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Nos. 34333, 34334 and 34335 Lenora Perrine, et al., v. E. I. du Pont de Nemours and
Company, et al.
Ketchum, J., dissenting, in part, and concurring on the award of a new trial and the
ruling that punitive damages are not recoverable in medical monitoring claims:
A. Judgment Should Be Granted in Favor of DuPont
I dissent from the majority's opinion, and believe that a judgment should be
entered in favor of DuPont because the plaintiffs failed to prove the required elements of West
Virginia's medical monitoring and property damage law. It is easy to enrage a jury against a
large multi-national corporation. Nevertheless, our Constitution requires that plaintiffs must
prove each of the elements of their case before the case can be submitted to the jury for its
consideration - and the plaintiffs simply failed to prove their case. At the very least, DuPont
should be granted a new trial on all issues, because of the continuous insertions of
inadmissible evidence by the plaintiffs' attorneys, and their use of closing arguments
prohibited by our law.
(See footnote 1)
I also dissent from the majority's opinion with regard to the issue concerning the Grasselli deeds.
1. Retained Experts are Like Eggs
Retained expert witnesses are like eggs. You can buy them by the dozen - they
are just more expensive.
Plaintiffs' soil scientist, Kirk Brown, testified that the dust containing lead,
cadmium and arsenic from DuPont's smelter caused cancer and other diseases. The bill for
his services up to the date of the trial was $910,000.00. A bill had not been calculated for his
trial preparation and attendance during trial.
Dr. Brown was the only expert witness who testified that the smelter dust caused
various types of cancer and other diseases.
(See footnote 2)
Without Dr. Brown's testimony, admitted over
DuPont's objection, the plaintiffs had no proof that DuPont's dust caused harm to humans. The
plaintiffs relied solely upon this retained soil scientist from Texas to prove that DuPont's dust
caused cancer and other serious diseases. None of plaintiffs' other witnesses, including Dr.
Werntz from West Virginia University who simply relied upon Dr. Brown's findings, gave
independent opinions that the dust from the smelter caused cancer, or other diseases to
humans, described by Dr. Brown.
The problem is that Dr. Brown had no education, training, or experience in
medicine or human toxicology. He is a soil scientist with a degree in agronomy. The plaintiffs
contended he was qualified to give medical opinions because he worked with the
Environmental Protection Agency on a risk assessment study involving metals. This is a half
truth. He worked on an EPA risk assessment study of the metal uptake of plants from the soil
which had nothing to do with the effects of metals on humans.
The jury trial was held 30 miles from our flagship educational institution, West
Virginia University. Yet, plaintiffs did not call any of its medical doctors, epidemiologist or
toxicologists to research or opine whether the dust from DuPont's smelter caused disease in
humans. To the contrary, it is undisputed that no human in the area of the smelter has gotten
sick or has had a disease from DuPont's dust during the 100 years of the smelter's existence.
Dr. Brown was plainly not qualified to give human toxicology and medical
opinions. The trial court held that the jury should hear his opinion, and it was their job to
evaluate his credentials and testimony. This is only partially correct. The judge must first
determine if the expert is qualified to opine in a particular area. This man had no medical or
human toxicology qualifications. West Virginia Rule of Evidence 702 protects all parties
from unqualified evidence, even giant multi-national corporations.
Under the plaintiffs' logic, the local shoeshine boy who played with an erector
set as a child can opine on quantum physics because it is the jury which evaluates the tendered
expert's qualifications. Usually, giant multi-national corporations who have fed and clothed
our families for a century take it in the ear using this logic. Rule 702 prohibits unqualified
expert testimony.
In Watson v. Inco Alloys, 209 W.Va. 234, 545 S.E.2d 294 (2001), Justice Davis teaches that, before the jury gets to pass on the qualifications of expert witnesses, the circuit
judge must determine if the proposed expert meets the minimal educational or experiential
qualifications to render an expert opinion. Second, the trial judge must determine if the
expert's area of expertise covers the particular area as to which the expert will opine. The
plaintiffs' proposed expert had no qualifications or experience in medicine or human
toxicology. Yet, the trial court let Dr. Brown opine and allowed the jury to consider his
unqualified testimony.
Justice Davis also teaches that, if the proposed testimony involves scientific
evidence, the court must be a gatekeeper and have an in-camera hearing to determine if the
expert's testimony will be reliable by considering its underlying scientific methodology. Dr.
Brown said that he is a scientist and that he conducted a scientific risk assessment study, i.e.,
the causal relationship between DuPont's dust and cancer and other diseases in humans, as
concluded by his scientific risk assessment analysis. Yet, the circuit court did not act as a
gatekeeper and take evidence at an in camera hearing to determine if his methodology was
scientifically reliable, as required by Watson.
