To be Argued by:
CAITLIN J. HALLIGAN
(Time Requested: 30 Minutes)
APL-2014-00261
Erie County Clerk’s Index No. I2010-12499
Appellate Division, Fourth Department Docket No. CA-13-01373
Court of Appeals
of the
State of New York
JOANN H. SUTTNER, Executrix of the Estate
of GERALD W. SUTTNER, Deceased, and Individually
as the Surviving Spouse of GERALD W. SUTTNER,
Respondent,
– against –
A.W. CHESTERTON COMPANY, et al.,
Defendants,
CRANE CO.,
Appellant.
BRIEF FOR APPELLANT
ERIC R.I. COTTLE
ANGELA DIGIGLIO
K&L GATES LLP
599 Lexington Avenue
New York, NY 10022
Tel.: (212) 536-3900
Fax: (212) 536-3091
NICHOLAS P. VARI
MICHAEL J. ROSS
K&L GATES LLP
Of Counsel
K&L Gates Center
210 Sixth Avenue
Pittsburgh, PA 15222
Tel.: (412) 355-6500
Fax: (412) 355-6501
CAITLIN J. HALLIGAN
GIBSON, DUNN &
CRUTCHER LLP
200 Park Avenue
New York, NY 10166
Tel.: (212) 351-3909
Fax: (212) 351-6209
Attorneys for Appellant
Date Completed: December 22, 2014
CORPORATE DISCLOSURE STATEMENT
Pursuant to 22 NYCRR 500.1(±), Crane Co. states that it is a Delaware
Corporation that has no corporate parent or affiliate. The following entities are the
direct and indirect subsidiaries of Crane Co.:
ARDAC Inc., Armature d.o.o., Automatic Products (UK) Ltd., B. Rhodes &
Son Ltd., Barksdale GmbH, Barksdale, Inc., CA-MC Acquisition UK Ltd., Coin
Controls International Ltd., Coin Holdings Ltd., Coin Industries Ltd., Coin
Overseas Holdings Ltd., Coin Pension Trustees Ltd., Conlux Matsumoto Co. Ltd.,
CR Holdings C.V., Crane (Asia Pacific) Pte. Ltd., Crane (Ningbo) Yongxiang
Valve Company Ltd., Crane Aerospace, Inc., Crane Australia Pty. Ltd., Crane
Canada Co., Crane Composites Ltd., Crane Composites, Inc., Crane Controls, Inc.,
Crane Electronics Corporation, Crane Electronics, Inc., Crane Environmental Inc.,
Crane Fengqiu Zhejiang Pump Co. Ltd., Crane Fluid & Gas Systems (Suzhou) Co.
Ltd., Crane Global Holdings S.L., Crane GmbH, Crane Holdings (Germany)
GmbH, Crane International Capital S.a.r.l., Crane International Holdings, Inc.,
Crane International Trading (Beijing) Co. Ltd., Crane Ltd., Crane Merchandising
Systems Ltd., Crane Merchandising Systems, Inc., Crane Merger Co. LLC, Crane
Middle East & Africa FZE, Crane Ningjin Valve Co., Ltd., Crane North America
Funding LLC, Crane Nuclear, Inc., Crane Overseas, LLC, Crane Payment
Solutions GmbH, Crane Payment Solutions Ltd., Crane Payment Solutions Pty
1
Ltd., Crane Payment Solutions Sri, Crane Payment Solutions Inc., Crane Pension
Trustee Company (UK) Limited, Crane Process Flow Technologies (India) Ltd.,
Crane Process Flow Technologies GmbH, Crane Process Flow Technologies Ltd.,
Crane Process Flow Technologies S.P .R.L., Crane Process Flow Technologies
S.r.l., Crane Pumps and Systems, Inc., Crane Resistoflex GmbH, Crane SC
Holdings Ltd., Crane Stockham Valve. Ltd., Croning Livarna d.o.o., Delta Fluid
Products Ltd., Donald Brown (Brownall) Ltd., ELDEC Corporation, ELDEC
Electronics Ltd., ELDEC France S.A.R.L, Flow Technology Inc., Friedrich
Krombach GmbH Armaturenwerke, Hattersly Newman Hender Ltd., Hydro-Aire,
Inc., Inta-Lok Ltd., Interpoint S.A.R.L., Interpoint U.K. Limited, Kessel (Thailand)
Pte. Ltd., Krombach International GmbH, MCC Holdings, Inc., MEl Australia
LLC, MEl Auto Payment System (Shanghai) Ltd., MEl Conlux Holdings (Japan),
Inc., MEl Conlux Holdings (US), Inc., MEl de Mexico LLC, MEl, Inc., MEl
International Ltd., MEl Payment Systems Hong Kong Ltd., MEl Queretaro S. de
R.L. de CV, MEl Sari, Merrimac Industries, Inc., Mondais Holdings B.V., Money
Controls Argentina SA, Money Controls Holdings Ltd., Multi-Mix
Microtechnology SRL, NABIC Valve Safety Products Ltd., Nippon Conlux Co.
Ltd., Noble Composites, Inc., Nominal Engineering, LLC, P.T. Crane Indonesia,
Pegler Hattersly Ltd., Sperryn & Company Ltd., Terminal Manufacturing Co.,
Triangle Valve Co. Ltd., Unidynamics I Phoenix, Inc., Viking Johnson Ltd., W.T.
11
Armatur GmbH, Wade Couplings Ltd., Wask Ltd., Xomox A. G., Xomox
Chihuahua S.A. de C.V., Xomox Corporation, Xomox Corporation de Venezuela
C.A., Xomox France S.A.S., Xomox Hungary Kft., Xomox International GmbH &
Co. OHG, Xomox Japan Ltd., Xomox Korea Ltd., Xomox Sanmar Ltd., and
Xomox Southeast Asia Pte. Ltd.
iii
TABLE OF CONTENTS
DISCLOSU'RE STATEMENT ................................................................................... i
TABLE OF CITATIONS ......................................................................................... iv
PRELIMINARY STATEMENT ............................................................................... 1
QUESTION PRESENTED FOR REVIEW .............................................................. 4
JURISDICTIONAL STATEMENT .......................................................................... 5
STATEMENT OF THE CASE ................................................................................. 6
I. Statement of Procedural History ..................................................................... 6
II. Statement of Facts ........................................................................................... 8
A. The Nature of Gerald Suttner's Work at General Motors .................... 8
B. The Crane Co. Equipment at Issue ..................................................... 11
C. The Trial Court's Decision & the Appellate Division's
Affirmance ofthe Judgment ............................................................... 14
ARGUMENT .......................................................................................................... 15
I. The Court Should Affirm the Control-Based Analysis of Rastelli
and Reject the "Replacement Part" I "Endorsement" Theory
Seemingly Applied by the Appellate Division Here ............................... 15
A. The Appellate Division's "Replacement Part" Theory Is
Inconsistent With the Control-Based Approach to Legal
Responsibility Taken in Rastelli ......................................................... 17
1. The Pertinent Legal Question Under Rastelli Is the
Defendant's Control Over the Harm-Causing Product,
and Not the Extent to Which the Harm-Causing Product
was "Similar" to Some Other Product.. .................................... 18
IV
2. There Is No Discernible Policy Rationale Underlying the
Appellate Division's "Replacement Part" Theory ................... 22
3. The Analysis of Dummitt Does Not Support the Result
Here, and the Analysis Here Does Not Support the
Result in Dummitt ..................................................................... 27
4. Sage Does Not Support the Appellate Division's
Decision .................................................................................... 29
B. Courts Across the Country Have Uniformly Rejected a
"Replacement Part" Theory of Legal Responsibility ......................... 31
C. Even if Some Form of"Replacement Part" Test Were
Applicable Here, There Would Be No Evidence to "Pass" It. ........... 35
II. The "Component Parts" Doctrine Supports Judgment in Crane Co.'s
Favor .............................................................................................................. 39
CONCLUSION ....................................................................................................... 42
v
TABLE OF CITATIONS
NEW YORK CASES
Anandv. Kapoor, 61 A.D.3d 787,877 N.Y.S.2d 425 (2d Dep't 2009) .................. 26
Codlingv. Paglia, 32 N.Y.2d 330,345 N.Y.S.2d 461 (1973) ................................ 23
Gebo v. Black Clawson Co., 92 N.Y.2d 387, 681 N.Y.S.2d 221 (1998) ................ 25
Gray v. R.L. Best Co., 78 A.D.3d 1346,
910 N.Y.S.2D 307 (3d Dep't 2010) ......................................................... 39-40
Hamilton v. Beretta U.S.A. Corp., 96 N.Y.2d 222,
727 N.Y.S.2d 7 (2001) ............................................................................ 20, 22
Hansen v. Honda Motor Co., 104 A.D.2d 850,
480 N.Y.S.2d 244 (2d Dep't 1984) ............................................................... 32
In re Eighth Judicial Dist. Asbestos Litig. (Drabczyk), 92 A.D.3d 1259,
938 N.Y.S.2d 715 (4th Dep't 2012) ..................................................... 7, 21-23
In reNew York City Asbestos Litigation
(Dummitt & Konstantin), 121 A.D.3d 230,
990 N.Y.S.2d 174 (1st Dep't 2014) ..................................... 2, 7, 16, 26-28, 39
Leahy v. Mid-West Conveyor Co., Inc., 120 A.D.2d 16,
507 N.Y.S.2d 514 (3d Dep't 1986) ............................................................... 40
MacPherson v. Buick Motor Co., 217 N.Y. 382 (1916) ......................................... 15
Micallefv. Miehle Co., Div. ofMiehle-Goss Dexter, Inc., 39 N.Y.2d 376,
384 N.Y.S.2d 115 (1976) .............................................................................. 24
Munger v. Heider Mfg. Corp., 90 A.D.2d 645,
456 N.Y.S.2d 271(3d Dep't 1982) ................................................................ 40
Northern Assurance Co., Ltd. v. Nick, 203 A.D.2d 342,
610 N.Y.S.2d 307 (2d Dep't 1994) ................................................................ 26
.
