state precedent. The law in New York on the issue is
clear.” (R. 23.). This is a more than sufficient analysis of Crane’s extra-
jurisdictional red herring.
38
Both the California and Washington decisions recognize exceptions in the case where the
products, working together, create a risk. See also, Shields v. Hennessy Industries, Inc., 205
Cal.App.4
th
782 (Cal.App.1
st
Dist. 2012) (brake grinder manufacturer had a duty to warn of the
hazards associated with using third party asbestos-containing components in its grinder). The
present case, where the evidence shows that the operation of the valves contributed to the gasket
and packing’s dangerous state, would seem to fall into those states narrow exceptions to the
bright-line rule. Compare O’Neil 53 Cal.4
th
at 361 (“Nothing about defendant’s pumps and
valves caused or combined to release this dust.”). In the present case, Crane appears to concede
that, but for the operation of the valves, the gaskets would not have become friable. (R. 1017-
1018.). While Crane is likely to object that the valves at issue in that case and the valves at issue
in this case were the same, and that if they did not contribute to the gaskets’ dustiness in O’Neil,
then they must not have done so in Suttner, such argument would be specious. Every case
alleging that Crane’s valves have caused an injury have to address numerous complexities
involving engineering, corporate history and the civil discovery process. The vicissitudes of
litigation, including trial strategy, jurisdictional rules pertaining to the admissibility of evidence
and discretionary interpretations thereof, and even the availability of expert witnesses can result
in products involving similar time periods and products looking quite different. In the present
case, for instance, Mr. Suttner did not have evidence of a relationship showing more than mere
compatibility between Crane’s valves and the insulation he encountered, while in Dummitt, the
plaintiff produced extensive evidence that Crane specified and controlled the lagging on its
valves. The plaintiff raises this not in hopes of persuading this Court that she would have
prevailed if this Appeal were heard in California, but rather to point out that the factually unique
nature of each case invariably leads to complexities that make New York’s case-specific
analytical approach is better able to address than the blunt tool of California’s bright-line rule.
121
Pages 5-6 of Justice Lane’s decision and order cite ten New York State
Appellate cases which are inconsistent with Crane’s proposed reading of Rastelli.
(R. 17-18.). Crane has submitted a brief which halfheartedly distinguishes two of
those cases (Sage and Call) and says nothing regarding the other eight, five of
which cite Rastelli.
Crane’s use of foreign cases seems to rely on an implicit argumentum ad
populum. Despite the fact that its reading of Rastelli has been soundly rejected by
the New York judiciary, Crane insists on referring to its interpretation as “the
majority rule nationwide,” and seems to regard its universal adoption as an
inevitable matter of manifest destiny. However, rulings from two jurisdictions
with a pre-existing bright-line rule do not a majority make, and the other non-New
York cases cited by the defendant are similarly unpersuasive.
In addition to the California and Washington cases Crane cites two cases
decided under Maritime Law and two cases decided under Maryland law, all of
which declined to hold that a product manufacturer had a duty to warn about third
party asbestos components. See, Lindstrom v. A-C Prod. Liab. Trust, 424 F.3d 488
(6
th
Cir., 2005) (turbine manufacturer not responsible for injuries arising from third
party insulation under Maritime Law); Conner v. Alfa Laval Inc., 842 F.Supp.2d
91 (E.D.Pa. 2012) (equipment manufacturers not responsible for injuries arising
122
from third party components under Maritime Law); Ford Motor Co. v. Wood, 119
Md.App 1 (Md. Ct. Spec. App., 1998) (scope of car manufacturer’s duty to warn
did not include third party replacement brakes); and May v. Air and Liquid
Systems Corp., 219 Md.App. 424 (Md. Ct. Spec. App. 2014) (pump manufacturer
had no duty to warn of hazards of third party components; court acknowledging it
is adopting a “bright line in the law” and contrasting New York law).
However, Maritime Law does not necessarily follow a variation of Crane’s
bright-line rule. See, Salisbury v. Asbestos Corp., 2014 U.S. Dist. LEXIS 11295
(E.D.P.A) at *8 (recognizing a narrower general duty than New York, but holding
shipbuilder’s duty to warn of asbestos-insulation hazard is not cut off when
original asbestos materials are replaced by third party’s asbestos materials); Quirin
v. Lorillard Tobacco Company, 17 F.Supp.3d 750 (N.D. Ill., 2014) (concluding
that, “a reasonable jury could find facts that imposed upon Crane Co. a duty to
warn Mr. Quirin about asbestos exposure resulting from gaskets and packing used
with its valves, even if it did not supply the gaskets and packing actually
encountered by Mr. Quirin.”).
Appellate courts in New Jersey and Kentucky have held that a jury may find
that a manufacturer breached a duty in similar circumstances. See, Hughes v.
A.W. Chesterton Co., 435 N.J.Super. 326, 340-341 (N.J. A.D., 2014) (finding a
123
duty to warn of third party asbestos-containing replacement parts); Branon v. Gen.
Elec. Co., 2005 WL 1792122, at *2, n.6 (Ky.App.Ct., 2005) (holding that turbine
manufacturer may be liable for injuries arising from third party insulation).
Other jurisdictions that fall outside the scope of Crane’s purported “majority
rule nationwide” include Pennsylvania, Rhode Island, Virginia, Illinois and South
Carolina. See, e.g. In re Asbestos Products Liability Litigation (No. VI)
[Hoffeditz], 2011 WL 5881008 (E.D.Pa., 2011) (vehicle manufacturer duty to warn
for replacement asbestos brakes); Chicano v. GE, 2004 U.S. Dist. LEXIS 20330
(E.D.Pa. 2004) (turbine manufacturer’s duty to warn of third party insulation);
Sweredoski v Alfa Laval, Inc., 2013 R.I. Super. LEXIS 185(R.I. Super. Ct, Oct.
21, 2013) (Crane Co.’s duty to warn of asbestos-containing replacement parts);
Phillips v. Hoffman/New Yorker, Inc., 2013 Del.Super. LEXIS 378 (Del.Sur.Ct.,
Aug. 30, 2013) (applying Virginia law) (duty to warn of asbestos-containing
replacement parts in industrial equipment); Sether v. Agco Corp., 2008 WL
1701172 at *3 (S.D.Ill. 2008); (duty to warn of insulation on turbines); Lindquist v.
Buffalo Pumps, Inc., 2006 WL 3456346 at *2 (R.I.Super.Ct., 2006) (duty to warn
of third party asbestos-containing replacement parts in pumps); Sparkman v.
Goulds Pumps, Inc., 2015 U.S. Dist. LEXIS 19579 (D.S.C., Feb. 19, 2015)
(rejecting Crane Rule in the contest of replacement gaskets and packing).
124
Surveying the full national landscape makes it look less like there is a
majority rule nationwide, mandating a narrow duty to warn, and more like a
diverse range of states have reached a wide range of conclusions for varying
reasons of precedent and policy. (The court that wrote, “the weight of
jurisprudence across the country, including in Rhode Island, suggests that a
defendant cannot categorically avoid liability for a plaintiff's injuries for the sole
reason that those injuries were directly caused by exposure to a third party's
replacement parts,” may have painted a more accurate picture of the landscape than
the court that suggested that a single factor test represented, “a majority rule
nationwide”. See, Sweredoski, supra, 2013 R.I. Super. LEXIS 185 at *23;
Braaten, supra, respectively.)
Uniformity of custom between sister states is not automatically a virtue.
New York and California have adopted contrary rules about the scope of the duty
to warn because they differ in their carefully considered opinions about the best
public policy. Such differences are common. Different states have made a wide
variety of choices about such weighty policy matters as the workers’ compensation
bar, the role of punitive damages, the appropriate approach to indemnification, and
the appropriate length of statutes of limitations. Our State should not abandon its
long-standing principles in order to adopt the law of California or Washington.
125
II. CRANE IS NOT ENTITLED TO JUDGMENT UNDER THE
COMPONENT PART DOCTRINE
As a backup argument to its Rastelli-based assertions, Crane contends that it
had no duty to warn under the component parts doctrine. This doctrine provides
that a supplier of a component used in larger mechanical system is liable only for
injuries caused by the defects in the component itself, rather than defects in the
larger system which may cause the component to become dangerous. It is
inapplicable to the present case, as the plaintiff has alleged that Crane’s valves
were, themselves, dangerous when used as intended.
According to the Restatement, component-part suppliers are generally
shielded from liability because “it would be unjust and inefficient to impose
liability solely on the ground that the manufacturer of the integrated product
utilizes the component in a manner that renders the integrated product defective.”
Restatement (Third) of Torts: Products Liability (“Restatement”) § 5cmt. The fact
that the valves were integrated into a larger system is irrelevant to whether or not
Crane breached a duty to adequately warn, and the valves’ latent dangers were not
created by General Motors’s integration of the products into a larger system. The
valves were what one of the cases cited by Crane refers to as a “product with a
specific purpose and use”, In re TMJ Implants Products Liability Litigation, 872
126
F.Supp.1019, 1026 (D.Minn., 1995), and therefore outside of the scope of the
doctrine.
39
According to the Third Department, the component part doctrine is
applicable “where a component part manufacturer produces a product in
accordance with the design, plans and specifications of the buyer and such design,
plans and specifications do not reveal any inherent danger in either the component
part or the assembled unit, the component part manufacturer will be held blameless
for an injury to the buyer's employee in a strict products liability action.” Leahy v.
Mid-West Conveyor Co., 120 A.D.2d 16, 18 (3
rd
Dept, 1986).
In the present case, the buyer purchased finished products from Crane Co.
Those products created a latent danger of cancer about which Crane did not issue
any warning. If Crane’s apparent interpretation of the doctrine were embraced,
then manufacturers who create products that are intended to be used as part of
larger systems would be almost completely absolved of their duty to warn. The
39
It is anticipated that, in reply, the defendant may raise the fact that, in the Restatement (Third)
of Torts “valves” are given as an example of a component to which the doctrine may apply under
certain circumstances. This should not be dispositive. The term “valve” can describe anything
from a relatively simple device to a large piece of industrial equipment composed of two dozen
or more individual components. See, e.g., Addendum A. If the component parts doctrine had
any applicability to the current action, and it does not, it would protect the gasket manufacturer,
which sold its parts in a non-friable condition, rather than Crane, whose products cause the
asbestos in the gaskets to become friable.
narrow, carefully formulated doctrine described by the Restatement does not
contemplate any such blanket immunity from a manufacturer's ordinary duties.
CONCLUSION
F or all of the foregoing reasons, Respondent respectfully requests that this
Court affirm the order of the Appellate Division affirming the judgment of the
Supreme Court, Erie County.
Dated: Buffalo, New York
March 6, 2015
Respectfully submitted,
LIPSITZ & PONTERIO, LLC
Dennis P. Harlow, Esq.
127
ADDENDUM A
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UNPUBLISHED CASES
SUPREME COURT CHAMBERS
Oswego, New York
James W. McCarthy
Supreme Court Justice
Joseph Belluck, Esq.
Belluck & Fox
546 Fifth Avenue, 4th Floor
New York, New York 10036
Paula M. Eade Newcomb, Esq.