The majority opinion does not mention that other courts have held that Dr.
Brown has no qualifications to testify about human toxicology and other medical issues. In a
well-reasoned opinion, the federal judge in Palmer v. Asarco, Inc., 2007 WL 2302584 at 8-9
(N.D. Okla. Aug 7, 2007) ruled that Dr. Brown could only testify about soil issues but not
about medicine or human toxicology. The federal court stated:
Dr. Brown clearly crosses into the realm of toxicology and
medical causation. He states that lead in the soil and house dust
is the major source of contamination contributing to the elevated
blood levels in children living in Picher and Cardin. . . . While
Dr. Brown can testify how lead dust is transported from one place
to another, the actual ingestion and elevation of blood levels is
outside of his expertise. Toxicology is generally described as
the study of how substances are absorbed into the body and the
effect of substances on the human body.
(emphasis added).
This soil scientist should not have been allowed to opine as to diseases caused by DuPont's dust. The trial court essentially allowed Dr. Brown to become an uber-juror.
This being the only testimony on this pivotal point, the plaintiffs failed to meet their burden
of proof. DuPont is entitled to have judgment entered in its favor.
2. West Virginia's Medical Monitoring Requirements Were Disregarded
Plaintiffs presented no evidence to prove the relative comparison between
plaintiffs' exposure to a hazardous substance and the exposure of the general population as
required by Bower v. Westinghouse, 206 W.Va. 133, 522 S.E.2d 424 (1999).
Syllabus Point 3 of Bower requires that the plaintiff prove six specific elements
to sustain a medical monitoring claim. First, it requires that a plaintiff must prove that (1) he
or she has, relative to the general population, been significantly exposed; (2) to a proven
hazardous substance[.] (Emphasis added). In this action, there is no proof of plaintiffs'
significant exposure to toxic materials relative to the general population.
The plaintiffs' attorneys evidently did not read Bower. They began incorrectly
outlining the elements of Bower in their opening statement and said that they would prove
those incorrect elements. The comparison to the general population was never mentioned
as part of element (1) of Bower. In fact, there was absolutely no evidence presented during the
entire trial to support the requirement that plaintiffs had significant exposure greater than the
general population. Even Dr. Brown did not make this comparison. To the contrary, he
testified that the exposure to lead outside the class areas was as great or greater than within
the class area.
Finally, at the instruction conference concerning the medical monitoring charge
to the jury, the lawyers for both sides suddenly announced that the term relative to the general
population in element (1) of Bower was mistakenly omitted from the trial court's instruction.
The instruction was corrected to state that the plaintiffs must prove that they had, relative to
the general population, been significantly exposed to a hazardous substance.
There is one huge problem. There was no evidence to support this corrected
instruction, and no additional evidence was taken. There was no evidence of plaintiffs' being
substantially exposed relative to the general population.
To make matters worse, the Phase II medical monitoring verdict form was not
corrected to conform to the amended Bower instruction. The verdict form merely required
the jury find the plaintiffs had significant exposure, and had a need for medical examinations
different from what would be prescribed in the absence of the exposure. The verdict form
did not require a finding that the plaintiffs were significantly exposed in relative comparison
to the general population. See, Rhodes v. E.I. DuPont De Nemours, 253 F.R.D. 365 (S.D.
W.Va. 2008) (discussing Bower).
Accordingly, DuPont is entitled to a judgment in its favor on medical
monitoring.
3. Our Medical Monitoring Law Should Be Revisited
Every person in the Kanawha and Ohio Valleys has been exposed to chemicals
and toxic substances in our air. The Kanawha Valley was known as the chemical valley for
decades. The factories along the Ohio River have belched thick dust for over a century. The
air is now cleaner because of government regulations, not damage lawsuits. Nevertheless,
every person in these industrial hubs has a medical monitoring lawsuit against the
manufacturers and chemical plants because they have been significantly exposed to toxic air
which necessarily increases their risk of disease. In West Virginia, all of these people are
allowed to institute a medical monitoring lawsuit although they have not incurred an injury or
disease. Our medical monitoring law does not require these plaintiffs to have been injured or
diseased by their exposure.
Medical monitoring class action lawsuits will continue to mount if plaintiffs who
are not sick or injured are allowed to pursue benefits for the mere possibility of future harm.
We must rely on government regulation to police the emission of toxic substances, not damage
lawsuits of uninjured plaintiffs. Damage suits by non-diseased and uninjured persons will only
drive our remaining factories out of the State.