Vl
Rastelli v. Goodyear Tire & Rubber Co., 79 N.Y.2d 289,
582 N.Y.S.2d 373 (1992) ....................................................................... passim
Rogers v. Sears, Roebuck and Co., 268 A.D.2d 245,
701 N.Y.S.2d 359 (1st Dep't 2000) .............................................................. 22
Sage v. Fairchild-Swearingen Corp., 70 N.Y.2d 579,
523 N.Y.S.2d 418 (1987) ......................................................................... 29-31
Sprung v. MTR Ravensburg, Inc., 99 N.Y.2d 468,
758 N.Y.S.2d 271 (2003) ......................................................................... 23-24
Sukljian v. Charles Ross & Son Co., Inc., 69 N.Y.2d 89,
511 N.Y.S.2d 821 (1986) ................................................................... 22-23, 25
Tortoriello v. Bally Case, Inc., 200 A.D.2d 475,
606 N.Y.S.2d 625 (1st Dep't 1994) .............................................................. 20
CASES FROM OTHER JURISDICTIONS
Artiglio v. General Electric Co., 61 Cal.App.4th 830,
71 Cal.Rptr.2d 817 (Cal. Ct. App. 1998) ...................................................... 39
Baughman v. General Motors Corp., 780 F.2d 1131 (4th Cir. 1986) ............... 32, 34
Braaten v. Saberhagen Holdings, 165 Wash.2d 373,
198 P.3d 493 (2008) ........................................................................... 16, 31-33
Conner v. Alfa Laval, Inc., 842 F.Supp.2d 791 (E.D.Pa. 2012) .............................. 33
Escola v. Coca Cola Bottling Co. of Fresno, 24 Cal.2d 453,
150 P.2d 436 (1944) ...................................................................................... 16
Faddish v. Buffalo Pumps, 881 F.Supp.2d 1361 (S.D. Fla. 2012) ............... 24-25, 33
Ford Motor Co. v. Wood, 119 Md.App. 1,
703 A.2d 1315 (Md. Ct. Spec. App. 1998) .................................. 17, 32-33,35
In re Deep Vein Thrombosis, 356 F.Supp.2d 1055 (N.D. Cal. 2005) ..................... 25
Vll
In re Garlock Sealing Techs., LLC, 504 B.R. 71 (Bankr. W.D.N.C. 2014) ............. 9
In re Temporomandibular Joint (TMJ) Implants Prods. Liab. Litig.,
97 F.3d 1050 (8th Cir. 1996) ......................................................................... 39
John Crane, Inc. v. Scribner, 369 Md. 369, 800 A.2d 727 (2002) ......................... 17
Kiefer v. Crane Co., No. 12 Civ. 7613 (KBF), 2014 WL 6778704
(S.D.N.Y. Feb. 3, 2014) ................................................................................ 21
Lindstrom v. A-C Prod. Liab. Trust, 424 F.3d 488 (6th Cir. 2005) ........................ 33
May v. Air & Liquid Sys. Corp., 219 Md.App. 424,
100 A.3d 1284 (Md. Ct. Spec. App. 2014) ............................ 17, 19, 21, 33-34
Niemann v. McDonnell Douglas Corp.,
721 F.Supp. 1019 (S.D. Ill. 1989) ........................................................... 30, 33
0 'Neil v. Crane Co., 53 Cal. 4th 335,
266 P.3d 987 (2012) ............................................................... 16, 24, 31-33, 37
Simonetta v. Viad Corp., 165 Wash.2d 341, 197 P.3d 127 (2008) ......................... 33
Sindell v. Abbott Labs, 26 Cal.3d 588, 607 P.2d 924 (1980) ............................. 15-16
Surre v. Foster Wheeler LLC, 831 F.Supp.2d 797 (S.D.N.Y. 2011) ........... 20-21, 33
Taylor v. Elliott Turbomachinery Co., Inc., 171 Cal.App.4th 564,
90 Cal.Rptr.3d 414 (Cal. Ct. App. 2009) ...................................................... 39
STATUTES AND RULES
11 u.s.c. § 524(g) ..................................................................................................... 9
22 NYCRR 500.14(a)(3) ........................................................................................... 5
CPLR § 4401 ......................................................................................................... 5, 7
Vlll
CPLR § 4404 ......................................................................................................... 5, 8
CPLR § 5602 ............................................................................................................. 5
OTHER AUTHORITIES
Mark A. Behrens & Margaret Horn, Liability for Asbestos-Containing
Connected or Replacement Parts Made by Third Parties: Courts Are
Properly Rejecting this Form of Guilt by Association, 37 Am. J. Trial
Advoc. 489 (2014) ................................................................................... 33-34
Restatement (Second) of Torts§ 402A (1965) ................................................. 16, 26
Restatement (Third) of Torts: Products Liability§ 5 (1998) .................................. 39
lX
PRELIMINARY STATEMENT
Rastelli v. Goodyear Tire & Rubber Co., 79 N.Y.2d 289, 582 N.Y.S.2d 373
(1992), established the sound, widely followed legal principle that a seller of a
product that is used with defective materials made and supplied by others has no
duty to warn of the third parties' defective products, even if it was "foreseeable"
that the products could be used together. That longstanding and fundamental
principle applies regardless of whether the allegedly defective third-party product
at issue replaced another part that was supplied with a piece of equipment at the
time of its sale.
In this case, it is undisputed that (1) Crane Co. did not manufacture, sell, or
otherwise place into the stream of commerce any alleged injury-causing asbestos-
containing product to which Gerald Suttner was exposed, (2) Crane Co. had no
connection with any asbestos fiber to which Mr. Suttner was exposed, (3) Crane
Co. supplied Mr. Suttner's employer, General Motors Company, with equipment
that would function with or without asbestos-containing materials, and ( 4) Crane
Co. did not exercise any control over, or have any input in, the decisions of Mr.
Suttner's employer, General Motors, as to how to use the Crane Co. valves that it
installed in the Tonawanda, New York plant at which Mr. Suttner worked.
Yet, in spite of this evidence, and without articulating one consideration of
policy supporting its holding, the trial court departed completely from Rastelli and
1
upheld a jury verdict that found Crane Co. liable for injuries allegedly caused by
asbestos-containing products that Crane Co. did not make, sell, or in any sense
control. The Appellate Division accepted the trial court's conclusions in a three-
sentence opinion containing no analysis.
Although the trial court's amorphous analysis and the Appellate Division's
terse decision lead to potentially varying interpretations, they appear to endorse a
"test" for legal responsibility that would make an equipment manufacturer
responsible for asbestos fibers contained in "replacement parts," even when the
equipment manufacturer did not make, sell, or in any way control the choice or use
of those "replacement parts." This "test" for legal responsibility is vastly different
from the "test" for legal responsibility recently articulated by the First Department
when faced with a similar factual scenario in the matter of Dummitt v. A. W.