Bouvier Partnership, LLP
350 Main Street, Suite 1400
Buffalo, New York 14202-3714
Oswego County Courthouse
25 East Oneida Street
Oswego, New York 13126
Telephone: (315) 349-3286
Fax: (315) 349-8525
March 30, 2011
Re: Cobb v. A. O. Smith Water Products, et al
Index No. 10-3677
LETTER DECISION AND ORDER
Andrew T. Wolfe
Principal Law Clerk
Kim N. Cloonan
Secretary to Justice
The above-referenced matter is before this court pursuant to defendant, Clark Reliance Corporation's
[hereinafter Clark Reliance] motion for summary judgment [New York Civil Practice Law and Rules
§ 3212]. Upon receipt of the reply papers, this matter was taken on submission without oral
argument. Having reviewed the submissions of the parties, for the reasons set forth below, this court
nlakes the following Findings of Fact and Conclusions of Law.
Findings of Fact:
The facts underlying the instant motion arise out of plaintiff James Cobb's alleged exposure to
asbestos containing products during the course of his elnploynlent at the Schoeller Paper Mill in
Pulaski, New York where he was elnployed from 1966 to 2006. Mr. Cobb worked on the cook's
crew, coater crew, service lift truck operator, and beginning in 1972 he worked in the warehouse as
a forklift driver and raw material coordinator.
In support of its motion for sUlnnlary judgnlent, counsel for the defendant Clark Reliance argues that:
Despite comprehensive testimony elicited and the specific identification of several
manufacturers and suppliers by name, Mr. Cobb absolutely failed to identify any
contact with or exposure to any asbestos containing product manufactured, sold or
distributed by this defendant
[Defendant's Counsel's Affirmation in Support of SUlnmary Judgment at ~7]. In further support,
counsel for the Inoving defendant argues that Mr. Cobb's testified that he never personally worked
on any equipnlent in the boiler room, where its product was allegedly located, and that there is no
specific testimony with respect to exposure to asbestos from a product it luanufactured sold or
distributed. Lastly, counsel argues that it is not disputed that the moving defendant was not
identified by name by plaintiff in response to interrogatories, thus satisfying the luoving defendant's
burden on the instant motion.
In opposition, plaintiffs' counsel first citing to the deposition testimony of Mr. Cobb argues that the
record before this court establishes his exposure to asbestos in the boiler roOlU at Schoeller Paper.
Specifically, counsel alleges that Mr. Cobb received and delivered asbestos containing valves and
pumps to various places in the plant. In addition, Mr. Cobb worked two weeks a year of overtinle
in what he referred to as a shutdown including work in the boiler room. Mr. Cobb further testified
that he was exposed to asbestos when he delivered and removed parts from the boiler room during
the shutdowns, and that during this tinle, equipnlent was shut down, torn apart and overhauled in his
presence. This work included work on valves using gaskets and packing, and that this shutdown
took place virtually each year during his tenure at Schoeller.
In addition to the foregoing, counsel for the plaintiffs proffers several docunlents produced by
plaintiff s fonuer employer Schoeller Paper, which he alleges establishes the presence of nl0ving
defendant's asbestos containing products in the boiler room at the plant. Lastly, counsel proffers the
affidavit of Douglas Towles, who specifically identifies Clark Reliance as the manufacturer of
asbestos containing valves, regulators and gages utilized on the boilers at Schoeller Paper, as well
as affirming Mr. Cobb's presence during the shutdown and his exposure fronl dust created by
maintenance on the moving defendant's product.
Defendant's reply is both procedural and substantive. Counsel first argues that this court should not
consider the affidavit ofMr. Cobb's co-worker, insofar as plaintiffs counsel failed to identify him
in conformance with this court's scheduling order, or in response to a specific denland in the
standard interrogatories. Further, counsel argues that plaintiffs filed the Trial Note of Issue on
Deceluber 30, 2010, certifying that all discovery was complete. In light of this counsel argues that
to allow consideration of the proffered affidavit would allow plaintiffs to ambush the lTIoving
defendant. In the alternative, counsel argues that if this court were to consider the affidavit, that
Clark Reliance is nevertheless entitled to sunlmary judgment insofar as there is no evidence that the
plaintiff was exposed to any asbestos-containing products luanufactured by the moving defendant,
only replacement asbestos containing packing and gaskets that were not manufactured by it.
Conclusions of Law:
As defense counsel correctly posits, in deciding the motion before it, it is axioluatic that:
." [The] failure of plaintiffs to name IDI as a supplier in their response to
interrogatories constitutes an adnlission that IDI was not a source of an asbestos-
containing product to which plaintiffwas exposed (see Bigelow v. Acands, Inc .. 196
A.D.2d 436,439; see also United Bank Ltd. v. Cambridge Sporting Goods Corp., 41
N.Y.2d 254, 264; Sluith v. Kuhn. 221 A.D.2d 620), and IDI thus established that
plaintiffs' action against it has no merit (see generally CPLR 3212 [b] ).
Gorzka v. Insulation Distributors, Inc., 28 A.D.3d 1191, 1192 (4th Dept. 2006). In the instant action,
it is not disputed by plaintiffs' counsel that the moving defendant was not identified in his client's
discovery responses, nor was either identified either during Mr. Cobb's examination before trial or
2
de bene esse video deposition, thus shifting the burden to the plaintiff to: '''show facts sufficient
to require a trial of any issue of fact' (CPLR 3212[b]; see, Zuckenuan v. City of New York, 49
N.Y.2d 557,562)." In re Eighth Judicial Dist. Asbestos Litigation, 269 A.D.2d 749,750 (4th Dept.
2000). To that end, " ... [P]laintiff must allege facts and conditions from which the defendant's
liability may reasonably be inferred, that is, that plaintiff worked in the vicinity where
defendant's products were used, and that plaintiff was exposed to defendant's product (Cawein
v. Flintkote Company, 203 A.D.2d 105, 105-106)." In re New York City Asbestos Litigation
[Conleau v. W.R. Grace & Co., et at], 216 A.D.2d 79,80 (lst Dept. 1994)[enlphasis added].
As more fully set forth above, it cannot be disputed that Mr. Cobb worked in the vicinity of boilers
at Schoeller Paper during tilue periods when the boilers were shut down, torn apart and overhauled,
and that in his opinion such work exposed him to asbestos during the replacement of packing and
valves. While he was unable to specifically identify the luanufacturer of the valves, this court does
not find that such failure is fatal to his claiIu, insofar as documents produced by his fornler enlployer
identify the n10ving defendant as the manufacturer of asbestos containing components of the boilers
at Schoeller Paper. [see, Lonnen v. A.O. Snlith Water Products, et aI, Misc.3d-, [Suprenle
Court, Erie County May 24,2007, Index No. 54149[NORJ], Young v. A.O. Sluith Water Products,
et aI., -Misc. 3d- [Supreme Court, Chen1ung Co., Febnlary 1,2005, Index No. 2003-1506]. Thus
in light of the foregoing and two well reasoned decisions cited above, on the record before it, this
court finds that the plaintiffs' opposition papers raise a reasonable inference that " ... plaintiffworked
in the vicinity of where the products of defendant[]. .. were being used, and that he was exposed to
defendant's product [citation omitted]." In re New York City Asbestos Litigation [Salerno v.
Garlock, Inc.], 212 A.D.2d 463, 464 (1 st Dept. 1995); see also, Berkowitz v. A.C. and S., Inc., 288
A.D.2d 148 (1st Dept. 2001); Lloyd v. W.R. Grace & Co.-Conn., 215 A.D.2d 177 (lst Dept. 1995);
Petteys v. Georgia Pacific Corp., 214 A.D.2d 363,(1 st Dept. 1995).
In the alternative, counsel for the moving defendant argues that summary judgment is appropriate
insofar as the record is bereft of any evidence that Mr. Cobb was exposed to any asbestos
components that it either manufactured or supplied. In essence, counsel argues that any exposure
to packing and gaskets by the plaintiff were to replacement parts, and as such, as a luatter of law, it
bears no responsibility to the plaintiff. In Berkowitz v. A.C. and S., Inc. 288 A.D.2d 148, 150( 1 st
Dept. 2001), the Appellate Division First Department held:
An issue of fact as to whether these pumps contained asbestos is raised by
defendants' admission that Worthington sometilues used gaskets and packing
containing asbestos; plaintiff Tancredi's production of a Worthington manual for the
power plant where he worked referring to an asbestos con1ponent in one of its pumps
at the plant; the testimony of defendants' witness that Worthington had
"specifications for sale of product to the government which required asbestos use";
the absence of evidence that Worthington deviated frolu the government's
specifications in the pumps it installed in ships during the relevant tilue periods; and
the testin10ny of certain of plaintiffs that they observed the hand making of asbestos
gaskets. Nor does it necessarily appear that Worthington had no duty to wanl
concerning the dangers of asbestos that it neither n1anufactured nor installed on its
punlps. While it may be technically true that its pumps could run without insulation,
defendants' own witness indicated that the government provided certain
3
specifications involving insulation, and it is at least questionable whether punlps
transporting steam and hot liquids on board a ship could be operated safely without
insulation, which Worthington knew would be made out of asbestos (cOlnpare.
Rogers v Sears, Roebuck & Co .. 268 AD2d 245, with Rastelli v Goodyear Tire &
Rubber Co .. 79 NY2d 289).
Id. at150.
In the instant action, there is no citation to or nlention of the Berkowitz decision by defendant's
counsel in his reply papers, rather counsel relies on three unreported trial court decisions in support
of his position. Here, the records produced by plaintiff delnonstrate both the existence of
defendant's products in the vicinity ofMr. Cobb and that such products contained asbestos. As the
court has previously repeatedly ruled in the past, the fact that the alleged exposure was to
"replacelnent" parts is, standing alone, insufficient to absolve the defendant of liability [see, See, Dec
v. 84 Lumber Company, et aI., - Misc.3d.-, Onondaga County Index No. 2008-7223, June 15,
2010 [NOR]; See, Tuttle v. A.W. Chesterton, et aI, Misc.3d-, Onondaga County Index No.
2006-5602, Novelnber 15, 2007 [NOR], Pokorney v. Foster Wheeler, -Misc.3d-, Onondaga
County Index No. 2006-3087, Decelnber 4,2008 [NOR]].
In light of the foregoing, the court finds that plaintiffs have clearly established that the decedent was
exposed to asbestos packing Inaterials while working on valves manufactured by the nl0ving
defendant. Furthermore, defendant has failed to distinguish the Appellate Division's decision in
Berkowitz, and to establish, through admissible evidence that it had no duty to warn Mr. Cobb with
respect to its identified products, specifically with respect to gaskets and packing Inaterials, and
accordingly denies defendant's Inotion with respect to the two identified conlponents.
Thus, defendant, Clark Reliance Corporation's motion for summary judglnent [New York Ci viI
Practice Law and Rules § 3212] is in all respects DENIED.
The foregoing constitutes the Letter Decision and Order of the court, to be filed and served by
plaintiffs' counsel with Notice of Entry on remaining defense counsel of record.
Dated: March 30,2011
at Oswego, New York.
ENTER,
Suprenle Court Justice
4
ST ATE OF NEW YORK
SUPREME COURT
ANNE M. FORTH, Individually and
COUNTY OF SCHENECTADY
as Executrix of the Estate of MAURlCE
P. FO RTH~ Deceased~
Plaintiffs,
-vs-
CRANE CO., et aL)
Defendants.