The present case against Du Pont is a good example of non-diseased, uninjured
persons who will receive medical monitoring damage benefits. A named plaintiff, who lived
near the smelter and represents the class, had her blood tested in order to establish that she had
an abnormal level of lead in her blood caused by the emissions from the smelter. However,
the testing showed that the lead level in her blood was normal. Yet, she will be entitled to
medical monitoring benefits. In addition, there have not been any reports of sickness or
disease in humans caused by the smelter emissions in the 100 years of its operation. Even
though there is no evidence of sickness or disease, Du Pont will pay approximately
$130,000,000 to medically monitor the non-diseased plaintiffs.
There is no doubt there will be a flood of additional medical monitoring lawsuits
for uninjured plaintiffs against West Virginia's manufactures and businesses. The plaintiffs'
lawyers told the jury:
When this is over, we're going to move to just another part of West Virginia
and do the same thing [.]
If we do not modify or abolish our medical monitoring law, the plaintiffs'
lawyers from the Du Pont case will wreak enormous economic harm on West Virginia's
economy. They will collect millions in fees and return to their out-of-state residences leaving
the West Virginia economy in shambles. It reminds me of the out-of-state coal barons who
raped our coal resources in the early 1900's and used the untaxed money from our coal to live
opulent lifestyles in far away states. The lawyer fees in the Du Pont case, for our new out-of-
state coal barons, may be over $100,000,000.
Our law, until medical monitoring, did not provide a cause of action for the mere
possibility of future harm, not yet realized. We should, at least, modify the medical
monitoring elements to require that plaintiffs prove a present physical injury (or present
disease) caused by the manufacturer or business. This will provide a clear standard as to when
a plaintiff has a meritorious cause of action and will eliminate damages for a mere possible
future harm. This is only fair. In this case, Du Pont will pay $130,000,000 for medical
monitoring where no actual harm has occurred. We should not allow an asymptomatic plaintiff
to recover damages by way of medical monitoring for the possibility of contracting a disease
in the unpredictable future.
The recent trend has been for courts to reject the adoption of the medical
monitoring cause of action. See, Herbert L. Zarov, et al., A Medical Monitoring Claim for
Asymptomatic Plaintiffs: Should Illinois take the plunge?, 12 DePaul J. Health Care L 1
(2009). In my view, we should at least require a plaintiff to have a present physical injury or
illness before seeking medical monitoring damages. See, Henry v. Dow Chemical, 473 Mich
63, 701 N.W.2d 684 (2005); Paz v. Brush Engineered Materials, 949 So.2d 1 (Miss. 2007);
Metro-North Commuter Railroad v. Buckley, 521 U.S. 424, 117 S.Ct. 2113, 138 L.Ed.2d 560
(1997).
4. No Punitive Damages Should Be Awarded
I totally agree that no punitive damages can be recovered in medical monitoring
actions. However, I totally disagree that any punitive damages should have been awarded in the
property damage portion of this action. There was no evidence of actual malice on the part of
Du Pont which warrants punitive damages.
In West Virginia, punitive damages are an outgrowth of a confusing hodgepodge
of our common law. Some of our cases indicate that punitives can be awarded for intentional,
wilful or wanton conduct. Other cases indicate that punitives can be recovered for negligence
which is gross, reckless or wanton. See, Hensley v. Erie Insurance Co., 168 W.Va. 172, 283
S.E.2d 227 (1981). Our trial judges are bemused when they attempt to instruct a jury in an
action involving punitive damages. At trial, the lawyers present the judges with case law
containing contradictory language dating back to the 1800s when our Court could not decide
whether the purpose of punitive damages was to compensate victims for anguish or to punish
the misconduct of defendants. See, Pegram v. Stortz, 31 W.Va. 220, 6 S.E. 485 (1888);
Mayer v. Frobe, 40 W.Va. 246, 22 S.E. 58 (1895).
We should overrule all our previous cases defining the evidence required for a
jury to award punitive damages and adopt a concise, simple rule defining the burden of proof
required to establish a punitive damage claim. We need to clarify this confusing area of the
law because our Legislature has not followed the lead of other states in codifying the law of
punitive damages. See, for example, Ohio Revised Code § 2315.21. Therefore, our Court
should, at least, modify three elements of our punitive damage law:(a) Burden of Proof
The purpose of punitive damages is not to compensate a plaintiff but to punish
and deter egregious conduct. Punitive damages are actually a civil fine or penalty. Therefore,
the plaintiff should be required to prove, by clear and convincing evidence, that the defendant's
actions or omissions demonstrate a conscious wrongdoing with actual malice.