Chesterton, which is currently pending before this Court at docket number APL-
20 14-00209. Indeed, the "test" for legal responsibility articulated in Dummitt does
not support the judgment here.
This Court should adopt neither the First Department's nor the Fourth
Department's "test" for duty, because both tests are outcome-driven, and thus
vague, overly broad, inconsistent with this Court's precedents, and completely
detached from any considerations of the policies underlying product liability
doctrine. Instead, the Court should affirm the control-based stream-of-commerce
2
analysis articulated in Rastelli, reverse the Appellate Division's decision, and
restore a clear and consistent rule of law for imposing liability in cases like this
one.
3
QUESTION PRESENTED FOR REVIEW
1. Is Crane Co. legally responsible for asbestos contained in
"replacement parts" that Crane Co. did not manufacture or supply, when Crane Co.
controlled neither (1) the selection and use of the asbestos-containing "replacement
parts," nor (2) the individuals or entities who chose to use asbestos-containing
"replacement parts" with Crane Co. products?
Appellate Division's Answer: Yes.
Correct Answer: No.
4
JURISDICTIONAL STATEMENT
Crane Co. seeks relief from a final order of the Appellate Division which
affirmed a judgment awarding Plaintiff money damages upon a jury verdict. The
Court has jurisdiction over this appeal pursuant to CPLR § 5602(a), because the
action originated in the Supreme Court of the County of Erie, the Appellate
Division issued a final order that is not appealable as a matter of right, and this
Court granted Crane Co.'s motion for leave to appeal by Order dated October 21,
2014. (COA 7100.1)
Crane Co. preserved the issues presented here by, inter alia, moving for
judgment during trial pursuant to CPLR § 4401 on the theory that Plaintiff
presented no evidence that Crane Co. made or sold any of the asbestos-containing
materials that Mr. Suttner encountered, and such evidence was necessary to sustain
Plaintiffs claims. (R. 830-31, 1168-75.) Crane Co. filed a post-trial motion under
CPLR § 4404( a) moving the court for judgment on this same ground (R. 14 ), and
then presented the same issue to the Appellate Division (COA 7102).
1 Pursuant to 22 NYCRR 500.14(a)(3), Crane Co. submits herewith a new and full
record, which includes the complete record filed with the Appellate Division (cited
herein as "R.") and the additional materials required by section 500.14(a)(3) (cited
as "COA").
5
STATEMENT OF THE CASE
I. Statement of Procedural History
This lawsuit arises from occupational exposures to asbestos that Plaintiffs
decedent, Gerald Suttner, allegedly sustained from 1958 through 1960 while
working at a Bethlehem Steel facility and from 1960 through 1979 while working
at a General Motors plant in Tonawanda, New York. (R. 84-86.) Plaintiff, Joann
Suttner, and Gerald Suttner initiated this action through a summons and complaint
filed on December 15, 2010 in the Supreme Court of the County of Erie, alleging
that Crane Co., along with thirty-six other named defendants/ caused Gerald
Suttner to be exposed to asbestos-containing materials that ultimately caused him
to contract mesothelioma, a cancer of the lining of the lung. (R. 63-86.) Following
Gerald Suttner's death, Plaintiff was substituted as the sole party plaintiff.
Plaintiff proceeded to trial against Crane Co. on October 9, 2012. At trial,
Plaintiff limited her theories of liability against Crane Co. to failure-to-warn
claims, sounding in negligence and strict liability. (R. 14, 26-27, 75-83.) During
the trial, Plaintiff produced no evidence that Crane Co. made, supplied, or
2 Included among these defendants were entities that allegedly manufactured
and/or designed certain of the asbestos-containing materials with which Mr.
Suttner worked (like Owens-Illinois, Inc.), entities that allegedly sold and/or
distributed those asbestos-containing materials (like Insulation Distributors, Inc.),
and numerous entities that, like Crane Co., did not make or sell any of the
asbestos-containing materials at issue, but whose products or equipment were used
with or near asbestos-containing materials made and sold by others (like Cleaver-
Brooks Company and Copes-Vulcan, Inc.).
6
otherwise placed into the stream of commerce any asbestos-containing material to
which Mr. Suttner may have been exposed. Accordingly, Crane Co. twice moved
for judgment pursuant to CPLR § 4401, arguing that-under Rastelli and other
New York precedents-Crane Co. was not legally responsible for asbestos-
containing materials that it did not make, sell, or otherwise place into the stream of
commerce. (R. 830-31, 1168-75.) The trial court ultimately denied those motions.
On October 23, 2012, the jury returned a verdict for Plaintiff, awarding a
total of$3,000,000-all in non-economic damages-and finding Crane Co. four
percent liable.3 (R. 9.) The jury allocated the majority of the fault (60%) to the
four entities that allegedly made and sold the asbestos-containing materials with
which Mr. Suttner most frequently worked, Johns-Manville, Owens-Coming,
Eagle-Picher, and Garlock, and split the remaining fault among entities that
distributed these materials (like Buffalo Insulations and Root, Neal & Co.) and
entities that, like Crane Co., did not make or sell any of the asbestos-containing
materials with which Mr. Suttner worked, but rather supplied GM with equipment
that it used in its industrial plant. (R. 34.)
3 The unwarranted expansion of the "recklessness" exception to CPLR § 160 1
(which Crane Co. addresses at length in its briefing in the appeal in the Dummitt
matter, supra), coupled with increasing efforts by plaintiffs in "asbestos" cases
across New York to argue for an entitlement to punitive damages arising from
conduct that occurred decades ago (see, e.g., Drabczyk, infra), means that even in
cases that, like this one, involve low fault allocations, there is a significant
potential for defendants that played little to no role in bringing about a plaintiffs
injury to face excessive damages awards in New York "asbestos" cases.
7
On November 6, 2012, Crane Co. moved the trial court to set aside the
verdict and enter judgment in its favor pursuant to CPLR § 4404. (R. 14.) The
trial court denied that motion through a Decision and Order entered on March 18,
2013, and subsequently entered judgment for Plaintiff in the amount of
$126,424.99 on Apri115, 2013. (R. 8-11, 41.) Crane Co. appealed to the
Appellate Division on May 7, 2013. (R. 2-7.) The Appellate Division affirmed the
trial court's judgment through an Order entered on March 21,2014 (COA 7102)
and, through a later Order entered on June 13, 2014, denied Crane Co.'s motion for
leave to reargue or appeal to this Court (COA 7103). This Court granted Crane
Co. leave to appeal on October 21, 2014. (COA 7100.)
II. Statement of Facts
A. The Nature of Gerald Suttner's Work at General Motors.
Plaintiff alleged that Gerald Suttner was occupationally exposed to asbestos
during his career as a pipefitter during two different periods of employment: from
1958 through 1960 while working at a Bethlehem Steel facility, and from 1960
through 1979 while working at a General Motors ("GM") plant in Tonawanda,
New York (sometimes referred to as the "Chevy plant"). (R. 84-86.) The trial
evidence regarding Crane Co. products focused entirely on the latter period.
After an initial apprenticeship, Mr. Suttner spent 20 years working as a
pipefitter assigned to the "pump shop" at the GM plant in Tonawanda. (R. 851,
8
868.) Pipefitters fabricate and assemble piping systems by fusing together
different types of materials through precise cutting, threading, bending, and
welding. During his years in the pump shop, Mr. Suttner was allegedly exposed to
asbestos-containing insulation materials manufactured by Johns-Manville, Eagle-
Picher, and Owens-Coming ("Kaylo" brand)4 (R. 856-58) as well as asbestos-
containing gasket and packing sealing products manufactured by Garlock5 (R. 855,
881-83).
In general, gaskets are used to create a mechanical seal which fills the
space between two or more surfaces in order to prevent leakage from or into
the joined objects while under pressure. Gaskets are commonly produced by
cutting from sheet materials such as paper, rubber, metal, silicone, cork, and
other materials. Packing materials perform a similar function with metal
valves. Gaskets and packing materials for specific applications may contain
asbestos. Plaintiff claimed that Mr. Suttner's exposure to these products
caused him to develop mesothelioma. (R. 292.)