DECISION
AND ORDER
Index #2008-0491
RJI #46-1-08-0405
The plainti±I, Maurice P. Forth, con1menced the within action to recover damages for
personal injuries resulting from his exposure to various asbestos containing products. The
plaintiff conlmenced this action on March 18,2008, by filing a summons and complaint in the
Schenectady County Clerk's Office. Issue was subsequently joined and discovery has been
conducted pursuant to an expedited discovery schedule.
The plaintiff, rvIaurice P. Forth" died on April 13,2008. Anne M. Forth was substituted as
Executrix of the Estate of Maurice P. Forth.
The defendcult) Crane Co., has now 111ade a motion for summary judgment dismissing
plaintiffs' conlplaint and all crosS claiIns asserted against it pursuant to CPLR §3212. The
defendant seeks sUlnmary judgment on the theory that it is not liable for products it did not
manufacture~ supply or specify for llse with its valves. The defendant asserts that it merely
manufactured valves and pmups which were n1ade of metal, and difterent entities manufactured
the asbestos containing components which were incorporat~d into the pumps and valves~ or the
external insulation which suuounds the pmnps and valves.
The plaintiffs decedent, Maurice P. Forth, was bOln on November 3~ 1939, and was
approxinlately 68 years of age at the time of his death. For the purposes of this motion the
plaintiffs have alleged that he was exposed to asbestos containing materials while working at the
Knolls AtOll1lc Power Labs in Schenectady, New York.
The defendant, Crane Co., alleges that its products are not defective. The defendant claims
that its valves and pUlnps are made of metal and~ as such, could not release any asbestos. The
defendant further asserts that the materials described by the plaintiff: exterior insulation; flange
gaskets and packing D),aterials, were not nlanufactured or supplied by the defendant.
A proponent of a sUilllnary judgnlent nl0tion must make a prima facie showing of
entitlenlent to judgment as a matter of law, tendering sufficient evidence to demonstrate the
absence of any material issue of fact, Alvarez v. Prospect Hospital, 68 NY2d 320, 324 (1986). In
the context of an asbestos case, the defendant must make a prima facie sho'wing that its product
could not have c.ontributed to the causation of plaintiffs injury. Comeau v. W.R. Grac.e & Co.,
216 AD2d 79, 80 (l st Dept. 1995); Reid v. Georgia~Pacific Corp., 212 AD2d 462 (15t Dept.
1.995).
The Court also notes that since this is a Slli11mary judgJllent motion, it must view the
evidence in a light most favorable to the non-moving party, drawing all reasonable inferences in
favor of the non-moving party. Salerno v. Garlock, Inc., 212 AD2d 463,464 (1 St Dept. 1995);
Greco v. Boyce, 262 AD2d 734 (3 rd Dept. 1999).
In response to the defe·ndant's nlotion) the plaintiff relies upon the deposition testimony of
Patrick A. Cerqua. Mr. Cerqua testified that he was a co~worker of Mr. Forth and that they
\vorked together from 1960 to 1967 in the Heat Transfer Group at the Knolls Power facility. Mr.
Cerqua described Mr. Forth's work with and around the pumps and valves of the defendant
Crane Co .. Mr. Cerqua had specific recollections of the defendant's pumps and valves being in
the high temperature systems at Knolls.
The plaintiffs contend that the instant case involves a failure to warn theory which has been
asserted against the defendant, Crane Co. The plaintiffs take the position that the defendant had
a duty to warn about the dangers associated vvith changing gaskets, packing and extenlal
insulation with regard to the customary usage of the defendant's PUlUPS and valves. The plaintiff
argues that the defendant designed its valves in a manner which would necessitate continued
replacement of the gaskets, packing and external insulation. The plaintiffs assert that the
defendant had a duty to warn because of the inherent design features of its product. The plaintiff
insists that the defendant's valves and pun1ps, which were utilized in high temperature settings,
could only function properly if the dangerous asbestos containing cOlnponents 'were utilized and,
thus, the defendant had a duty to warn about the dangers associated with repair and n1aintenance
of its valves and pumps. The Court notes that the defendant disputes this contention and asserts
that the valves and plUl1pS can operate without asbestos.
In Berkowitz v. A.C. &. S., Inc., 288 AD2d 148 (lst Dept. 2001») the Court denied a prunp
manufacturer's motion for sUllllnary judgll1ent by finding a material issue of fact as to whether
the defendant had a duty to warn concenling the dangers of asbestos which it had neither
manufactured not installed on its pumps. The Court also notes that "failure to warn liability is
very fact specific, including such issues as obviousness of the risk and proximate cause", RQgers
v. Sears. Roebuck and Co., 268 AD2d 245 (1 st Dept. 2000). In the Rogers case, the Court was
not persuaded by the defen.danf s argument that it had no duty to warn about the hazards of
propane where its gas grill could not be used without a propane tank.
As stated in the Rogers case, failure to warn cases are very fact specific and will turn upon
the unique factual patterns which are presented in each individual case.
In the case at bar, Crane, for the purpose of this motion, acknowledges the inherent dangers
of asbestos prodncts when used in conjunction \vith its valves and pwnps. Although Crane
claims that its plU11pS and valves could work without asbestos containing materials, the defendant
has failed to establish that the pumps and valves which Mr. Cirqua described at the Knolls
facility~ could operate effectively in the high temperature settings without asbestos containing
m,aterials. The Court also notes that the defendant does not claim that the original pUlnps and
valves which were described by Mr. Cirqua were free of asbestos containing materials at the time
of their original installation at the Knolls facility. In view of the specific facts of this case, the
plaintiffs have raised a suftlcient issue of material fact which necessitates the denial of the
defendanf S Inotion for SlU1.1nlary judgment.
This vvriting constitlltes the Decision and Order of the Court .
Signed this
. '1 tiu {l -B-- Ii
(/' - dayof /~ ,2011;atJohnsto\Vl1,NewYork
I HON~. AULISI
Justice of the Supreme Court
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9/26/2011 9:31 AM NYSOCA -> 2123445461
STATE OF NEW YORK
SUPREME COURT
IN RE: SIXTH JUDICIAL DISTRICT
ASBESTOS LITIGATION
EDWARD R. SCHMERDER,
Plaintiff,
vs.
A.W. CHESTERTON COMPANY, et a!.,
Defendants.
BEFORE: HON. ROBERT C. MULVEY
Supreme Court Justice
APPEARANCES: WEITZ & LUXENBERG, P.e.
By: Adam Cooper, Esq_
Attorneys for Plaintiffs
700 Broadway
New York, New York 10003
K & L GATES, LLP
By: Eric RL Cottle, Esq_
Attorneys for Defendant Crane Co_
599 Lexington Avenue
New York, New York 10022
HISCOCK & BARCLAY
By: Linda l Clark, Esq_
Liaison Counsel for Defendants
80 State Street
Albany, New York 12207
COUNTY OF BROOME
Index No. CA2010-000927
DECISION & ORDER
Paqe 2 ~,II~ 5
9/26/2011 9:31 AM NYSOCA -> 2123445461
Mulvey, Robert c., J.
In this personal injury action arising out of alleged exposure to asbestos, the defendant
Crane Co_ has moved pursuant to CPLR 3212 for summary jUdgment dismissing the complaint
and all other claims asserted against it The plaintiff has submitted papers in opposition to said
motion_
Page 3 ~,,~ 5
The record reflects that, from 1975 to 1978, the plaintiff, Edward Schmerder, worked as a
boiler tender at the Goudey Power Plan for New York State Electric Corporation_ His duties
included repair and replacement of valves used in connection with the boilers_ ML Schmerder
testified that he believed that he was exposed to asbestos from installing and removing external
insulation (cement) and working with packing rope and flange gaskets associated with valves
manufactured by Crane Co_ and Pacific Valves, a predecessor_
Defendant Crane Co_ (hereinafter "Crane") contends it is entitled to summary jUdgment
on the ground that the plaintiff has failed to come forward with any admissible evidence that he
was exposed to asbestos fibers released by a Crane product Crane also argues that it is not liable
for flange gaskets, packing and external insulation manufactured, designed or supplied by a third-
party and installed or used and handled by the plaintiff in connection with work that he
performed on Crane valves that were present at his work site, the Goudey Power Plant
Crane asserts that there is no evidence that the plaintiff was exposed to asbestos fibers
emitted from a product that was manufactured or supplied by Crane or that any other gaskets,
packing or external insulation used by the plaintiff in connection with the repair and replacement
work he performed on Crane valves actually contained asbestos_ Crane points to deposition
testimony of the plaintiff where he acknowledged that, during the time he performed work on
Crane valves, he did not have any first hand knowledge that the gaskets, packing and insulation
materials that he used contained asbestos_ Crane argues that any suggestion that the materials
identified by the plaintiff exposed him to asbestos is purely speculative and inadequate to support
the plaintiff's claim against Crane and that such lack of evidence on a material point warrants
that Crane's motion for summary judgment be granted, citing Brisco-Reed v_ Silicon Valley
Group, 6 A_D3d 564_
Crane also contends that, even if the plaintiff has established that he worked with
asbestos causing materials, Crane is not liable, since it did not manufacture or supply any product
that may have released asbestos fibers to which the plaintiff claims he was exposed. Crane
makes reference to portions of the plaintiff's deposition testimony where he acknowledged that
he did not know the manufacturer of the gaskets, packing and insulation materials that he used in
connection with his repair and replacement work on the Crane and/or Pacific valves, that the
materials he used were given to him by his employer, that decisions regarding what materials he
would use and how to apply them were made by his employer and that he was not aware of the
1
9/26/2011 9:31 AM NYSOCA -> 2123445461
age, maintenance history or service history of the valves that he worked on at the Goudey Power
Plant Crane asserts that the question of whether one owes a legal duty is a question oflaw for
the courts and argues that it has no liability in this instance since a manufacturer of industrial
equipment owes no legal duty with respect to asbestos-containing materials made or supplied by
third-parties that are used with the manufacturer's equipment post-sale, relying primarily upon
Rastelli v_ Goodyear Tire & Rubber Co_, 79 N_Y2d 289; Braaten v. Saberhagen, 165 Wash.2d
373,385-388; and Kosowski v. AO_ Smith Water Products, et aL, Index No_ 000128/2010 [Sup_
Ct, Oneida Co_, McCarthy, J_, Jan. 5. 2011J-
Plaintiff opposes Crane's motion for summary judgment and contends that Crane has
failed to demonstrate its entitlement to summary judgment as a matter oflaw_ The plaintiff
argues that the record contains evidence that is sufficient to raise questions of fact as to whether
he was exposed to asbestos from asbestos-containing products manufactured or supplied by
Crane and/or from asbestos-containing products that were manufactured or supplied by third-
parties that were used in conjunction with Crane valves_ The plaintiff points to his deposition
testimony that he performed repair and replacement work on valves manufactured by Crane and
Pacific and that he believed that the flange gaskets, packing rope and exterior insulation cement
all contained asbestos_ The plaintiff also points out that the record contains answers to
interrogatories given by Crane in another asbestos case (Murphy v_ Owens Coming, et al. Texas,
March 16, 2000, case No. CC-99-08033-B) which state that "Certain of the valves had enclosed
within their metal structure asbestos containing gaskets, packing and discs," as well as
documentary evidence that Crane sold asbestos-containing Cranite gaskets, packing and discs
until sometime in the 1970's or 1980's_
The plaintifffurtber points to evidence in the record from Crane's own supply catalogs
and manuals that Crane offered for sale asbestos-containing insulating materials for use in
conjunction with its valves and recommended that asbestos-based insulations be used to insulate
their valves in high temperature applications_ Based upon such evidence, the plaintiff argues that
the defendant Crane knew or should have known that its valves would be used in conjunction
with asbestos-containing materials, that it had a duty to warn of the hazards associated with
asbestos and that, accordingly, Crane's motion for summary judgment should be denied, citing
Berkowitz v_ AC & S_, Inc_, 288 AD_2d 148_
Summary judgment maybe awarded when no issues of fact exist (see, CPLR 3212 [b];
Andre v. Pomeroy, 35 N .Y2d 361, 362). In order to be successful on a motion for summary
judgment, the moving party must make a prima facie showing of entitlement to judgment as a
matter of law by providing sufficient evidence to demonstrate the absence of any material issues
offact Wine grad v_ New York University Medical Center, 64 N.Y.2d 851,853. Failure on the
part of the moving party to make such a prima facie showing requires a denial of the motion,
regardless of the sufficiency of the opposing papers. Alvarez v_ Prospect Hospital, 68 N_Y2d
320, 324. However, once such a showing has been made, the burden shifts to the party opposing
the motion to produce evidence in admissible form that is sufficient to establish that material
2
9/26/2011 9:31 AM NYSOCA -> 2123445461
issues of fact exist which require a trial. Alvarez v. Prospect Hospital, supra, 68 N.Y.2d at p.