Actual malice should be defined as: (1) the state of mind under which the
defendant's conduct is characterized by hatred, ill will or a spirit of revenge or (2) a conscious
disregard for the rights and safety of other persons that has a great probability of causing
substantial harm. Preston v. Murty, 32 Ohio St.3d 334, 512 N.E.2d 1174 (1987).
(See footnote 3)
Because
state of mind is difficult to prove, actual malice can be inferred from the defendant's conduct
and the surrounding circumstances. Burns v. Prudential Securities, Inc., 167 Ohio App.3d
809, 857 N.E.2d 621 (2006).
(b) Bifurcation of Punitives
In a West Virginia punitive damage action, the plaintiff is entitled to admit
evidence of the defendant's financial condition. The defendant's wealth is then improperly
used as a weapon to induce the jury to find for the plaintiff on the issue of liability. Kircher
and Wiseman, Punitive Damages: Law and Practice, 2nd ed., supra, § 12:11. Therefore,
either party, upon motion, should be entitled to have the punitive damage phase of a jury trial
bifurcated.
I suggest that we adopt the Texas approach. The jury first hears the evidence
relevant to liability for actual damages, the amount of actual damages, and liability for punitive
damages. If the jury finds in the plaintiff's favor on the punitive-liability issue, the same jury
hears the evidence on punitive damages and determines the amount of the punitive award,
considering the totality of the evidence presented at both stages of the trial. Transportation
Insurance Co. v. Moriel, 879 S.W.2d 10 (Texas 1994).
(c) Distribution of Punitive Award
In West Virginia, before punitive damages may be awarded, the jury must fully
compensate the plaintiff for his or her actual damages. The jury can then punish, or fine, the
defendant, and the plaintiff receives a monetary windfall by way of punitive damages.
Therefore, after the jury, made up of citizens of the community, fines the defendant, the
plaintiff reaps the reward.
Many states have enacted laws to correct this unfairness. The punitives awarded
(fine) are divided between the state and the plaintiff. Courts in other states, as an arm of their
common law, have on a case-by-case basis distributed the punitive award to make a significant
societal statement, while considering the plaintiff's effort in obtaining the punitive award.
Dardinger v. Anthem Blue Cross & Blue Shield, 98 Ohio St.3d 77, 781 N.E.2d 121 (2002).
I suggest that our Court adopt a similar rule concerning punitive damages in
order to prevent a monetary windfall to the plaintiff. The distribution of a punitive award
should be as follows: First, the trial court should deduct litigation expenses, including attorney
fees. The amount of attorney fees should be determined by the contract between the plaintiff
and his or her lawyer. Any contingency fee agreed to in the contract should be approved as
long as the contingency percentage is reasonable. Second, the trial court should determine the
amount of the remaining award that should go to the plaintiff considering the plaintiff's effort
in obtaining the award. Third, the balance should be paid to a societal good that can rationally
off-set the harm done by the defendant. For example, in a toxic tort incident causing cancer,
a fund could be established at the Marshall University School of Medicine's Joan Edwards
Cancer Center for cancer research.
Of course, guidelines for our circuit courts to follow would have to be
established for the distribution of punitive awards. In addition, consideration of the various
methods of dividing the award between expenses and fees, the plaintiff's entitlement and
societal good would need to be studied. Nevertheless, a change is needed to correct the
unfairness in this State's current law concerning punitive damages.
5. Rule 404(b) Evidence Was Improperly Allowed
Several weeks before trial, DuPont filed a motion in limine to preclude the
plaintiffs from introducing evidence of other alleged wrongs or bad acts concerning unrelated
chemicals, plants and locales, including DuPont's use of the chemical C8 at its Parkersburg,
West Virginia, plant. Rule 404(b) of the West Virginia Rules of Evidence was cited by
defendants in objecting to this unrelated bad acts evidence. However, the circuit court denied
the motion with leave to revisit the admissibility of such evidence at trial.
In Phase I of the trial concerning general liability, the plaintiffs were permitted
to play for the jury the videotaped deposition they took of Kathleen H. Forte, the vice-
president of public affairs for DuPont. The day before the videotape was played for the jury,
DuPont filed a number of objections concerning the Forte deposition video which referenced
Rule 404(b), and argued that the videotape contained inflammatory questions asked by
plaintiffs' counsel concerning DuPont's activities at other sites, including Parkersburg. As
watched at trial, Forte was shown a map and was asked by plaintiffs' counsel about other areas
throughout the country where DuPont was involved with contamination sites. Forte stated that
she knew that two were contamination sites but indicated that she was unfamiliar with the other
eight locations presented to her. In addition, Forte was asked about the existence of medical
monitoring at DuPont facilities in Parkersburg, West Virginia, and Pompton, New Jersey, and
then asked why there was no medical monitoring at the remaining sites. The plaintiffs' lawyer
also asserted at the videotaped deposition - but never proved - that the C8 produced at
Parkersburg was inserted by DuPont at unsafe levels into the drinking water and that C8 caused
cancer.