4 These now-bankrupt entities are among those recently described in one opinion as
the "big dusties"-the makers and sellers of asbestos-containing insulation
materials that have largely become insolvent on account of asbestos litigation and
that have formed personal injury trusts under 11 U.S.C. § 524(g) to compensate
asbestos plaintiffs like the Plaintiff here. See In re Garlock Sealing Techs., LLC,
504 B.R. 71 (Bankr. W.D.N.C. 2014). The jury allocated these three entities in
particular 45% of the causal fault. (R. 34.)
5 Garlock Sealing Technologies, LLC, which the jury allocated 15% of the fault (R.
34), has also declared bankruptcy. See supra, note 4.
9
GM purchased insulation material from two local suppliers-Buffalo
Insulation and Niagara Asbestos. (R. 858.) GM used the insulation material to
insulate various components of its piping systems, including pipes, boilers, steam
traps, and valves. (R. 856, 859, 865-66, 895.) GM also purchased the Garlock
gaskets and packing used in the plant from a local supplier-Root Neal. (R. 869,
882-83.) The evidence at trial demonstrated that the piping system at GM
generally featured "flanged" connections, meaning pieces of adjacent piping, as
well as piping and equipment, were joined together at bolted flanges. (R. 871.)
"Flange gaskets" were used to seal these connection points. (!d.) Mr. Suttner
testified that he fabricated "thousands" of flange gaskets in his career as a pipefitter
for GM. (R. 867; see also R. 872-73 [Mr. Suttner testifying he made "thousands"
of gaskets used on "hundreds" of pumps during his career].) To do so, he would
cut individual gaskets out of large sheets of the Garlock gasket material acquired
from Root Neal. (R. 855, 871-72.) GM used packing (which is a rope-like
material wrapped around the stem of a valve to prevent leakage) to seal the internal
workings of valves, pumps, and other pieces of equipment. (R. 870, 881-82.) The
trial evidence established that both gaskets and packing are "wear items" that wear
out over time and need to be replaced with some frequency. (R. 560-61.)
10
B. The Crane Co. Equipment at Issue.
In general, a valve is a device that regulates, directs, or controls the flow of a
fluid (gases, liquids, fluidized solids, or slurries) by opening, closing, or partially
obstructing various passageways. Crane Co. valves are used to control the flow of
fluids through piping systems. (R. 1052-53.) Crane Co. was one of several brands
of valves that Mr. Suttner recalled in the piping system in the GM plant. (R. 879.)
There was no evidence that Crane Co. supplied any of the gaskets or packing that
Mr. Suttner encountered while working with Crane Co. valves. (R. 842.) 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, and those components may
or may not have contained asbestos at the time of sale. (R. 433.) Mr. Suttner
testified that he removed flange gaskets used between Crane Co. valves and
adjacent piping and repacked Crane Co. valves. (R. 880-82.) Those flange gaskets
were not included with the valves at the time of sale.
However, as noted above, these parts were "wear" items, and the GM plant
at issue was constructed in the 1930s, some three decades prior to when Mr.
Suttner began working there. (R. 1054.) Thus, there was no evidence that Mr.
Suttner ever encountered a bonnet gasket or piece of stem packing that was
incorporated originally within a Crane Co. valve (whether asbestos-containing or
otherwise), and the circumstantial evidence would suggest the exact opposite,
11
based upon the passage of time (for example, downstream users may or may not
have used asbestos packing to replace worn out packing, but Crane Co. has no
control over that). Moreover, the evidence showed that all replacement gaskets
and packing were sold to GM and made by third parties, not Crane Co. (R. 855,
869, 880-83.) And there was no evidence that Crane Co. valves required the use of
asbestos-containing materials, of any kind, to operate. (R. 588-89.) The valves
functioned with non-asbestos-containing seals as well. (!d.)
There was also no evidence that Crane Co. played any role in incorporating
its valves into the piping systems at GM (R. 1053, 1056), or in selecting the
gaskets and packing that GM would use with those valves in the years after their
purchase (R. 884, 1056). The evidence did establish that Crane Co.'s valves were
made to withstand certain maximum pressures and temperatures, and they could be
used in a variety of settings, depending on the purchaser's choice. For instance,
Mr. Suttner recalled working with a number of Crane Co. gate valves. (R. 879-80.)
According to Crane Co.'s 1960 Catalog, which was entered into evidence, Crane
Co. steel gate valves were "frequently considered general utility valves" and were
"used in a variety of services, often at pressures and temperatures lower than the
recommended maximum." (R. 5673.)
Although GM chose to use asbestos-containing gaskets and packing with at
least some of Crane Co.'s valves following their sale, the design of Crane Co.'s
12
valves was compatible with both asbestos-containing and non-asbestos-containing
gasket and packing seals. (R. 588-89, 1054-55.) Accordingly, these valves did not
require asbestos-containing materials to function. (!d.) Throughout the period of
Mr. Suttner's employment, various non-asbestos-containing gaskets and packing,
such as metal gaskets, were commercially available and suitable for use with
valves in steam systems. (R. 1054-55, 6053-54.) Indeed, the 1950s and 1960s
Crane Co. product literature entered into evidence at trial demonstrates that some
(indeed, seemingly many) of the Crane Co. valves that were rated for high-
temperature, high-pressure services and manufactured during the relevant times
were supplied with metal (soft iron or soft steel) bonnet gaskets, not asbestos ones.
(R. 4032, 4049, 4058, 5680, 5702.) Crane Co. had absolutely no control over the
types of materials that GM chose to use with Crane Co. valves post-sale.
The trial evidence demonstrated that, in addition to using asbestos-
containing gaskets and packing manufactured by others with Crane Co.'s valves,
GM insulated certain of those valves with asbestos-containing insulation materials
manufactured and supplied by still other third parties. (R. 895.) There is no
evidence that Crane Co. manufactured or supplied any of these insulation materials
(R. 895-96), and Plaintiff made no claim that Crane Co. could be held legally
responsible for insulation materials made and supplied by third parties that were
13
used with or near its valves (R. 1236). There was no evidence that GM looked to
Crane Co. in any way for guidance on these issues.
C. The Trial Court's Decision & the Appellate Division's
Affirmance of the Judgment.
Despite controlling law to the contrary, Plaintiff argued at trial that Crane
Co. had a legal duty to warn of any asbestos-containing gasket or packing products
that GM used with Crane Co.'s valves, at any time after their sale, regardless of the
length of elapsed time or who made or supplied those products. The trial court
accepted Plaintiffs argument. (R. 23.) In instructing the jury, the trial court stated
that a manufacturer is liable for any injury resulting from the use of any
"replacement parts that are foreseeably incorporated into its products" (R. 134 7),
and used a verdict sheet that permitted the jury to impose liability upon Crane Co.
for any asbestos-containing gasket or packing that Mr. Suttner encountered during
the "maintenance and/or repair" of Crane Co. valves (R. 26).
The Appellate Division affirmed the judgment for some undefined "reasons"
stated by the trial court in the opinion it issued in support of its denial of Crane
Co.'s motion for post-trial relief. (COA 7102.)
14
ARGUMENT
I. The Court Should Affirm the Control-Based Analysis of Rastelli and
Reject the "Replacement Part" I "Endorsement" Theory Seemingly
Applied by the Appellate Division Here.
In Rastelli v. Goodyear Tire & Rubber Co., 79 N.Y.2d 289, 298, 582
N.Y.S.2d 373, 377 (1992), this Court 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.
The rule of Rastelli derives from one of the most basic policies of modem
product liability law (and, indeed, all of tort law)-the notion that one is
responsible only for things that are within his or her control. See MacPherson v.
Buick Motor Co., 217 N.Y. 382, 389 (1916) ("If the nature of a thing is such that it
is reasonably certain to place life and limb in peril when negligently made, it is
then a thing of danger. Its nature gives warning of the consequences to be
expected. If to the element of danger there is added knowledge that the thing will
be used by persons other than the purchaser, and used without new tests, then,
irrespective of contract, the manufacturer of this thing of danger is under a duty to
make it carefully."); Sindell v. Abbott Labs, 26 Cal.3d 588, 597, 607 P.2d 924, 928
(1980) ("[A]s a general rule, the imposition of liability depends upon a showing by
the plaintiff that his or her injuries were caused by the act of the defendant or by an
15
instrumentality under the defendant's control."); accord Restatement (Second) of
Torts§ 402A (1965); Escola v. Coca Cola Bottling Co. of Fresno, 24 Cal.2d 453,
150 P.2d 436 (1944) (Traynor, J., concurring); O'Neil v. Crane Co., 53 Cal.4th
335, 266 P.3d 987 (2012).