324; Zuckerman v. City of New York, 49 N.Y.2d 557,562.
Upon review and consideration of the papers submitted, the Court has determined that
Crane's motion for summary judgment must be denied.
Page 5 [pQ 5
Assuming that Crane made a prima facie showing of entitlement to summary judgment,
the Court finds that the plaintiff has come forward with evidence through the plaintiff s
deposition testimony, Crane's answers to interrogatories from another asbestos case and Crane's
own supply catalogs and manuals that is sufficient to raise questions offact as to whether he was
exposed to asbestos from asbestos-containing products manufactured or supplied by Crane and/or
asbestos-containing products that were made or supplied by third-parties but were intended by
Crane to be used in conjunction with its valves. Plaintiffs papers raise a reasonable inference
that he was exposed to asbestos while working on valves manufactured by Crane. (see, Salerno
v. Garlok Inc., 212 A.D.2d 463; Lloyd v. W.R. Grace & Co.-Conn., 215 A.D.2d 177; Cobb v.
A.O. Smith Water Products, et aL, Index No. 10-3677, [Sup. Ct., Oswego Co., McCarthy, J.,
March 30,2011]). The Court also fmds that Brisco-Reed v. Silicon Valley Group, cited by the
defendant is distinguishable on its facts since, in that case, the plaintiff failed to identify the
chemical of substance to which she was exposed or the entity from which it was released into her
workplace.
Further, with respect to the issue of whether Crane had a duty to warn of the hazards
associated with asbestos, Crane's motion for summary judgment must be denied since the Court
finds that the holding in Berkowitz v. A.C. & S., Inc., 288 A.D.2d 148, is applicable and
controlling in this instance. In denying the motion herein, this Court also relies upon the
decisions in Sawyer v. A.C. & S., Inc., 32 Misc.3d 1237(A) and Defazio v. A.W. Chesterton, 32
Misc.3d 1235(A) which cite Berkowitz, supra, and denied motions for summary judgment made
by Crane in asbestos cases which involved nearly identical issues and facts. (see also, Cobb v.
A.O. Smith Water Products, et aI., Index No. 10-3677 [Sup. Ct., Oswego County, McCarthy, J.,
Letter Decisions dated Aprll13, 2011 and March 30,2011]).
Accordingly, for the reasons set forth above, it is
ORDERED, that the motion of the defendant Crane Co. seeking summary judgment and
dismissal of the plaintiff s complaint and all cross-claims as against it is hereby denied in its
entirety.
motion.
This shall constitute the Decision and Order of the Court. No costs are awarded on the
Han. Robert C.
Mulvey
3
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SUPREME COURT OF THE STATE OF NEW YORK
COUNTY OF MONROE
GIFFORD R. MOSHER and
MARIE MOSHER, his spouse,
Plaintiffs,
V.
A.W. CHESTERTON COMPANY, et al
Defendants.
ANN MARIE TADDEO, J.
Index No. 201017914
DECISION & ORDER
In this asbestos personal injury action, Defendant Crane Co. moved for summary
judgment pursuant to CPLR §3212 to dismiss the complaint. Both parties having consented
to the Court rendering a decision based on the submission of papers only, and after careful
consideration of the attorney affirmation and Memorandum of Law submitted by Defendant's
counsel, Nicole M. Kozin, the affirmation and Memorandum of Law of Plaintiffs counsel,
Dennis P. Harlow, and a reply affirmation from Defendant's counsel Tara L. Pehush, as well
as the transcripts and exhibits attached thereto, the Court renders the following Decision and
Order:
The Plaintiff, Gifford R. Mosher, claims that he contracted lung cancer and asbestosis
as a result of exposure to asbestos he suffered while working at an Eastman Kodak facility
from 1967 until the late 1970's. Specifically, Mr. Mosher claims exposure to asbestos as a
result of working on Crane Co. valves at the above facility.
Plaintiff has presented credible evidence that during his time at Kodak, Mr. Mosher
worked on Crane valves. Plaintiff has also raised a triable question of fact as to whether
Crane, as a major supplier of valves, knew or should have known that asbestos was regularly
added to its products by their customers. Viewing the evidence submitted in the light most
favorable to Plaintiffs, it was foreseeable that Kodak would apply asbestos insulation and
gaskets to the Crane valves used in the Kodak facilities where Mr. Mosher was employed.
Crane, relying on Rastelli v Goodyear Tire & Rubber Co., 79 NY2d 289 and its
progeny, argues that they are not liable for exposure from asbestos-containing material
manufactured and supplied by third parties.
The Court agrees with Plaintiff s counsel that the facts of this case are more analogous
to those of Rogers v Sears, Roebuck and Co., 268 A.D.2d 245 than Rastelli. In Rogers, the
plaintiff was killed when a propane barbeque, sold by by defendants, exploded after decedent
attempted to replace an empty propane tank with a full one. Defendants argued that they had
no duty to warn of the dangers presented by a possible defect in a third parties' tank. The
Court disagreed, holding, in essence, that the grill could not be used without the tank.
This Court further finds that the facts here show that while it may be technically true
that Crane's valves could run without insulation, sufficient facts have been raised to suggest
that valves such as this regularly employed insulation which Crane knew would be made out
of asbestos. See, Berkowitz v. A.C. & s., Inc!., 288 A.D.2d 148,149.
The Court has considered defendants' other arguments and find them unpersuasive.
Accordingly, it is hereby
ORDERED, that Defendant Crane Co.'s motion for summary judgment is Denied in
all respects.
Dated: October 4, 2011
ENTER: ~~
Supreme Court Justice
Seventh Judicial District
2
SUPREME COURT-STATE OF NEW YORK
lAS PART-ORANGE COUNTY
Present: HON. ROBERT A. ONOFRY, A.J.S.C.
SUPREME COURT : ORANGE COUNTY
----------------- ----------- --------X
PAMELA FRANCK, Individually and as the
Personal Representative of the Estate of
John Edward Franck, III,
Plaintiff,
- against -
84 LUMBER CO., INC., et al.,
Defendants.
----------- ------------ -------------X
To commence the
statutory time period
for appeals as of right
(CPLR 5513[a]), you are
advised to serve a copy
of this order, with
notice of entry, upon
all parties.
Index No. 5716/2010
Motion Dates: February
3, 11, 14 & 24, 2011
The following papers numbered 1 to 62 were read and considered on
motions by each of the following defendants, pursuant to CPLR
§3212, for summary judgment dismissing the complaint and all cross
claims insofar as asserted against them: (1) BW/IP International
Co.; (2) Nash Engineering Company; (3) Courter & Company, Inc.; (4)
Yuba Heat Transfer, Division of Connell Limited-Partnership; (5)
Eastern Refractories Co., Inc.; (6) Crane CO.i (7) Cleaver Brooks,
Inc.; and (8) Howden Buffalo.
Notice of Motion (BW/IP International Co.) Foster
Affirmation- Exhibits A-F --Memorandum of Law ........... 1-4
Affirmation in Opposition- Dymond- Exhibits A-I- Memorandum
of Law................................................ 5-8
Reply Affirmation- Foster- Exhibits A-D - Memorandum
of Law ................................................. 9-11
Sur-Reply Affirmation- Dymond- Exhibit A .................. 12-13
Notice of Motion (Nash Engineering Company)- Sampar
Affirmation .............................................. 14
Affirmation in Opposition- Dymond- Exhibits A-I- Memorandum
of Law ................................................ 15-18
Reply Affirmation- Sampar- Exhibits A-G ................... 19-20
Notice of Motion (Courter & Company, Inc.)- Fuschetto
1
Affirmation- Exhibits A-F ............................. 21-22
Affirmation in Opposition- Dymond- Exhibits A-D ............ 23-24
Affirmation in Reply- Cook- Exhibits A-D .................. 25-26
Notice of Motion (Yuba Heat Transfer, Division of Connell-
Limited Partnership)- Montiglio Affirmation- Exhibits A-G .. 27-28
Affirmation in Opposition- Dymond- Exhibits A-K -
Memorandum of Law .................................... 29-31
Affirmation in Reply- Montiglio .............................. 32
Notice of Motion (Eastern Refractories Co., Inc.) - Baker
Affirmation- Exhibits A-C ............................ 33-34
Affirmation in Opposition- Dymond- Exhibits A-L
Memorandum of law .................................... 35-38
Reply Affirmation- Baker.................................... 39
Notice of Motion (Crane Co.)- Oxymendi Affirmation-
Exhibits A-M Memorandum of Law ..................... 40-43
Affirmation in Opposition- Dymond- Exhibits A-P ........... 44-45
Reply Affirmation- Oxymendi Exhibits A and B. ........... 46-47
Notice of Motion (Cleaver Brooks, Inc.)- Jones Affirmation-
Exhibits A-H ......................................... 48-50
Affirmation in Opposition- Dymond- Exhibits A-J -
Memorandum of law .................................... 51-54
Notice of Motion (Howden Buffalo, Inc.)- Angiolillo
Affirmation - Exhibits A-D ........................... 55-56
Affirmation in Opposition- Dymond- Exhibits A-I -
Memorandum of law .................................... 57-59
Reply Affirmation- Fegan- Exhibits A-D .................... 60-62
UPON the foregoing papers, it is ordered that each motion is
denied.
Factual and Procedural Background
The plaintiff, individually and as personal representative of
her husband, now deceased, commenced this action, inter alia, to
recover damages arising from mesothelioma. The plaintiff alleges
that the decedent's mesothelioma was caused by exposure to various
sources of asbestos from the 1960s until 1980. Prior to his death,
the decedent was deposed at length, during which he identified at
least three sources of potential exposure to asbestos. First, that
he was exposed to asbestos aboard ships (particularly in the engine
2
rooms) while serving in United States Navy (Oral Deposition taken
1/19/10 through 2/4/10 [hereinafter "TIf] at pp. 79-80, 99-101).