After the videotape was played for the jury, DuPont moved for the trial court to
exclude Forte's testimony, or, in the alternative, for a limiting instruction, citing Rule 404(b).
The following day, DuPont filed a written request for a limiting instruction. Thereafter, during
the consideration of the Phase I jury instructions, DuPont renewed its request for a Rule
404(b) limiting instruction.
The circuit court did not conduct an in camera hearing concerning the accuracy
of the other sites contamination assertions or the similarity of alleged contamination at other
sites to the Spelter site. The circuit court also did not give the jury a limiting instruction
concerning Ms. Forte's testimony. Our cases plainly hold that Rule 404(b) requires that the
trial court, in camera, find that the other bad acts actually occurred and that the defendant
committed them before this evidence is presented to the jury. Taylor v. Cabell Huntington,
208 W.Va. 128, 538 S.E.2d 719 (2000).
Moreover, contrary to the assertions of the plaintiffs, the questioning of Ms.
Forte did not constitute impeachment. After all, it was the plaintiffs' attorney's direct
examination of Ms. Forte, and the video deposition contained numerous unproven assertions
by plaintiffs' counsel. These unproven, badgering assertions that DuPont was guilty of bad acts
at other sites were unknown to witness Forte. Nevertheless, the unproven, badgering assertions
continued. The questions of Ms. Forte were inflammatory and failed to impeach anything she
said. See Arnoldt v. Ashland Oil, 186 W.Va. 394, 407, 412 S.E.2d 795, 808 (1991) (a party
is not free to introduce otherwise inadmissible evidence under the guise of impeachment).
An in camera hearing required by Rule 404(b) should have been conducted to
determine whether the lawyers' other site contamination assertions were accurate and
whether DuPont committed those acts. State v. Taylor, 215 W.Va. 74, 593 S.E.2d 645
(2004). Plainly stated, the jury was allowed to consider lawyers' assertions that were never
proven. If this was our rule of law when I was in private practice, I would never have lost
a case!
Phase II of the trial concerned medical monitoring, and DuPont's Rule 404(b)
objection in that phase concerned plaintiffs' closing argument. At the end of Phase II,
plaintiffs' counsel stated that DuPont, in the face of increasing penalties, had adopted a risk-
based analysis with regard to the communities in which it does business which places profit
above public health concerns. There was no proof on this point. In closing, plaintiffs' counsel
referred to bad acts in the oil, tobacco and pharmaceutical industries. Citing Rule 404(b),
DuPont moved for a mistrial. The circuit court denied the motion.
Phase IV concerned punitive damages, and DuPont raised Rule 404(b) objections
prior to opening statements. The circuit court conducted an inadequate in camera hearing. The
court took no evidence other than reviewing some documents. No witnesses were called. At
the beginning of the hearing, the circuit court indicated that it did not know what the evidence
was going to be. Yet the trial judge heard from no witnesses. The matters in question included
whether C8 levels at Parkersburg had been shown to cause death in monkeys and whether a
pregnant DuPont employee at the Parkersburg location had sustained a neural tube defect.
Although these assertions were made by plaintiffs' lawyers, there was no evidence presented
to support the lawyers' assertions.
At the conclusion of the in camera hearing, devoid of testimony except for
lawyer assertions, the circuit court ruled that the plaintiffs had shown sufficient similarities
between Parkersburg and Spelter to admit the assertions at trial. As stated by the circuit court,
the issue did not concern the merits of whether C8 had caused harm. Instead, the issue
concerned whether DuPont had engaged in a similar pattern of withholding information from
the public at both Parkersburg and Spelter. Again, there was no evidence presented to prove
this assertion was accurate as required by Rule 404(b).
The circuit court held: [T]he facts complained of as drawn the parallels . . . have
been established . . . that under 401, 402, 403 analysis, that one, they are admissible evidence,
and two, . . . the probative value is not outweighed by the prejudice and will be allowed. Yet,
no evidence was presented to support this ruling, only lawyer assertions.
The trial resumed and the plaintiffs focused upon DuPont's Washington plant
near Parkersburg, West Virginia, as much as upon the Spelter facility. No scientific evidence
was submitted as a foundation for the plaintiffs' lawyers' assertions concerning whether C8
had caused death in monkeys or whether there was a connection between the Parkersburg
facility and the medical condition of the pregnant Parkersburg employee.