That rule should apply equally in all product liability actions, whether
focusing on "asbestos" products or other types of products. Yet, although courts
across the United States have looked to Rastelli to define the "majority rule
nationwide" in cases like this one, see Braaten v. Saber hagen Holdings, 165
Wash.2d 373, 385, 198 P.3d 493, 498 (2008), the Appellate Division did not
follow Rastelli and its control-based approach to the question of legal
responsibility here. Instead, in a three-sentence ruling, the Appellate Division
broke sharply from Rastelli and, instead, upheld the imposition of legal
responsibility on Crane Co. pursuant to a legal "test" that is seemingly unique to
"asbestos" cases and inconsistent both with Rastelli, and with the "test" articulated
by the First Department in the Dummitt matter (Docket No. APL-2014-00209) to
govern the same inquiry. For all of the reasons stated in its briefing in the Dummitt
matter and below, the Court should not adopt the "significant role" test utilized by
the First Department in that case, and it should likewise reject the "replacement
16
part" I "endorsement"6 theory seemingly adopted by the Appellate Division here,
because neither New York law in the product liability area, nor the policy
underlying that body of law, supports any such approach.
A. The Appellate Division's "Replacement Part" Theory Is
Inconsistent With the Control-Based Approach to Legal
Responsibility Taken in Rastelli.
It is difficult, if not impossible, to discern the precise legal reasoning that led
the Appellate Division to its holding, because its opinion states only that the court
affirmed the judgment for "reasons" stated by the trial court in its own opinion
(COA 7102), without identifying the exact "reasons" that supported the imposition
of legal responsibility here, as opposed to those that did not. Nevertheless, based
upon the trial court's opinion and the argument Plaintiff made in the Appellate
Division to support it, it appears that the Appellate Division adopted a rule that
would make a manufacturer of one product legally responsible for certain products
6 An argument similar to the one Plaintiff raised here was styled as an
"endorsement theory" by the Maryland Court of Special Appeals in Ford Motor
Co. v. Wood, 119 Md.App. 1, 703 A.2d 1315 (Md. Ct. Spec. App. 1998), abrogated
on other grounds in John Crane, Inc. v. Scribner, 369 Md. 369, 800 A.2d 727
(2002), because it appears to proceed from the (unsupported) notion that, by
supplying a piece of equipment with a particular part, the equipment manufacturer
is tacitly "endorsing" the use of similar parts when the original ones wear out and
must be replaced and, by so doing, assumes a legal responsibility for products that
it did not make, sell, control, or have anything to do with. For the reasons stated in
Wood, which apply equally here, the Wood court rejected this "endorsement
theory." See also May v. Air & Liquid Sys. Corp., 219 Md.App. 424, 433-34, 100
A.3d 1284, 1289-90 (Md. Ct. Spec. App. 2014) (regarding the Wood holding as
consistent with 2014 jurisprudence).
17
used with its own post-sale if those products "replaced" some similar parts
supplied with the manufacturer's product originally. In light of the lack of analysis
in the Appellate Division's decision, however, this may very well be an over-
reading of that decision and, even if it is not, there is no indication in the Appellate
Division's decision or the underlying trial court decision as to what the exact
contours of this test for legal responsibility may be (i.e., exactly which types of
"replacement" parts become the legal responsibility of the manufacturer and which
do not) or why, as a policy matter, recognizing such a test is desirable.
1. The Pertinent Legal Question Under Rastelli Is the
Defendant's Control Over the Harm-Causing Product, and
Not the Extent to Which the Harm-Causing Product was
"Similar" to Some Other Product.
The trial court opinion that the Appellate Division referenced in its own
ruling is, itself, ambiguous as to the exact "rule" of law that applied in this case
(and, as noted, completely silent on the policy rationale for recognizing any such
rule). The trial court began its analysis by stating a series of general propositions
of law, including that a manufacturer has a duty to warn of dangers resulting from
"foreseeable" uses of its product and that a manufacturer may have a continuing
duty to warn under certain circumstances, none of which supports imposing on one
entity a legal responsibility for products made and sold entirely by others. (R. 17-
18.)
18
After noting these well-established, but factually inapplicable,7 propositions,
the trial court fashioned an entirely novel rule of law: that 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.) This "rule," is correct only in so far as it recognizes that foreseeability is
legally irrelevant in the analysis of duty in a case like this one. See also May,
supra, 219 Md.App. at 437, 100 A.3d at 1291-92 (holding that "foreseeability of
harm is neither dispositive nor even material to the existence of a duty" in a case
like this one, and rejecting the conclusion of the Appellate Division here-that an
equipment manufacturer may bear legal responsibility for asbestos-containing
materials the equipment's purchaser determined to use with the equipment post-
sale).
The Court should not adopt the trial court's test for legal responsibility.
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." Rastelli,
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."
19
supra, 79 N.Y.2d at 298, 582 N.Y.S.2d at 377. If the answer to these questions is
"no," then legal responsibility should not lie, regardless of the exact type of third-
party product involved.
And, this conclusion holds regardless of the alleged "foreseeability" of the
use of the third-party product at issue, whether a "replacement part" or some other
type of product. Either way, "[f]oreseeability, alone, does not define duty" in any
tort claim, and it should not in this one. See Hamilton v. Beretta U.S.A. Corp., 96
N.Y.2d 222, 232, 727 N.Y.S.2d 7, 12 (2001). In Rastelli, this Court made it clear
that, although it was clearly "foreseeable" that certain of Goodyear's tires would be
used with defective rims, that consideration did not lead to the imposition of legal
responsibility.
Instead, the Court established clear lines defining the boundaries of legal
responsibility in a case like this one, focusing on the defendant's control over, and
profit from, the harm-causing product. See id.,79 N.Y.2d at 297-98, 582 N.Y.S.2d
at 376-77; accord Tortoriello v. Bally Case, Inc., 200 A.D.2d 475, 606 N.Y.S.2d
625 (1st Dep't 1994) (holding manufacturer of freezer did not have legal
responsibility for flooring material used with freezer although that material was
one of three flooring options identified in the freezer manufacturer's "own
literature"); Surre v. Foster Wheeler LLC, 831 F.Supp.2d 797, 801 (S.D.N.Y.
2011) (citing Rastelli and holding, under New York law, a manufacturer generally
20
"has no duty to warn against defects in ... 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" ... "[e]ven if the defective product is
one of a limited number of third-party products that the manufacturer knows will
be used in conjunction with its own"); Kiefer v. Crane Co., No. 12 Civ. 7613
(KBF), 2014 WL 6778704, at *5 (S.D.N.Y. Feb. 3, 2014) ("Under New York law
it is clear that one manufacturer cannot be held liable for the products of
another."); see also May, supra.
Strikingly, the same Appellate Division previously recognized and applied
precisely the boundaries established by this Court in Rastelli in In re Eighth
Judicial Dist. Asbestos Litig. (Drabczyk), 92 A.D.3d 1259, 1260, 938 N.Y.S.2d
715, 716 (4th Dep't 2012). In that decision, the Appellate Division held that a trial
court (the same trial court involved here) erred in charging a jury that a defendant
valve manufacturer could be held legally responsible for exposures to asbestos-
containing materials used "in conjunction with defendant's valves," but which the
valve maker neither made nor sold. !d. In Drabczyk, the Appellate Division relied
explicitly on Rastelli, but here, the same court inexplicably disregarded Rastelli
completely.
This was error, because the facts here are analogous to those that informed
the Court's decision in Rastelli: Crane Co. "had no control over the production" or
21
use of the allegedly injurious asbestos-containing materials to which Mr. Suttner
was exposed, "had no role in placing [those products] in the stream of commerce,
and derived no benefit from [their] sale." See Rastelli, supra, 79 N.Y.2d at 297-
98, 582 N.Y.S.2d at 376-77. Further, it was undisputed that the Crane Co. valves
at issue did not require any asbestos-containing materials, of any type, to function.
(R. 588-89, 1054-55, 4032, 4049, 4058, 5680, 5702, 6053-54.) Thus, although the
trial court cited to the decision in Rogers v. Sears, Roebuck and Co., 268 A.D.2d
245, 246, 701 N.Y.S.2d 359, 360 (1st Dep't 2000) in support of its own, that case
is wholly inapposite because, there, unlike here, the defendant's product "could not
be used without" the injury-causing product at issue.
In sum, the Appellate Division's approach to the question of legal
responsibility was correct in Drabczyk, and there is no support for the court's
decision to abandon that approach here.