Second, that he was exposed to asbestos from brake and clutch work
performed on vehicles while employed, inter alia, at various
gas / s e rv ice s t at ions ( T at 13 9 - 4 0 , 2 53 - 54 , 3 71, 4 95 , 56 0) .
Finally, that he was exposed to asbestos from a broad variety of
sources (e. g. / gaskets [ valves [ pumps and insulation) after a large
industrial boiler imploded at the Roseton Powerhouse in the 1970s
(T at 198-201, 430). The implosion resulted in a complete tear
down and rebuilding of the boiler. The decedent testified that,
after the implosion, he could see visible particles of asbestos
floating through the air (T at 199). Further, that he was exposed
to asbestos from gaskets[ insulation, etc. when he assisted with
the rebuilding of the boiler (T at pp. 211-15, 225, 229, 559i
Videotaped Deposition taken 2/24/10 at pp. 58-62)
The defendants include parties who allegedly supplied
asbestos-containing products[ or whose products were used in
conjunction with asbestos-containing products. The passage of time
has created evidentiary problems for all parties, and many
defendants have been dismissed from the action. Eight of the
remaining defendants now move for summary judgment dismissing the
complaint and all cross claims insofar as asserted against them.
In general, the motions share a common argument and a common flaw[
to wit: In the main, the movants argue that the plaintiff will not
3
be able to prove a case as against them at trial because the
decedent did not specifically name their product during his
examination before trial. However, the decedent's testimony is not
the sole source of evidence. Rather l for example, in addition to
the potential of other witnesses, the plaintiff appears to have
access to thousands of documents concerning the Roseton Powerhouse
from this and other actions concerning asbestos.
Moreover, and significantly so, the burden of proof does not
shift on a motion for summary judgment unless and until the
proponent makes a prima facie showing of entitlement to judgment as
a matter of law. Stated otherwise, a summary judgment motion is
not a device by which a defendant may put the plaintiff to his or
her proof for the asking. Applying this standard, all of the
motions at bar are denied.
Discussion/Legal Analysis
In general, the parties have not cited, and research has not
revealed, any controlling case law from the Court of Appeals or the
Second Department expressly relevant to summary judgment motions in
asbestos exposure cases. Rather, the parties rely, in the main, on
precedent from the rst Department. Pursuant to such, a defendant
seeking summary judgment in an asbestos case must submit competent
evidence, in admissible form, sufficient to demonstrate, prima
facie, that its product was not a proximate cause of the decedent's
4
injury. Once shown, the burden then shifts to the plaintiff to
demonstrate facts and conditions from which the defendant's
liability "may reasonably be inferred," that is, that the injured
party worked in the vicinity of where the defendant's asbestos-
containing product was used, and that the injured party was exposed
to the defendant's product. In re New York City Asbestos
Litigation, 7 A.D.3d 285, 776 N.Y.S.2d 253 [l stDept.2004] i In re New
York City Asbestos Litigation, 216 A.D.2d 79, 628 N.Y.S.2d 72 [1st
Dept .1995] ); Reid v Georgia-Pacific, Corp., 212 A. D. 2d 462, 622
N.Y.S.2d 946 [l stDept.1995J; Diel v Flintkote Co., 204 A.D.2d 53,
611 N.Y.S.2d 519 [l stDept.1994]; Cawein v Flintkote Co., 203 A.D.2d
105, 610 N.Y.S.2d 487 [lstDept.1994J i In re New York City Asbestos
Litigation, 188 A.D.2d 214, 593 N.Y.S.2d 43 [l stDept.1993] aff'd,
82 N.Y.2d 821{ 605 N.Y.S.2d 3 (1993); see also In re Eighth
Judicial Dist. Asbestos Litigation, 28 A.D.3d 1191, 814 N.Y.S.2d
479 [4 thDept.2006] i Scheidel v A.C. and S. Inc., 258 A.D.2d 751, 685
N. Y. S. 2d 829 [3 rdDept .1999J .
BW/IP International Co.
The defendant BW/IP International Co. (hereinafter BW/IP) 1
In a pleading submitted in another action, BW/IP
described its corporate genesis as follows: BW/IP began as Byron
Jackson, established in 1872, which was acquired by Borg Warner
Corporation and operated as such from 1955 until 1983, at which
time it was reorganized into Borg Warner Industrial Products,
Inc., a subsidiary of Borg Warner Corporation, until its sale to
5
moves for summary judgment dismissing the complaint and all cross
claims insofar as asserted against them on the ground that the
plaintiff had not identified any product manufactured by it as a
potential source the decedent's asbestos exposure.
In opposition, the plaintiff asserts that pumps manufactured
by Byron Jackson (a predecessor of BW/IP) and insulated with
asbestos were present at the Roseton Powerhouse when the boiler
imploded. In support of this contention, the plaintiff submits,
inter alia, a letter from Burns & Roe Construction Corporation
(hereinafter Burns & Roe), a purchasing/construction agent for the
Roseton Powerhouse during the time in question, to Johns-Manville
Sales Corporation (hereinafter Johns-Manville), dated January 5,
1972. In the letter, Burns & Roe states an intent to enter into a
subcontract with Johns-Manville to provide insulation for the
boilers and piping at the plant (Exhibit C). Specifications
appended to the correspondence indicate that certain "Heater drain
pumps" to be insulated were manufactured by Byron Jackson.
In reply, BW/IP argues that the letter supra is hearsay not
subject to any exception, and is, at best, circumstantial evidence
of the presence of a Byron Jackson pump at the Roseton Powerhouse
and asbestos thereon. Further, BW/IP asserts, although hearsay
evidence may be considered in opposition to a motion for summary
BW/IP Acquisition Corp. in 1987. (Plaintiff's Exhibit H).
6
judgment, it cannot be the only evidence. Finally, BW/IP argues,
because its pumps did not contain or need asbestos-containing
insulation to operate, it had no duty to warn the decedent
concerning the danger of insulation containing asbestos being
applied to its products by third parties.
In further support of its motion, BW/IP proffers the affidavit
of Frank Costanzo, the former director of Engineering, Vernon
Operations of Flowserve Corporation [a successor to BW/IP].
(Exhibit C). Costanzo avers that he is the "Person Most
Knowledgeable for BW/IP, Inc.," and that he had testified on its
behalf on numerous occasions, and was generally familiar with the
specifications, design, manufacture and use of Byron Jackson pumps.
Costanzo avers that Byron Jackson pumps were comprised of metal and
were fully functional wi thout being insulated, and that Byron
Jackson never recommended that its pumps be insulated, or that they
be insulated with any particular material. Indeed, he asserts, the
pumps were built to pump condensate at about 165 degrees
Fahrenheit, and were not designed and fitted with "thermal (or any
other) insulation and/or lagging at the Byron Jackson factory."
Costanzo avers that he searched the records of BW/IP and determined
that Byron Jackson did not manufacture, provide or supply
insulation for the pumps at issue, and was not told that asbestos
insulation would be applied or used after the pumps were sold.
Finally, he avers, BW/IP never manufactured asbestos containing
7
insulation material.
In sur-reply, the plaintiff argues that Costanzo lacks
personal knowledge of the pumps at issue. In any event, the
plaintiff argues, BW/IP may be held liable for the failure to warn
if the use of asbestos-containing insulation on its pumps was
reasonably foreseeable.
In support of its motion, BW/IP, through the affidavit of
Costanzo, demonstrated, prima facie, that its pumps did not contain
asbestos during the time in question. However, BW/IP failed to
demonstrate, prima facie, that it did not have a duty to warn about
the use of its products with asbestos-containing products.
In so denying BW/IP's motion, the Court, as a preliminary
matter, begins its analysis with the basic proposition that a
manufacturer who places a defective product on the market which
proximately causes injury may be held liable for the same. Liriano
v Hobart Corp. , 92 N.Y.2d 232, 677 N.Y.S.2d 764 (1998) ,.
Rabon-Willimack v Robert Mandavi Corp., 73 A.D.3d 1007, 995
N.Y.S.2d 190 [2 DdDept.2010],. Speller v. Sears, Roebuck & Co. 100
N.Y.2d 38, 760 N.Y.S.2d 79 (2003). The product may be defective
because it has a manufacturing flaw, because of an improper I
defective design, or because the manufacturer failed to provide
adequate warnings regarding the use of the product. Similarly, a
manufacturer has a duty to warn against latent dangers resulting
from foreseeable uses of its products of which it knew or should
8
have known. Liriano v. Hobart Corp., supra; Rabon-Willimack v
Robert Mondavi Corp., supra. The duty to warn focuses principally
on the foreseeability of the risk and the adequacy and
effectiveness of any warning. Liriano v Hobart Corp., supra;
Rabon-Willimack v Robert Mondavi Corp., supra. Further, a duty to
warn may arise even for a product that was reasonably safe when
manufactured and sold, and that involved no known risks about which
a warning needed to be given, when defects or dangers are
thereafter revealed by a users operation, or through advancements
in the state of the art, with which a manufacturer is expected to
stay abreast, and brought to the attention of the manufacturer.
Liriano v Hobart Corp., supra; Cover v Cohen, 61 N.Y.2d 261, 473
N.Y.S.2d 378 (1984). The existence and scope of such a duty is
generally fact-specific. The duty to warn has been applied in
cases where a non-asbestos-containing product was used with an
asbestos-containing product of another. For example, in Berkowitz
v A.C. and S., Inc. (288 A.D.2d 148, 733 N.Y.S.2d 410
[l stDept.2001]) I the plaintiff was allegedly injured due to exposure
to pumps containing asbestos manufactured by the defendant
Worthington. The Berkowitz court held that there was a question of
fact whether the pumps contained asbestos. Further, the Berkowitz
court held:
Nor does it necessarily appear that Worthington had no duty to
warn concerning the dangers of asbestos that it nei ther
manufactured nor installed on its pumps. While it may be
9
technically true that its pumps could run without insulation,
defendants' own witness indicated that the government provided
certain specifications involving insulation, and it is at
least questionable whether pumps transporting steam and hot
liquids on board a' ship could be operated safely wi thout
insulation, which Worthington knew would be made out of
asbestos.
Berkowitz v. A.C. and S., Inc., supra, 149.
Further, the plaintiff appends to her motion papers a variety
of cases that found a duty to warn in cases involving asbestos used
on valves manufactured by the Crane Co. In the recent case of
Defazio v Chesterton [32 Misc.3d 1235(A), 2011 WL 3667717(2011) i
Heitler, J.], the court held:
Plaintiff's position is that defendant Crane Co. knew or
should have known that asbestos-containing components would
indeed be integrated with its valves for their intended use.
In this regard, plaintiff submits record evidence of Crane
Co. 's admission that certain of its valves contained asbestos
gaskets and packing into the 1980's, and its identification of
high quality asbestos packing as an original component of some
valves. Significantly, Crane Co. rebranded sheet packing
and/or gasket material manufactured by other companies as
"Crani te I II consisting of an asbestos composi tion
"unhesi tatingly recommended for a mul ti tude of services"
(plaintiff's Exh. H) for its customers' benefit in replacing
gaskets, and the like. Crane Co. also sold a myriad of other
asbestos-containing products , including insulation, millboard,
paper, roll board and cements, many of which were recommended
in a Crane Co. catalogue for use in high-temperature
applications of its product.