Although the required in camera evidentiary hearing was not conducted on the
accuracy of the alleged contamination at other sites, or its similarity to Spelter, the plaintiffs'
lawyers continually commented on and argued about other bad acts. These unproven
comments included: (1) suggestions of contamination and medical monitoring at other DuPont
facilities, (2) references to C8, a different chemical from arsenic, cadmium or lead, (3) an
assertion that DuPont sent a misleading report to the Environmental Protection Agency
concerning cancer in children and (4) an assertion that DuPont utilized a risk-based analysis
to systematically advance financial concerns over public health issues.
It is clear that reversible error occurred and a new trial should have been granted:
(1) for the failure to conduct a meaningful Rule 404(b) in camera hearing during any of the
four phases of the trial, (2) because of the unproven badgering assertions made by plaintiffs'
lawyer while questioning Forte, and (3) because of the unproven assertions in the plaintiffs'
opening statements and closing arguments.
6. Plaintiffs' Closing Arguments Bore No Relation to the Facts
Phase IV of the trial concerned punitive damages. During closing arguments, a
number of unproven, inflammatory, other bad act comments and assertions were made by
plaintiffs' counsel to the jury. Those comments and assertions included: (1) suggesting that
the Mississippi River will receive harmful arsenic particles from the Spelter site; (2)
comparing arsenic, cadmium and lead to fallout from a nuclear bomb; (3) referring numerous
times to the atrocity of mountaintop mining; (4) referring to the Parkersburg site and C8 in
terms of birth defects and animal studies; (5) suggesting that DuPont managers are
carpetbaggers engaged in raping the natural resources of this area; (6) telling the jury, in
conjunction with spurious videos shown during closing argument, that DuPont is like a burglar
breaking into your house and stealing your health and quality of life; and (7) calling DuPont
a renegade corporation.
For example, with regard to the reference to carpetbaggers engaged in raping
the natural resources of this area - a statement which had nothing to do with the issues before
the jury - plaintiffs' counsel asserted:
And when you tell them that with a number, you won't have
people blowing tops off of mountains, and you won't have people
polluting your rivers, and you won't have these carpetbaggers
coming into this town - that's the only way I know how to
describe it - and raping the natural resources of this area.
(See footnote 4)
As to the non-evidentiary burglary videos shown during the plaintiffs' closing
argument, DuPont argued:
Your honor, we saw a video of a masked burglar breaking
into a house. We then saw a video of a man in jail sticking his
hands out from the bars. Those videos were not in evidence.
They are highly inflammatory, prejudicial. They were intended,
obviously, to whip the jury up. Those videos, which were never
disclosed to us, never put into evidence, never shown to your
Honor, have no place in a punitive damages trial, in our view, and
they were obviously put up for one reason and one reason only,
and your Honor, I think it may just work. Those videos alone -
and I've made other arguments that we think, standing alone,
suggest a mistrial is warranted - those videos alone should have
never been played. And were obviously intended to inflame the
jury.
The circuit court denied DuPont's motions for a mistrial. In its subsequent
motion for a new trial, DuPont again alleged due process and Rule 404(b) violations, as well
as error concerning inflammatory arguments by plaintiffs' counsel. The motion for a new trial
was denied by order entered on February 25, 2008.
Rule 23.04(b) of the West Virginia Trial Court Rules provides in part:
Counsel may not comment upon any evidence ruled out,
nor misquote the evidence, nor make statements of fact dehors
the record, nor contend before the jury for any theory of the case
that has been overruled. Counsel shall not be interrupted in
argument by opposing counsel, except as may be necessary to
bring to the court's attention objection to any statement to the
jury made by opposing counsel and to obtain a ruling on such
objection. (emphasis added).
The comments and assertions of plaintiffs' counsel, set forth above, during
closing argument warrant a new trial. As stated in Polaroid Corp. v. Casselman, 213 F.Supp.
379, 381 (S.D.N.Y. 1962):
A lawsuit is not a game but a search for the truth. The ends
of justice are served, not by giving one side a vested right to exhaust the other, but by affording both an equal opportunity to a full and fair adjudication on the merits.
7. Property Damage Remediation Violated West Virginia Law
Phase III specifically concerned property damage, and the jury returned a verdict
in favor of the plaintiffs in the amount of $55,537,522.25 for soil and structural remediation.
The jury determined that the plaintiffs, who were property owners, were entitled to reasonable
costs and expenses for the remediation of their properties. Specifically the jury found that the
plaintiffs were entitled to remediation damages with regard to: (1) soil, (2) residences, (3)
mobile homes and (4) commercial structures. Although the jury returned no damages for
annoyance and inconvenience associated with 'loss of use' during the repair period, the jury
found that the plaintiffs were entitled to damages for the reasonable costs of management,
overhead, profit and contingencies associated with the implementation of the remediation.