2. There Is No Discernible Policy Rationale Underlying the
Appellate Division's "Replacement Part" Theory.
The question of whether a particular entity may bear a legal responsibility
for a product is a policy-based inquiry, whether the claim is asserted under a strict
liability or a negligence theory. See Hamilton, supra, 96 N.Y.2d at 236, 727
N.Y.S.2d at 15 ("[A]ny judicial recognition of a duty of care must be based upon
an assessment of its efficacy in promoting a social benefit as against its costs and
burdens."); Sukljian v. Charles Ross & Son Co., Inc., 69 N.Y.2d 89, 94-95, 511
22
N.Y.S.2d 821, 823 (1986) (noting that the imposition of strict liability "rests
largely on considerations of public policy"). But here, neither the Appellate
Division's opinion nor the trial court opinion the Appellate Division referenced
identifies any policy that will be served by recognizing the broad rule of legal
responsibility these courts appeared to recognize, a rule directly contrary to the rule
the Appellate Division previously adopted in Drabczyk.
The only discernible 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. This Court has made it very clear in its precedents, however, that
the goal of product liability law is not merely to compensate plaintiffs or to
construct legal theories that will implicate the greatest number of defendants.
Rather, it is to advance consumer safety by imposing legal responsibility on those
entities that control the production or use of the harm-causing product, because
those are the entities that "can fairly be said to know and to understand when an
article is suitably designed and safely made for its intended purpose." Codling v.
Paglia, 32 N.Y.2d 330, 340, 345 N.Y.S.2d 461, 468 (1973); accord Sprung v. MTR
23
Ravensburg, Inc., 99 N.Y.2d 468, 473, 758 N.Y.S.2d 271, 274 (2003) ("[T]he
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."); Micallef v. Miehle Co., Div. of Miehle-Goss
Dexter, Inc., 39 N.Y.2d 376, 386-87, 384 N.Y.S.2d 115, 121-22 (1976) (noting that
a manufacturer should bear "legal responsibility" for its injury-causing product
because the manufacturer is "in the best position to have eliminated ... dangers").
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. Imposing such a duty would, however, cut
strongly against the rule that the law ordinarily does not impose legal responsibility
on persons for conditions and activities over which they have no control. See, e.g.,
O'Neil, supra, 53 Cal.4th at 363, 266 P.3d at 1006 ("It is also unfair to require
manufacturers of nondefective products to shoulder a burden of liability when they
derived no economic benefit from the sale of the products that injured the
plaintiff."); Faddish v. Buffalo Pumps, 881 F.Supp.2d 1361, 1369 (S.D. Fla. 2012)
("The rationale underpinning the general rule of strict liability is that it logically
and fairly places the loss caused by a defective product on those who create the
risk and reap the profit by placing such a product in the stream of commerce, with
24
the expectation that these entities have the greatest incentive and resources to
control and spread the risk of harm posed by the product."); In re Deep Vein
Thrombosis, 356 F.Supp.2d 1055, 1062 (N.D. Cal. 2005) ("Can a manufacturer be
held liable for a defective product with which it never had contact? To state the
question is almost to answer it. ... ").
This Court's precedents have made it clear that the policy considerations
underlying New York's product liability doctrine define the scope of that doctrine.
See Gebo v. Black Clawson Co., 92 N.Y.2d 387, 392, 681 N.Y.S.2d 221, 224
( 1998) ("The decision to impose strict liability rests largely upon matters of public
policy."). Thus, for example, because an entity in the business of selling a
defective product has a "continuing relationship[] with [the] manufacturers" and
adopts a "special responsibility to the public" by marketing goods as a regular part
of its business, it may bear strict liability when the product causes harm. Sukljian,
supra, 69 N.Y.2d at 95, 511 N.Y.S.2d at 823. But, because the same
considerations of policy do not hold in the case of a casual seller, this Court has
held that such an entity is not ordinarily liable in a strict liability claim. I d., 69
N.Y.2d at 95-96, 511 N.Y.S.2d at 823-24 ("The policy considerations that have
been advanced to justify the imposition of strict liability on manufacturers and
sellers in the normal course of business obviously lack applicability in the case of a
party who is not engaged in the sale of the product in issue as a regular part of its
25
business."); accord Restatement (Second) of Torts § 402A (limiting strict liability
to those entities "engaged in the business of selling" the defective product at issue).
In light of the policy-focused nature of product liability doctrine, a lower
court should not be at liberty to recognize a broad, and novel, form of legal
responsibility in the product liability context without even considering the policy
implications of the holding. See, e.g., Anand v. Kapoor, 61 A.D.3d 787, 792, 877
N.Y.S.2d 425, 430 (2d Dep't 2009) (holding that conducting a duty analysis in any
type of tort claim "requires the court to consider and weigh competing public
policy considerations."); Northern Assurance Co., Ltd. v. Nick, 203 A.D.2d 342,
343, 610 N.Y.S.2d 307, 308-09 (2d Dep't 1994) (holding a court "must consider
the social consequences of imposing a duty" before imposing one). That is,
however, exactly what the Appellate Division did here, and, in so doing, it adopted
a "test" for duty that is not only at odds with this Court's precedents, and
particularly the Rastelli decision, but also with the "test" for duty recently
articulated by the First Department in a similar "asbestos" case-the Dummitt
matter.
26
3. The Analysis of Dummitt Does Not Support the Result Here,
and the Analysis Here Does Not Support the Result in
Dummitt.
The need for this Court to re-affirm the control-based approach articulated in
Rastelli is perhaps best demonstrated by the fact that, in departing from the
principle underlying that decision and searching for some ill-defined alternative
rule to govern the inquiry into legal responsibility in "asbestos" cases, the
Appellate Division has now reached facially inconsistent results. Thus, the
analysis underlying the decision of the Appellate Division here does not support
the result reached by the First Department in the Dummitt matter, and vice versa.
And, moreover, neither of these courts even attempted to explain how their
conflicting "rules" advance the policies underlying product liability law (they do
not). The Court should reject both of these decisions, and the inconsistent and
vague "rules" outlined in them, and continue to apply the control-based test of
Rastelli that has historically governed in New York.
The Dummitt majority held that an equipment manufacturer like Crane Co.
may be held legally responsible for asbestos-containing materials it neither made
nor sold only if it had a "significant role, interest, or influence in the type of
component used with its product after it enter[ ed] the stream of commerce .... " In
reNew York City Asbestos Litigation (Dummitt & Konstantin), 121 A.D.3d 230,
250, 990 N.Y.S.2d 174 (1st Dep't 2014). In the matter sub judice, there is not a
27
shred of evidence that Crane Co. had any role, let alone a "significant" role, in
anything that Mr. Suttner's employer did at its automotive plant or in selecting any
of the asbestos-containing materials Mr. Suttner encountered. (R. 884, 1053,
1056.) Accordingly, even if the significant role" test of Dummitt were legally
correct (it is not, for all of the reasons explained in Crane Co.'s briefing in that
appeal), it would not support the judgment here.
Notably, the "replacement part" rule seemingly adopted by the Appellate
Division in this case, likewise, would not fully support the result in Dummitt. In
Dummitt, the First Department held that Crane Co. could bear a legal responsibility
not only for gasket and packing sealing materials that the Navy used with Crane
Co.'s valves to replace other gaskets and packing contained in the valves at the
time of shipment, but also that Crane Co. could bear legal responsibility for
external asbestos-containing insulation materials that the Navy applied to the
exterior of Crane Co.'s valves after installing them on its ships. This latter product
inarguably did not "replace" anything that came with the valves originally, and
thus Crane Co. could have no legal responsibility for it under the analysis of the
Appellate Division here. 8 The trial court appeared to recognize this point in its
opinion in this matter, but ultimately avoided the question in light of Plaintiffs
8 And, indeed, Plaintiff effectively conceded this point, making it clear that she
made no claim that Crane Co. could bear liability for external asbestos-containing
insulation materials used with its valves, as opposed to asbestos-containing gasket
and packing sealing products. (R. 1236.)
28
concession that Plaintiff made no claim that Crane Co. could bear legal
responsibility for any insulation materials that GM may have used with its valves.
(R. 22 [the trial court finding that "exterior insulation" is "a product not at issue
here"].)