Defazio v Chesterton, 32 Misc.3d 1235. In reaching this
conclusion, the Defazio court discussed the seminal case of
Ratselli v Goodyear re & Rubber Co. [79 N.Y.2d 289 (1992)] I and
contrasted it with Berkowitz (supra). In Rastelli, the decedent (a
mechanic) was killed when a multi-piece tire rim exploded while
10
being mounted with a tire manufactured by the defendant Goodyear.
There was no allegation that the tire itself was defective, and
Goodyear did not manufacture the tire rim. The Court of Appeals
found that no liability could be imposed on Goodyear. In
discussing this holding, the Defazio court stated:
Rastelli and Berkowitz address two different situations.
In Rastelli, it was found there was no duty to warn because
the combination of a manufacturer's own sound product with
another defective product somewhere in the stream of commerce
not contemplated by the manufacturer was too attenuated to
impose such a duty. In upholding the trial court's denial of
summary judgment to a pump manufacturer in Berkowi tz, however,
the First Department addressed the situation where a
manufacturer knew or should have known that its product would
likely be combined with an inherently defective material for
its intended use/ and opined that in such a case there is a
duty to warn. The Curry court applied Berkowitz and denied
Crane Co. 's motion for summary judgment because/ among other
things: (1) expert testimony suggested that it was normal
industry practice for Crane Co. valves to be insulated with
asbestosj (2) flange gaskets used to connect Crane Co. valves
to other equipment ordinarily contained asbestos j and (3)
Crane Co.' s own product catalog listed asbestos-containing
insulating materials approved for use with its valves.
Defendant argues that it did not direct its customers to
use any type of replacement seal or insulation, that it had no
control over whether its valves were insulated with asbestos-
containing or non-~sbestos-containing products, and that
whether or not to insulate its products was a decision made
not by it, but by the owner of the valves. But the record here
demonstrates that Crane Co. knew or should have known of the
hazards associated wi th asbestos, and that for most high
temperature applications its valves would be insulated with
same. As set forth above, the submissions on this motion show
that Crane Co. designed and supplied its products with
asbestos-containing gaskets and packing. It advertised other
asbestos products, including cement and insulation. And Crane
Co. 's corporate drawings for its valves identify "deep
stuffing boxes filled with high quality asbestos packing" as
original components. (Plaintiff J s Exh. C). It is in this
regard that Crane Co. knew or should have known that the
11
asbestos - containing components in i ts valves would be replaced
with other asbestos-containing components.
Defazio v Chesterton, 32 Mise.3d 1235.
Here, BW/IP failed to demonstrate, prima facie, that it had no
duty to warn of the use of its product with the asbestos-containing
products of another.
The affidavit of Costanzo (supra) does not change this result.
Costanzo does not purport to have personal knowledge of whether
Byron Jackson pumps were at the Roseton Powerhouse or, if so,
whether they were insulated with asbestos-containing material or by
whom, or whether Byron Jackson/BW/IP recommended or was aware that
its pumps would be insulated with asbestos-containing materials.
Rather, Costanzo relies on his general knowledge of Byron Jackson
pumps and his review of company records. However, he does not
identify or append the records upon which he relied. Further, it
is unclear how some of the conclusions he reaches might have been
documented, e.g., that Byron Jackson was unaware that its pumps
would be insulated. The record appears to suggest that insulation
was applied copiously in and around the boiler.
Finally, the court notes, although BW/IP's arguments concern
solely pumps, BW/IP identified Borg Warner as one of its
predecessor corporations, and the decedent identified Borg Warner
clutches as a potential source of asbestos exposure (T at pp. 148-
29, 293-94, 399-400) i a potential source of asbestos exposure that
BW/IP does not expressly address in its motion papers.
12
Nash Engineering Company
Nash Engineering Company (hereinafter Nash) moves for summary
judgment dismissing the complaint and all cross claims as against
it on the ground that the plaintiff has not identified a product
manufactured by Nash as a potential source of the decedent's
asbestos exposure.
In opposition, the plaintiff asserts that Nash manufactured
pumps containing asbestos that were used in the boiler at the
Roseton Powerhouse and, therefore, were involved in the implosion
of the boiler. In support of this contention, the plaintiff
submi ts an information sheet prepared by Nash in an unrelated
litigation in which it stated that its pumps may have contained
asbestos packing and gaskets for the period from the 1940s to the
1980s (Exhibit I), and a bulletin published by Nash for the
installation of a Jennings Heating Pump Manifold, copyrighted in
1952, directing the use of asbestos packing (Exhibit H, p 14). As
evidence that Nash pumps were at the Roseton Powerhouse, the
plaintiff also submi ts : (1) several "Contract Status Reports"
purportedly prepared by the decedent's employer at Roseton
Powerhouse (i.e., Combustion Engineering), dated April 1970 through
April 1972, identifying Nash as one of the suppliers of "cond.
Pumps, Condrs., Condo Tubes, Vacuum Pumps, Vacuum Priming System"
(Exhibit E) i and (2) two invoices from Nash for products sold to
13
the Roseton Powerhouse, the first dated August 12, 1972, for
packing and shims, and the second, dated April 8, 1974, for a
gasket for Nash pump size AL-672 and bearings for a Nash pump size
CL-152 (Exhibit F) .
In reply, Nash notes that there is no testimony from the
decedent that a Nash pump was present at the Roseton Powerhouse.
Further, it argues, the decedent's testimony that he was exposed to
asbestos when he tore "everything apart" on the boiler after the
implosion is insufficient. Otherwise, Nash asserts, the Contract
Status Reports submitted by the plaintiff are not sworn and,
therefore, are hearsay and inadmissible. Thus, it argues, without
more, the reports do not form a valid basis to deny summary
judgment. In addition, Nash contends, even if the plaintiff
presented proof that Nash boilers and gaskets, etc. were present at
the Roseton Powerhouse, there is no evidence that the same were
involved in the boiler implosion and, therefore, a possible source
of the decedent's asbestos exposure. Rather, it argues, that would
be mere speculation.
In denying Nash's motion, Nash failed to demonstrate, prima
facie, that it provided no products to the Roseton Powerhouse
boiler, or that any products it did provide were not a potential
source of the decedent's exposure to asbestos. Indeed, from the
limited record made, it appears that Nash products were in fact
present at the Roseton Powerhouse at the time in question. Whether
14
the products were being used in the boiler that imploded l and l if
SOl whether they were a potential source of the decedent/s exposure
to asbestos l are matters for the plaintiff to prove at trial.
Thus l Nash/s motion is denied without need to consider the
plaintiff/s opposing papers.
Courter & Company, Inc.
The decedent testified that the people working on the boiler
at the Roseton Powerhouse after the implosion included steamfitters
from the defendant Courter & Company, Inc. (hereinafter Courter) (T
at pp. 464-67) The decedent testified that the workers identified
themselves as such (T at pp. 464-67). Further, he testified, he
was "right next to" Courter workers removing pumps and valves that
had insulation and gaskets containing asbestos "lots of times" (T
at pp. 4 66 - 6 9) .
Courter asserts that it has no record of performing any work
at the Roseton Powerhouse. Further, it notes, Courter is not
mentioned on a partial list of contractors that worked on the
project.
In opposition, the plaintiff notes that Courter submitted no
competent evidence in admissible form, but rather relies on an
affirmation of counsel.
In reply, Courter notes that the partial list of contractors
(supra) was produced by Consolidated Edison in the "NY Powerhouse"
15
trial in the early 1990s, and had been relied upon by counsel for
the plaintiff on several occasions. Thus, it argues, counsel
should not be permitted to now disavow the document. Moreover,
Courter notes, in response to interrogatories propounded by the
plaintiff, it had provided a pamphlet listing the places Courter
had performed work, which did not include the Roseton Powerhouse.
Finally, Courter argues, although it had produced only an attorney
affirmation in support of its motion, the plaintiff has yet to
prove that any Courter employees were at the Roseton Powerhouse,
and it was not Courter's burden to "prove a negative." Indeed, it
notes, Courter was dissolved in 1994, and there were no longer any
Courter employees to testify.
In denying Courter's motion, Courter failed to demonstrate,
prima facie, that it did not perform work at the Roseton Powerhouse
during the time in question, or that such work did not provide a
potenti source of the decedent's exposure to asbestos. Rather,
Courter relies on the hearsay and conclusory assertion of its
attorney, and a list of contractors that is expressly stated to be
partial. Finally, that Courter is now dissolved is not dispositive
of whether documentary or other evidence (e.g., the testimony of
former employees) is available in support of its contentions.
Indeed, it is being represented by counsel in this action. In sum,
Courter's motion is denied without need to consider the plaintiff's
opposition papers. In any event " even assuming, arguendo, that
16
Courter had demonstrated, prima facie r that it was not present at
the Roseton Powerhouse during the time in question, the decedent's
express testimony to the contrary is sufficient to raise a triable
issue of fact.
Yuba Heat Transfer, Division of Connell-Limited Partnership
The defendant Yuba Heat Transfer, Division of Connell-Limited
Partnership (hereinafter Yuba) moves for summary judgment
dismissing the complaint and all cross claims as against it on the
ground that the plaintiff has not identified any product
manufactured by Yuba as being present at the Roseton Powerhouse.
In opposition, the plaintiff asserts that Yuba manufactured
the boiler feedwater heaters, evaporators, coolers and exchangers
for the boiler that imploded, and that such products were insulated
with asbestos. As evidence that Yuba products were present at the
Roseton Powerhouse, and that the products contained or were
insulated with asbestos, the plaintiff submits a letter from the
Burns & Roe (supra) to the Johns-Manville Sale Corporation, dated
January 5, 1972, stating an intent to enter into a subcontract with
Johns-Manville to provide insulation for the Roseton Powerhouse
(Exh. E). The items to be insulated are identified as including
six feedwater heaters, a steam evaporator, a wash heat exchanger
and bearing water coolers manufactured by Yuba (Exh. E). The
plaintiff also submits the technical specifications from Robert A.
17
Keasbey Company, another insulation subcontractor for the Roseton
Powerhouse, which identifies items to be insulated as including six
feedwater heaters, a fuel steam evaporator, bearing water coolers
and a mechanical dust collector wash water heater manufactured by
Yuba (Exh F, Table 2). The insulation to be used is identified as
including that containing asbestos (Exh F, Table 3). Further, the
specifications call for the use of finishing cements containing
asbestos (Exh F, I & J). In addition, the plaintiff submits two
invoices from Yuba, one dated May 31, 1973, and the other dated
September 30, 1974, for the sale of gaskets to the Roseton
Powerhouse for some of the items identified in the Keasbey
specifications supra Exh H). The plaintiff asserts that the
imploded boiler was being rebuilt in 1974.
In reply, Yuba argues that the plaintiff failed to present any
evidence that the Yuba products identified supra were part of the
boiler that imploded. Further, Yuba asserts, it cannot be held
liable for insulation that was applied to its products by others
where, as here, there is no proof that its products could not be
operated safely without the same, or that Yuba knew or specified
that insulation containing asbestos be used on its products.
Finally, Yuba argues, there is no evidence that the gaskets it sold
to the Roseton Powerhouse contained asbestos.
denied.