As set forth on the Phase III verdict form, the $55,537,522.25 consisted of the
following components as determined by the jury:
1. Soil remediation: $5,652,977.43 (Zone 1A);
2. Residential remediation: $5,961,752.51 (Zone 1); $8,732,368.95 (Zone
2); $12,970,954.25 (Zone 3);
3. Mobile home remediation: $755,185.79 (Zone 1); $1,170,619.64 (Zone
2); $852,287.09 (Zone 3);
4. Commercial structure remediation: $65,410.77 (Zone 1); $200,830.88
(Zone 2); $749,777.42 (Zone 3); and
5. Management, overhead, profit and contingencies: $18,425,357.52.
In West Virginia, the measure of damages to real property is the cost of repair.
However, if the damage cannot be repaired, or if the cost of the repair exceeds the market
value of the property, then the measure of damages is the diminished value of the property.
Syllabus Point 2 of Jarrett v. E. L. Harper & Son, Inc., 160 W.Va. 399, 235 S.E.2d 362
(1977), holds:
When realty is injured the owner may recover the cost of
repairing it, plus his expenses stemming from the injury,
including loss of use during the repair period. If the injury cannot
be repaired or the cost of repair would exceed the property's
market value, then the owner may recover its lost value, plus his
expenses stemming from the injury including loss of use during
the time he has been deprived of his property.
The measure of damages is much the same with regard to personal property.
Syllabus Point 7 of Cato v. Silling, 137 W.Va. 694, 73 S.E.2d 731 (1952), holds:
As a general rule the proper measure of damages for injury
to personal property is the difference between the fair market
value of the property immediately before the injury and the fair
market value immediately after the injury, plus necessary
reasonable expenses incurred by the owner in connection with the
injury. When, however, injured personal property can be restored
by repairs to the condition which existed before the injury and the
cost of such repairs is less than the diminution of the market
value due to the injury, the measure of damages may be the
amount required to restore such property to its previous
condition.
Nevertheless, West Virginia's law on diminished value as a measure of damages
was never considered. Instead, as evidenced by the Phase III verdict form, the actual cost of
remediation was the standard given to the jury. That is because the plaintiffs abandoned West
Virginia's diminished value measure of damages during the trial.
In denying DuPont's motion for a new trial, the circuit court concluded:
During trial, plaintiffs withdrew its Diminution of Value claim and, instead, pursued only remediation for the class properties.
DuPont contends plaintiffs' decision to abandon their diminution
claim unfairly prejudiced DuPont because it had been prepared to
defend against diminution. The Court finds DuPont was not
prejudiced. DuPont was faced with the same property damage
remedy, i.e., remediation, that plaintiffs had sought since the
inception of the lawsuit. (emphasis added)
As a result of the court not following the law of property damage in West
Virginia some property owners will receive more remediation money than the value of their
building. Many of the structures in the class area were not examined by plaintiffs' expert for
their structural integrity because plaintiffs' experts only sampled homes in the class area to
prove remediation damages. Some of the structures to be remediated were abandoned,
dilapidated and unlivable, having little value. Nevertheless, the owners of these run-down
structures will now receive money for new light fixtures, new carpet, new air conditioning, new
ceilings, new double-hung insulated windows, new kitchen ranges and new furniture. Some
structures had a dirt basement floor. Dr. Brown testified that to remediate a basement dirt
floor, there needed to be a new concrete basement poured.
DuPont is entitled to a new trial on the amount of property damage using the
correct standard for property damage. In addition, no property owner should be awarded
damages on a sampling of another persons' property. Even in a class action, each plaintiff's
damages must generally be actually proven rather than awarding money based on a random
sampling. See, e.g., Babineau v. Federal Express Corp., ___ F.3d ___ (11th Cir. 2009);
B.W.I. Custom Kitchen v. Owens-Illinois, Inc., 191 Cal.App.3d 1341, 235 Cal.Rptr. 228
(1987) (Injury or 'fact of damage,' which must be proven on classwide basis in antitrust
action, is separate and distinct from issuance of actual damages. Most class actions
contemplate individual proof of actual damages.) But see, Long v. Trans World Airlines, Inc.,
761 F.Supp. 1320, 1326 (N.D. Ill. 1991) (courts have approved various methods of
discovering and determining damages in class actions on the basis of classwide, rather than
individualized proof of damages, and the use of statistics and representative samples are one
such legitimate method.); Windham v. American Brands, Inc., 565 F.2d 59, 68 (4th Cir.1977)
(if compensatory damages are capable of formula calculations, no manageability problem
exists even though individual claims may exist).