The contradictory decisions of the First and Fourth Departments, that have
seemingly resulted in different tests for legal responsibility applying to the same
basic conduct and products implicated in "asbestos" cases filed in different New
York counties, underscores the need for clear rules of law in this area. That is
precisely what this Court adopted in Rastelli, and the Court should affirm the
continuing validity of Rastelli and its applicability here.
4. Sage Does Not Support the Appellate Division's Decision.
Although the trial court did not discuss the policy implications of its
decision, it did appear to rely heavily on this Court's decision in Sage v. Fairchild-
Swearingen Corp., 70 N.Y.2d 579, 523 N.Y.S.2d 418 (1987) to support its result.
However, unlike the matter sub judice, which is based entirely on a failure-to-warn
theory, Sage was a product liability claim based solely on a design defect theory.
Thus, the analysis of the Sage court turned on the nature of the particular claim at
issue in that case, which is not the theory at issue in this case. Here, Plaintiff did
not even plead a claim for design defect, let alone pursue one at trial. (R. 14, 26-
27, 75-83.)
29
In Sage, the court held that the manufacturer of an aircraft could be liable on
a design defect theory for an injury caused by a replacement aft ladder used with
the aircraft where (1) the replacement ladder was fabricated by the employees of
the aircraft's purchaser; it was not acquired from a third party, (2) in fabricating the
ladder, the aircraft purchaser's employees duplicated the defective design of the
ladder originally supplied by the aircraft manufacturer, and (3) thus, the aircraft
manufacturer was the designer of the replacement part that caused the plaintiffs
injury. See id., 70 N.Y.2d at 586-87, 523 N.Y.S.2d. at 421-22. The trial court here
seemingly interpreted Sage, a design defect decision, to give rise to a broad duty to
warn of any replacement parts "similar" to ones originally supplied, but that
reading is incorrect-the Sage decision did not tum on a mere similarity between
an original part and a replacement part; it turned on the fact that the trial defendant
was the designer of the defective replacement ladder, and it had nothing to do with
any warnings relating to this ladder. See Niemann v. McDonnell Douglas Corp.,
721 F.Supp. 1019, 1030 (S.D. Ill. 1989) (declining to apply Sage to hold an
original equipment manufacturer liable for defective replacement parts in the
absence of evidence that the original equipment manufacturer designed the
replacement parts).
These factors are not present in this case, which as noted, was tried solely
upon a failure-to-warn theory, not the design defect theory at issue in Sage. (R. 14,
30
26-27, 75-83.) The asbestos-containing gaskets and packing Mr. Suttner
encountered while working with Crane Co. valves were designed, manufactured,
and supplied entirely by third parties, Garlock (manufacturer) and Root Neal
(supplier). It was undisputed at trial that Crane Co. had no role in designing these
products; thus, Sage is inapplicable.
B. Courts Across the Country Have Uniformly Rejected a
"Replacement Part" Theory of Legal Responsibility.
Contrary to the trial court's holding, courts addressing the legal
responsibility of equipment manufacturers for asbestos-containing "replacement
parts" have not imposed any duty to warn of dangers allegedly inherent in
replacement parts supplied by others after the initial sale.
In 0 'Neil, the Supreme Court of California considered precisely the same
replacement part theory endorsed by the trial court here. See 0 'Neil, 53 Cal. 4th at
347, 266 P.3d at 994. The O'Neil court rejected that theory, finding that imposing
a duty on manufacturers to "investigate the potential risks of all other products and
replacement parts that might foreseeably be used with their own product and warn
about all of these risks" would "impose an excessive and unrealistic burden." ld.,
53 Cal.4th at 363, 266 P.3d at 1006.
This was exactly the conclusion reached by the Supreme Court of
Washington in the Braaten case after carefully analyzing the same issue:
31
The harm in this case is a result of exposure to asbestos. These
manufacturers, who did not manufacture, sell, or otherwise distribute
the replacement packing and gaskets containing asbestos to which Mr.
Braaten was exposed, did not market the product causing the harm
and could not treat the burden of accidental injury caused by asbestos
in the replacement products as a cost of production against which
liability insurance could be obtained. Thus, the policies that support
imposition of strict liability are inapplicable in this case ....
Braaten, 165 Wash.2d at 392, 198 P.3d at 501.
Notably, both the Supreme Courts of California and Washington supported
their holdings by citing to this Court's decision in Rastelli. Yet, neither the trial
court nor the Appellate Division even referenced the decisions rendered by these
courts, let alone attempted to argue that these courts misinterpreted this Court's
decision in Rastelli.
Courts addressing similar "replacement part" fact patterns, involving both
asbestos-containing replacement parts and other sorts of replacement parts, have
adopted the same approach adopted by the 0 'Neil and Braaten courts. See Hansen
v. Honda Motor Co., 104 A.D.2d 850,480 N.Y.S.2d 244 (2d Dep't 1984)
(applying the "stream of commerce" rule in the context of replacement parts, and
holding that original manufacturer of a motorcycle had no duty to warn of use of
defective replacement wheel and spoke assembly); Baughman v. General Motors
Corp., 780 F.2d 1131, 1133 (4th Cir. 1986) (declining to impose liability on an
automobile manufacturer for injuries caused by a defective replacement wheel);
Wood, supra, 119 Md.App. at 34-39, 703 A.2d at 1330-33 (rejecting an
32
"endorsement" theory of liability similar to the one for which Plaintiff argued here
and holding an original equipment maker has no duty to warn of allegedly
injurious replacement parts, regardless of the similarity between the replacement
parts and those originally supplied); Niemann, supra, 721 F .Supp. at 1029-30
(holding airplane manufacturer has no legal responsibility for asbestos-containing
"chafing strips" acquired from others and used to replace original asbestos-
containing chafing strips supplied with airplane).
As recently as October ofthis year, the Maryland Court of Special Appeals
succinctly summarized this clear trend in the precedents, which it had anticipated
in its earlier decision in Wood, supra, by rejecting exactly the sort of"replacement
part" theory of liability seemingly used by the Appellate Division here:
[I]n the 16 years since this Court decided Wood, numerous courts
around the country have either followed Wood or have applied the
same line of reasoning to hold that a manufacturer generally has no
liability for defective replacement or component parts that it did not
manufacture or place in the stream of commerce.
May, supra, 219 Md.App. at 433, 100 A.3d at 1289 (citing O'Neil, Braaten, Surre,
and Faddish, supra; Lindstrom v. A-C Prod. Liab. Trust, 424 F.3d 488 (6th Cir.
2005); Simonetta v. Viad Corp., 165 Wash.2d 341, 197 P.3d 127 (2008); Conner v.
Alfa Laval, Inc., 842 F.Supp.2d 791 (E.D.Pa. 2012)); see also Mark A. Behrens &
Margaret Hom, Liability for Asbestos-Containing Connected or Replacement Parts
Made by Third Parties: Courts Are Properly Rejecting this Form of Guilt by
33
Association, 37 Am. J. Trial Advoc. 489 (2014). The May court, like the Supreme
Courts of California and Washington, based its holding on the same considerations
of policy that this Court has articulated in the product liability context for decades.
See May, 219 Md.App. at 436, 100 A.3d at 1291 (describing at length how the
"principles underlying strict products liability" militate strongly against the
recognition of exactly the legal responsibility the Appellate Division seemingly
recognized here).
The same rule should control here-the duty to answer in tort for injuries
caused by replacement parts should "properly fall upon the manufacturer of the
replacement component part," Baughman, 780 F.2d at 1133, who has the ability,
and the incentive, to make those parts safe. If the law were to impose a broader
duty, the "burden upon a manufacturer would be excessive"-having to test and.
warn against "any of a myriad of replacement parts supplied by any number of
manufacturers." !d. Here, the producers and marketers of the alleged injury-
causing products were Garlock, Johns-Manville, and several other entities, not
Crane Co.; Crane Co. should bear no responsibility to answer in tort for the
products of these other entities under New York law.
34
C. Even if Some Form of "Replacement Part" Test Were Applicable
Here, There Would Be No Evidence to "Pass" It.
Just as the trial court's "replacement part" theory is unsupported legally, it is
unsupported factually, whatever its exact contours may be. There was no evidence
as to the types of gaskets and packing Crane Co.'s valves contained at the time of
sale, let alone evidence that any such original parts were replaced with
substantially similar ones. (SeeR. 433, 4032, 4049, 4058, 5680, 5702.) Although
the trial court recited several factual "findings," discussed below, it made no
finding as to the alleged "similarity" between any gasket or packing supplied in a
Crane Co. valve and any replacement part (nor could it possibly have made such a
finding, because there was no evidence on this point).