Yuba's motion is
In so denying Yuba's motion, Yuba failed to demonstrate, prima
18
facie, that it provided no products to the Roseton Powerhouse
boiler l or that any products it did provide were not a potential
source of the decedent/s exposure to asbestos. Further, it failed
to demonstrate, prima facie l that it had no duty to warn of the use
of its product wi th any other asbes tos - containing product (see
supra). Indeed l although Yuba initially argued that there was no
proof that any of its products were at the Roseton Powerhouse I its
reply papers are, at the least, an implicit admission that they
were. There is no evidence of any inquiry by Yuba into whether
such products were used in or near the boiler at issue l or whether
such products were asbestos-containing or were designed or
designated to be used with asbestos-containing insulation and/or
gaskets, etc. Thus I Yuba's motion is denied wi thout need to
consider the plaintiff/s opposing papers.
Eastern Refractories Co., Inc.
The defendant Eastern Refractories CO' I Inc. (Eastern)2 moves
for summary judgment dismissing the complaint and all cross claims
as against it on the ground that the plaintiff did not identify any
product manufactured by Eastern as a potential source of the
decedent's asbestos exposure.
In opposition l the plaintiff argues that Eastern in fact
2 Refractory material is apparently generally made of clay
and designed to withstand high temperature applications (Exh L) .
19
provided and installed insulation containing asbestos at the
Roseton Powerhouse.
submits:
In support of this contention the plaintiff
(1) A letter from Burns & Roe (supra), dated August 20, 1971,
seeking approval for its award of the refractories contract to
Eastern (Exh C);
(2 ) Various invoices from Combustion Engineering (the
decedent's then employer), dated from April 1973 through August
1974, identifying Eastern as "our subcontractor" and providing
billing instructions for the work of the same (Exh D) i
(3) The refractory specifications for the Roseton Powerhouse's
boilers (Exh. E). The specifications identify Central Hudson as
the "customer," and "the Customer (through their Refractory
Supplier) /I as the supplier, and "the Customer (through their
Refractory Installer)" as the installer (Exh. E);
(4) A contract status report, dated December 7, 1971, inter
alia, identifying "Eastern Refrac" as a supplier of refractory
materials (Exh F) ;
(5) Documents indicating that various products identified in
the materials list for the refractory specifications supra
contained asbestos (Exh G-K); and
(6) Eastern's responses to interrogatories in In re New York
City Asbestos Litigation, which it stated that it sold, installed
and distributed insulation materials containing asbestos from the
20
1950s through the later 1970s (Exh L) .
In reply, Eastern argues that none of the documents submitted
by the plaintiff proves that Eastern actually agreed to perform the
refractory work for the Roseton Powerhouse. Eastern asserts that
this is noteworthy because the plaintiff was in possession of over
7 ,600 pages of documents from the decedent's former employer
(Combustion Engineering). In any event, Eastern argues, even if it
did perform the work, the plaintiff failed to demonstrate that the
decedent was exposed to asbestos due to work performed by Eastern.
Particularly, Eastern asserts, the decedent did not testify that he
worked around insulators from Eastern. Thus, Eastern argues, there
is no evidence that the decedent was in the vicinity of any
insulation work performed by Eastern after the boiler implosion.
Finally, it asserts, the decedent never identified any products
supplied by Eastern as being in the area where he worked.
Eastern's motion is denied. In so denying Eastern's motion,
Eastern failed to demonstrate, prima facie, that no work it
performed for, nor products provided to, the Roseton Powerhouse
were a potential source of the decedent's exposure to asbestos.
Thus I Eastern's motion is denied wi thout need to consider the
plaintiff's opposing papers.
Crane Co.
Crane Co. moves for summary judgment dismissing the complaint
21
and all cross claims as against it on the ground that it did not
manufacture, design, supply or install any gaskets, insulations,
etc. containing asbestos on the valves it provided to the Roseton
Powerhouse. Further, it argues I i ts valves did not require
asbestos-containing products to function, and it did not direct its
customers to use the same. Rather, Crane asserts, that decision
was made by the purchaser of the valve.
In opposition, the plaintiff notes that the decedent expressly
testified that he saw and was near Crane valves while working on
the imploded boiler (T at pp. 237, 433-36). Further, she asserts,
Crane completely failed to address the fact that its valves
contained asbestos; a finding which had been deemed a sufficient
basis to deny summary judgment to Crane in several other asbestos-
related cases. (Exhs. A through C) .
Crane likewise failed to demonstrate, prima facie, that its
valves were not a potential source of the decedent's exposure to
asbestos. Indeed, it does not appear genuinely disputed that Crane
valves were present at the Roseton Powerhouse and in fact contained
asbestos (see Plaintiff's Exhibits D through I). Further, Crane
failed to demonstrate, prima facie, that it had no duty to warn the
decedent about the use of i ts valves wi th asbestos - containing
products. Contrary to the contention of Crane, it is not
necessarily absolved of the duty to warn merely because its valves
did not require such products to function, and it did not direct
22
its customers to use the same. Rather, as discussed supra, the
issue turns on various factors, including the foreseeability of
such use. Liriano v Hobart Corp., supra; Cover v Cohen, supra;
Rabon-Willimaek v Robert Mandavi Corp., supra; Berkowitz vA.C. and
S., Inc., supra. Indeed, what appear to be identical arguments by
Crane were rejected in Defazio v Chesterton (32 Mise.3d 1235 [NY
Sup. 2011; Heitler, J.]), supra. Thus, Crane's motion is denied
without need to consider the plaintiff's opposing papers.
Cleaver-Brooks, Inc.
Cleaver-Brooks, Inc. (hereinafter Cleaver-Brooks) moves for
summary judgment dismissing the complaint and all cross claims
insofar as asserted against it on the ground that the plaintiff
failed to identify any products manufactured by it as a potential
source of the decedent's asbestos exposure.
In opposition, the plaintiff asserts that Cleaver-Brooks
supplied various component parts for the boilers at Roseton
Powerhouse that were either asbestos-containing or covered with
asbestos insulation. Further, she notes, Cleaver-Brooks recommended
asbestos-containing insulation be used with its products. In
support of these contentions, the plaintiff submits:
(1) Various contract status reports, dated from April 1970
through April 1972, inter alia, identifying Cleaver-Brooks as a
contractor for the boilers (Exh E) ;
23
(2) Invoices from Aqua-Chem, Inc. 3 , dated from December 1971
through February 1972, for parts sold to the Roseton Powerhouse,
including gaskets, packing, hoses, valves, etc. (Exh. F) i
(3) Literature from Cleaver-Brooks concerning its parts and
boilers (Exhs. G & H) i and
(4) Literature from Cleaver-Brooks recommending the use of
asbestos-containing products when installing its boilers (Exh. I &
J) .
Cleaver-Brooks likewise failed to demonstrate, prima facie,
that it provided no products to the Roseton Powerhouse boiler, or
that any products it did provide were not a potential source of the
decedent's exposure to asbestos. Further, it failed to demonstrate,
prima facie, that it had no duty to warn of the use of its product
with an asbestos-containing product of another. Thus, Cleaver-
Brooks motion is denied without need to consider the plaintiff's
opposing papers.
Howden Buffalo, Inc.
Howden Buffalo, Inc. (hereinafter Howden Buffalo) moves for
summary judgment dismissing the complaint and all cross claims as
against it on the ground that plaintiff failed to identify any
3 According to the plaintiff, Aqua-Chern was a predecessor
corporation to Cleaver-Brooks.
24
product manufactured by it as a potential source of the decedent's
asbestos exposure.
In opposi tion l the plaintiff asserts that Howden Buffalo
supplied forced and induced draft fans for the boilers at Roseton
Powerhouse that were either asbestos-containing or insulated with
asbestos. In support of these contentions I the plaintiff submits:
(A) Documents from Combustion Engineering (the decedent IS
former employer) I recommending the purchase of fans for the boilers
at Roseton Powerhouse from "HOWDEN-AP" (Exh C) ;
(B) A document from Combustion Engineering describing the
purchase of fans "per Howden" quotes, and describing the fans as
"Type Howden-Apco" (Exh E) ;
(C) Answers to interrogatories in an unrelated action in the
state of Ohio against Howden Buffalo (Exh G). The answers describe
Howden Buffalo as the successor in interest to Buffalo Forge
Company, which produced fans and blowers with asbestos-containing
component parts;
(D) Documents from Buffalo Forge I dated 1983, directing the
removal all asbestos from its products to reduce health risks and
production costs (Exh H) i and
(E) A sales brochure from Buffalo Forge noting the use of
asbestos in its products (Exh I)
In reply, Howden Buffalo argues that the plaintiff's
opposition is speculation and conjecture based upon hearsay
25
documents. Further, it asserts, not only did the decedent not
testify that he performed any work near forced or induced draft
fans, but also, there is no evidence whatsoever that any product
from Howden Buffalo was ever used in the Roseton Powerhouse.
Moreover t Howden-Buffalo argues t if the court were to consider the
hearsay documents proffered by the plaintiff, it should also
consider a document from Combustion Engineering that the plaintiff
posted on the Recordtrak website approximately one month after this
motion (appended as exhibit C to Howden-Buffalots motion papers).
The document, which lists the items to be insulated on the boilers t
does not mention fans.
In further support of its motion, Howden Buffalo submits an
affirmation from Richard O'Connell, the Vice President and Chief
Administrative Officer of Howden Group America t Inc. OtConnell
avers that Howden Buffalo began as the Howden Fan Company in 1993,
and changed its name to Howden Buffalo in 1999. He avers that
Buffalo Forge Co. existed as separate and apart from Howden Group
America l Inc., Howden Buffalo and Howden Fan Company until 1993,
when it was purchased by Howden Fan Company. FinallYt O'Connell
avers, al though Buffalo Forge manufactured products containing
asbestos, none of the other companies did.
Howden Buffalo likewise failed to demonstrate, prima facie,
that nei ther it nor any predecessor provided a product to the
Roseton Powerhouse boiler, or that any product it did provide was
26
not a potential source of the decedent's exposure to asbestos.
Indeed, the documents proffered by the plaintiff indicate that
Buffalo Forge may have provided products to the Roseton Powerhouse
that were asbestos-containing and/or were designed to be used with
asbestos-containing products. Further, Howden Buffalo did not
demonstrate, prima facie, that it is not a successor in interest to
Buffalo Forge. Indeed, the answers to the interrogatories supra
and the affidavit of O'Connell both indicate that it is. Thus,
Howden Buf.falo' s motion is denied wi thout need to consider the
plaintiff's opposing papers.
Accordingly, and for the reasons cited herein, it is hereby
ORDERED that the motions are deniedi and it is further,
ORDERED that the parties are directed to appear, through
respective counsel, for a Pre-Trial Conference on Thursday, December
8th , 2011, at, 9:00 A.M. at the Orange County Surrogate's Court House,
30 Park Place, Goshen, New York.
The foregoing constitutes the decision and order of the court.
Dated: October 20, 2011
Goshen, New York
o ry, A.J.S.C
27
TO: Belluck & Fox, LLP
Attn: Seth Dymond, Esquire
Attorneys for aintiffs
546 Fifth Avenue, 4th Floor
New York, New York 10036
Segal, McCambridge, Singer & Mahoney
Attorneys for Defendant BW/IP International Co.
830 Third Ave., Suite 400
New York, NY 10022
McGivney & Kluger, P.C.
Attorneys for Defendant Nash Engineering Company
80 Broad Street, 23~ Floor
New York, NY 10004
McGivney & Kluger, P.C.
Attorneys for Defendant Courter & Company, Inc.
80 Broad Street, 23~ Floor
New York, NY 10004
Ahmuty Demers & McManus
Attorneys for Defendant Yuba Heat Transfer
Division of Connell Limited-Partnership
200 I.U. Willets Road
Albertson, NY 11507
McMahon Martine & Gallagher
Attorneys for Defendant Eastern Refractories Co., Inc.
55 Washington Street
Brooklyn, NY 11201
K&L Gates, LLP
Attorneys for Defendant Crane Co.
599 Lexington Avenue
New York, NY 10022
Malaby & Bradley, LLC
Attorneys for Defendant Cleaver Brooks, Inc.
150 Broadway, Suite 600
New York, NY 10038
Cullen & Dykman, LLP
Attorneys for Defendant Howden Buffalo
17 Montague Street
Brooklyn, NY 11201
28
FILED: ERIE COUNTY CLERK 02/27/2015 09:34 AM INDEX NO. 800805/2013
NYSCEF DOC. NO. 240 RECEIVED NYSCEF: 02/27/2015
At a Civil Special Tenn, Part 33, of the
Supreme Court, held in and for the
Counties of Niagara and Erie, State of
New York, on the 22nd day of January,
2015
PRESIDING: :! HON. DEBORAH A. CHIMES
11
Ii
Ii
II
SUPREME COURt: STATE OF NEW YORK .
·i I
EIGHTH JUDICIAL DISTRICT
I, Ii " , I
In Re: EIGHTH JUDICIAL DISTRICT ASBESTOS LITIGATION
STATE OF NEW YORK
I
SUPREME COURT COUNTY OF ERIE
'I
II
SHARON MAJOR) as Executrix of the Estate of
DAVID MAJOR, apd SHARON MAJOR, Individually,
Plaintiff
vs. DECISION AND ORDER
Index No. 800805/2013
A.O. SMITH WATER PRODUCTS COMPANY et aI.,
Defendants
I il
David Major y A.a. S~ith Water Products, et al.,
Index No. 800805120B
:1
Defe~dant Viking Pump, Inc. (Viking), a pump manufacturer, moves for summary
"
judgment pursuant to CPLR §3212.
'I
In su~port of its motion, defendant submitted its Notice of Mati on dated ,
November 26, 2014'i the Affidavit in Support of Jonathan H. Dominik, ,Esq. , with
'I
attached exhibits sJorn to on November 26,2014 and the Reply Affidavit of Mark S.
'~ 'Ii
i
Nemeth, Esq., with *ttached exhibits, sworn to on December 22,2014.
,j
In opposition::to the motion, plaintiff submitted the Affirmation of Ambre J.
Brandes, Es'q, with attached exhibits, dated December 12,2014.
Plaintiffs de~edent, David Major, died on March 5, 2014 of mesothelioma at age
'I
74. Prior tohis death Mr. Major had brought a personal injury action. After his death, his
wife and Executrix,i:Sharon Major, was substituted as plaintiff and filed amended
complaints,'1 adding 6auses of action for wrongful death.
'I
Mr. Major worked as a boilermaker and welder from 1958 through approximately
!
1977 at a variety of,!work sites including factories, commercial buildings, municipal
buildings and ships}1 Plaintiff alleges that her decedent was exposed to asbestos when he
I
and others ~n his pr~sence worked on pumps, including pumps manufactured by Viking.
i
Pplaintiff claims th9 exposure, from removal and installation of asbestos-containing
I .!
gaskets and, packing in and On pumps caused decedent's mesothelioma.
Ii
I
Viking mov~!s for summary jUdgment On the ground that plaintiff has failed to
,
I
prove that her decedent was exposed to asbestos from a Viking product. Defendant
Page 2 of 7
David Major v A.a. Smith Water Products, et a!.,
Index No. 80080512013
maintains th~t deced4nt's deposition testimony is insufficient Ito do so. In support of its
motion, Vik!ing alsoiisubmits the affidavit of John Peterson, its former employee. The
I' "I,
affidavit recites: that!: Viking manufactured only positive displacement pumps, not
I Ii
centrifugal pumps; t~at not all its pumps manufactured before 1968 used asbestos-
containing ~acking Jr gaskets; that it did not manufacture asbestos-containing material
which were !"compohents" of its pumps; that its pumps were not used to pump steam, that
Viking nev~r specifi:ed the use of exterior insulation with its pumps;- and that without the
serial numb~r, it is i~possible to determine if a Viking Pump used asbestos - containing
gaskets or packing .• :
In oppositio~, plaintiff points out that decedent in his deposition testimony
, I
explained how he "'J;as exposed to and inhaled dust from his work, and similar work
"
performed by others, in his presence, with asbestos -containing gaskets, packing and
Ii
insulation material used in and on pumps. Further, plaintiff notes that decedent
Ii
II
specifically identifi€d Viking pumps as a source of his exposure to asbestos several times
'I
during his depositioh. Plaintiff maintains that decedent's exposure to asbestos from
il
Viking pu~ps was ~stablished by this testimony. In addition, plaintiff submits Vikings'
" I'
answers to interrogatories filed in the New York City Asbestos Litigation which
I'
"concedes" that betWeen 1911 and 1986, asbestos-containing gaskets and packing were
" ,
1 Mr. Major ~as deposed over 15 days in the fall of20l3.
Page 3 of 7
1
'I
David Major y A. 0. Sn?,ith Water Products, et al.,
Index No. 8008051201~
used in som~ oftheir:ipumps and that Viking provided pump repair kits to its customers
I' ,
which "may have inbluded" those asbestos-containing components. She also
includes a depositiori of John Peterson taken in another case in 2009 which contains the , .
same information. Finally, plaintiff submits Viking documents concerning its knowledge
,~ .j
of the hazar~s of as~estos and its phase-out in 1986.
Plaintiff mai~tains that the Peterson affidavit is self-serving, lacks any evidentiary
I 'i
support for ~iking'~ motion and is "clearly untrue". Further, she alleges that the affidavit
is made without reviealing the source of Mr. Peterson's knowledge or how he arrived at
'\
his opiniom
In reply, Viking reiterates its position that plaintiff has not proven through her
'i
decedent's testimon;y that he was exposed to asbestos from a Viking product, defends the
Peterson affidavit and argues that it is not responsible for asbestos- containing products it
i
did not maIiufacture.
As an initial'!matter, it is noted that there is no Gorzka problem, defendant Viking
"
is identified in plai~tiff' s answers to interrogatories2•
As this court. has observed numerous times, it is well established in asbestos
'I '
litigation tliat to goiiforward with a motion for summary judgment dismissing a complaint,
• 2 "OT]he failpre of plaintiffs to name [defendant] as a supplier in their response to
mterrogatories constitutes an admission that [ defendant] was not a source of an asbestos-
containing product tq which plaintiff was exposed and [defendant] thus established that
plaintiffs' action against it has no merit." (Matter of Eighth Jud Dist. Asbestos Litig. [Gorzka),
28 AD3d 1191, 1192 [2006] [internal citations omitted]).
Page 4 of 7
'm
-----------------------~ .. ----
,I
David Major v A.a. S,Jith Water Products, et ai.,
Index No. 800805/2013
a defendant ~ust pre~ent admissible evidence showing that the complaint has no merit
(see Diel v Flintkotel:Co., 204 AD2d 53 [1994]), or affirmatively establish the merit of its
defense (see'! Higgins; v Pope, 37 AD3d 1086 [2007]; Refermat vA. C. AND S., Inc., 15
AD3d 928 [2005]; R:pot v Eastern Refractories Co., Inc., 13 AD3d 1187 [2004]; Matter
of Eighth JJd. Dist. Asbestos Litig. [Takacs], 255 AD2d 1002 [1998]; Reid v Georgia-
Pacific Corp., 212 AD 2d 462 [1995]).462 [1995]). A defendant must make a prima
:
facie showing that it,s products could not have contributed to the causation of decedent's
illness (see ~efermcir, Root, Takacs). A party moving for summary judgment cannot meet
its burden by merely noting gaps or weakness in its opponent's proof (see Allen v
~ 1
General Elec. Co., ~2 AD3d 1163, 1165 [2006], citing Orcutt v American Linen Supply
Co., 212 AI;)2d 979,980 [1995]; Edwards v Arlington Mall Assocs., 6 AD3d 1136
[2004]).
Here;, defendant Viking has not met its burden of establishing that its products
::
II
could not hllve contributed to plaintiffs disease. Even if Viking had met its burden,
plaintiffs h~ve succ~eded in raising issues of fact requiring resolution by a jury.
• :1
t . .
As ~as been held time and again: "The function of a court entertaining a motion
.1
for summary judgmbnt is one of issue finding, not issue determination" Sillman v'
'; I!\
Twentieth Century JFox Film Corp., 3 NY2d 395, 404 [1957]. Here, whether the burden
has shifted or not, the deposition testimony and discovery responses submitted on this
motion reveal triabl6 issues of fact. Even at trial, plaintiffs are not required to show the
Page 5 of 7
II
-------,,.. -
ij
David Major v A.O S~ith Water Products, et a!.,
!, ~!
Index No. 800805/2013
precise cause~ of the d~ages sought, but are only required to show facts and conditions from
which defend~t's liaJ1ility can be reasonably inferred (see Matter of Eighth Jud. Dist. Asbestos
:1 !!
!I
Litig. [Reynolds], 32 AD3d 1268 [2006]).
Any Inconsisiencies in the testimony or issues of credibility are to be resolved by
I Ii
I
the trier of fact, not the court on a motion for summary judgment (see Dollas v W.R.
'I
Ii
Grace and Co., 225 !iAD2d 319 [1996]; Matter of Eighth Jud. Dist. Asbestos Litig. .
"ij
,I
[Heckel], 269 AD2d 749 [2000]). Moreover, in deciding a motion for summary
,:
judgment, '~the couri should draw all reasonable inferences in favor of the nonmoving
party and should not pass on issues of credibility" Assaf v Ropog, 153 AD2d 520, 521-
ir I:
522 [1989] [internal citations omitted].
il I!
'I
Finally, Viking's contention that it is not responsible for asbestos- containing
~ j \
component~ it did not manufacture does not comport with New York law and does not'
Ii
"
'I
establish the merits:lof its defense. These arguments have been rejected in both Matter of
I
1< "I
New York (;ity Asbestos Litig. [KonstantiniDummitt], 121 AD3d 230 (l5t Dept, 2014)
:I
and Matter, of Eighth Jud. Dist. Asbestos Litig. [Suttner] , (Sup Ct, Erie County, March
:1 i!
15,2013, Lane, J., !ndex No. 2010-12499) aff'dfor reasons stated below 118 AD3d 1369
" Ii
(4th Dept 2014) Iv i,ranted 24 NY3 d 907 ( 2014). There is no reason presented here to
,
!~ Ii
depart from precedent.
'i
For the reas?ns stated, Viking has failed to show that plaintiffs complaint is
without merit and its motion is denied.
Page 6 of 7
David Major vA. 0. Srhith Water Products, et at.,
:~ ·1
Index No. 800805/2013
'I
Based on the fciregoing, it is hereby
ORDI!:RED, th.~t defendant Viking's motion for summary judgment is denied.
ii
SO O~DERED:
DATED: Buffalo, New York
February 26,1;2015
,
. FEB 2 6 2015 .
By.I41~f~
MAl PAZIK
I c.;OU CLERK
!lAda~
HON. DEBORAH A. CHIMES
Justice of the Supreme Court
Page 70f 7