In Wood, supra, 119 Md.App. at 34-39, 703 A.2d at 1330-33, the court
rejected an "endorsement" theory of liability that would have held an auto
manufacturer legally responsible for replacement asbestos-containing component
parts used with its automobile merely because those parts were similar to the parts
originally supplied with the automobile. However, the court noted that even if
such a theory were legally sound (which it is not), applying it would require
evidence that by including certain parts with its own product, a manufacturer
35
thereby "endorsed" the use of similar replacement parts into the future,9 as well as
"an inquiry into whether the original and the replacement parts were manufactured
by the same company," and, if so, whether the original and replacement parts were
"sufficiently similar," and, if so, whether they were "manufactured utilizing a
similar process and similar materials." !d., 119 Md.App. at 35, 703 A.2d at 1331.
The trial court assessed none of those factors here and there was no evidence that
would have even permitted their assessment, because there was no evidence as to
what the Crane Co. valves at issue contained at the time of shipment, who selected
those products, why those products were selected, or whether those selections had
any bearing on the later selections of replacement materials.
Indeed, instead of assessing the evidence going to the question pertinent to
the trial court's "test" for legal responsibility (which evidence was completely
absent on this record), the trial court made a series of "observations" regarding the
factual record that are (1) factually inaccurate and (2) legally irrelevant under the
trial court's (and thus the Appellate Division's) "test" for legal responsibility. For
instance, the trial court wrote that Crane Co. "specified the use of asbestos for
packing and gaskets for its valves." (R. 18.) However, the trial court did not
9 The mere fact that equipment was supplied with certain parts, in the absence of
any evidence regarding the selection of those parts, provides no basis for a
conclusion that the equipment maker "endorsed" the parts at issue.
36
define the vague term "specified,"10 or point to any evidence in the record (there
was none) indicating that Crane Co. directed, recommended, or even suggested to
GM how it should use the valves it purchased from Crane Co. (R. 1053, 1056.)
Indeed, Mr. Suttner testified that although he was responsible for fabricating
virtually all of the gaskets used in the GM plant (R. 867), he never encountered any
Crane Co. product literature of any kind (R. 884).
The trial court also wrote that "Crane designed and marketed a product
which, when used for one of its intended purposes, on high pressure steam lines,
required asbestos-containing gaskets and packing." (R. 18.) This observation fails
to make the necessary logical distinction between what a product, itself, "required"
and what a particular customer decided to use for its particular unique application.
See O'Neil, 53 Cal.4th at 350, 266 P.3d at 996. For instance, as the O'Neil court
held, the fact that the Navy chose to use asbestos-containing materials within a
pump or valve on a ship (or, here, GM at its industrial facility) has no bearing on
the legally significant question of whether those valves required asbestos by
design. !d. In the case sub judice, Plaintiffs own expert witness, after professing
a lack of expertise in valve design (R. 544 ), conceded that a valve used with
asbestos-containing gaskets and packing would also function with non-asbestos-
10 That term could mean anything from "required" to "recommended" to
"suggested" and thus it provides no clear standards for the imposition of legal
responsibility in a case like this one.
37
containing gaskets and packing (R. 588-89), and the Crane Co. product literature
that Plaintiff entered into evidence demonstrates that, during the relevant time
period, at least some (and seemingly many) of the Crane Co. valves rated for high-
temperature, high-pressure services were supplied with soft iron or soft steel
bonnet gaskets, not asbestos ones (R. 4032, 4049, 4058, 5680, 5702.) Thus, the
trial court's assertion that Crane Co. valves somehow "required" asbestos-
containing materials (an assertion the trial court made without any supporting
citation) is strongly contradicted by the record.
It is not clear what relevance the inaccurate factual assertions noted above
had to the trial court's ultimate holding, which seemed based on little more than a
finding that Mr. Suttner encountered "replacement parts" that GM used with Crane
Co. valves. Indeed, the trial court's opinion, which the Appellate Division
seemingly adopted, at least in part, for unexplained reasons is little more than a
recitation of some legal principles and then a recitation of some (largely
inaccurate) factual observations, without any legal or policy analysis linking the
two and explaining the reasoning behind the holding. The Court should reject that
analysis in its entirety and remit this case with instructions to enter judgment for
Crane Co.
38
II. The "Component Parts" Doctrine Supports Judgment in Crane Co.'s
Favor.
As discussed in Crane Co.'s briefing in the Dummitt matter, numerous
precedents, which are collected and synthesized in the Restatement (Third) of
Torts: Products Liability§ 5 (1998), provide that the supplier of a component part
(such as a valve) that can be used in numerous environments is not liable for every
application in which the customer will use the component, even if the use was
"foreseeable." See, e.g., In re Temporomandibular Joint (TMJ) Implants Prods.
Liab. Litig., 97 F.3d 1050 (8th Cir. 1996); Artiglio v. General Electric Co., 61
Cal.App.4th 830, 71 Cal.Rptr.2d 817 (Cal. Ct. App. 1998).
Under the "component parts" provision of the Restatement (Third), the seller
of a component part can potentially be responsible for injuries caused by the
finished assembly incorporating its component only if(1) the component itself is
defective, and the defect causes the harm, or (2) the component seller substantially
participates in the integration of the component into the design of the final
assembly, the integration of the component renders the assembly defective, and the
defect causes the harm. See Restatement (Third) of Torts: Products Liability§ 5;
accord Taylor v. Elliott Turbomachinery Co., Inc., 171 Cal.App.4th 564, 585, 90
Cal.Rptr.3d 414, 430-31 (Cal. Ct. App. 2009). This rule applies to product liability
claims asserted in both strict liability and negligence, TMJ, 97 F.3d at 1058-59, and
it has been recognized in several New York decisions, see, e.g., Gray v. R.L. Best
39
Co., 78 A.D.3d 1346, 1349, 910 N.Y.S.2D 307, 309 (3d Dep't 2010); Leahy v.
Mid-West Conveyor Co., Inc., 120 A.D.2d 16, 18-19,507 N.Y.S.2d 514,515-16
(3d Dep't 1986); Munger v. Heider Mfg. Corp., 90 A.D.2d 645, 456 N.Y.S.2d 271
(3d Dep't 1982).
The undisputed evidence here was that Crane Co.'s valves were multi-use
components. (See, e.g., R. 5673 [Crane Co. 1960 Catalog noting Crane Co. steel
gate valves were often used as general purpose valves below their stated
temperature and pressure tolerances].) The factual record demonstrates that GM
had the ability to use its valves with asbestos or non-asbestos-containing gasket
and packing sealing materials, and Crane Co. played no role in the decision as to
which to use or in the design of the relevant piping system. It was undisputed that
GM had complete control over the use of the valves and was in the best position to
appreciate any dangers posed by the larger piping system in which they were
installed. The evidence further demonstrated that Crane Co.'s valves had no
function unless and until they were incorporated into such a system (R. 1052-53)
and could be used (and can be used) with asbestos or non-asbestos-containing
gasket and packing sealing materials (R. 588-89, 1054-55, 4032, 4049, 4058, 5680,
5702, 6053-54).
Further, Plaintiff produced no evidence that Crane Co. had any role, let
alone a substantial participatory role, in designing the GM piping system into
40
which Crane Co.'s valves were incorporated. (R. 884, 1053, 1056.) Without such
evidence, the maker of one component part should not be legally responsible for
injuries caused by another system component.
41
CONCLUSION
For all of the foregoing reasons, Crane Co. respectfully requests that this
Court reverse the decision of the Appellate Division, and direct entry of judgment
for Crane Co.
December 22, 20 14 Respectfully submitted,
Q..t}o. 'b.J~
K&L GATES LLP
ERIC R.I. COTTLE
ANGELA DIGIGLIO
599 LEXINGTON AVE.
NEW YORK, NY 10022
(212) 536-3900
{212) 536-3901 (FAX)
OF COUNSEL
NICHOLAS P. V ARI
MICHAEL J. Ross
K&L GATES CENTER
210 SIXTH A VENUE
PITTSBURGH, P A 15222
(412) 355-6500
(412) 355-6501 (FAX)
GIBSON, DUNN & CRUTCHER LLP
CAITLIN J. HALLIGAN
200 PARK AVE.
NEW YORK, NY 10166
(212) 351-3909
{212) 351-6209 (FAX)
Counsel for Defendant-Appellant Crane Co.
42