8. The Circuit Court Erroneously Excluded All Evidence of Class Representative Lenora Perrine's Normal Blood Lead Test
In 2005, a lead class representative, Lenora Perrine, who had lived very near the
Spelter plant site for decades, had a blood-lead test to determine if the smelter's emissions had
caused an abnormal elevation of lead in her blood. The test showed that she had a normal
blood-lead level, below any level of concern. The trial court refused to allow DuPont to
present this evidence to the jury. This evidence would have directly refuted plaintiffs' expert,
Dr. Brown, who claimed that, despite DuPont's twenty-million dollar remediation of the
closed plant site, hazardous exposure to contaminants was still ongoing in the class area. It
would have refuted the unproven assertions and arguments by the plaintiffs' lawyers that this
80-year-old woman, who lived near the smelter, suffered bodily and mental injury.
First, the court barred DuPont from introducing the testimony of Mrs. Perrine's
treating physician, Dr. Haeley Harman. Dr. Harman would have explained that her staff gave
Mrs. Perrine a blood-lead test in 2005 and that Mrs. Perrine's blood-lead level was normal.
Second, the court precluded DuPont from asking Mrs. Perrine any questions
about her blood-lead test even though Mrs. Perrine had testified on direct that she was terribly
worried about elevated lead levels.
Next, the court prohibited DuPont from eliciting any testimony about Mrs.
Perrine's blood-lead level from DuPont's expert toxicologist, Dr. Rodricks. Dr. Rodricks
would have testified that Mrs. Perrine's blood-lead test showed her blood-lead level to be
very, very much below (a) level of concern. The court precluded Dr. Roderick's testimony
on this issue even though, only the day before, plaintiffs had conceded that such evidence could
be admissible through DuPont's expert.
Even when plaintiffs conceded that Mrs. Perrine's blood-lead test was
admissible, the circuit court ruled it inadmissible. Plaintiffs' expert Dr. Werntz asserted that
blood-lead testing in the class area supported the theory of ongoing lead exposure in the class
area - though Plaintiffs submitted no test results to substantiate his assertion. Yet when
DuPont sought to refute this assertion with Mrs. Perrine's actual blood-lead measurement, the
circuit court again excluded the evidence.
(See footnote 5)
In a case involving claims of health hazards due to lead exposure, the
measurement of lead in a plaintiff's body is not just relevant, it is crucial. The Perrine blood-
lead test would have fatally undermined Dr. Brown's theory of ongoing exposure. According
to that theory, Mrs. Perrine's test should have shown significantly elevated lead levels, not
normal ones.
Had Mrs. Perrine been an individual litigant seeking to vindicate only her own
claims based on alleged excessive lead exposure, it is inconceivable that this blood-lead test
would have been excluded. But here the court excluded the evidence using the class-action
form as a justification, ruling that the test results can't be offered for any extrapolation
purposes that can be applied class-wide. In other words, because the evidence related only
to a lead plaintiff, Mrs. Perrine, the circuit court deemed it inadmissible. The court's
exclusion of evidence central to the claim of a leading class representative turns the class-
action concept on its head.
Mrs. Perrine was a lead class representative in this case, and she testified in that
capacity. The fact that she showed no signs of exposure (much less significant exposure)
counts against any award of class-wide relief. See, Avery v. State Farm Mut. Auto Ins. Co.,
216 Ill. 2d 100, 139, 835 N.E.2d 801, 827 (2005) (It is well settled that a class cannot be
certified unless the named plaintiffs have a cause of action.). Fundamental to a class action
is that the class representative is typical of and serves as a proxy for the absent class
members, permitting the jury to evaluate the class's claims by evaluating the class
representative's claims. Thorn v. Jefferson-Pilot Life Ins. Co., 445 F.3d 311, 318 (4th Cir.
2006). (A class action allows a representative party to prosecute his own claims and the
claims of those who present similar issues.); Alba Conte & Herbert B. Newburg, Newburg
on Class Actions § 1:1, at 2 (4th ed. 2002) (Class actions are [r]epresentative suits on behalf
of others similarly situated.). A class action does not allow the class representative to avoid
being confronted with the weaknesses in her own case.
Mrs. Perrine's normal blood-lead test would have directly refuted Brown's
testimony that the community continued to put people at risk, and that it was not safe to live
in Spelter. If any of this were true, then Mrs. Perrine's blood-lead levels would have been
significantly elevated, not normal. Mrs. Perrine's blood-lead test is relevant regardless of whether it can be
extrapolated to the whole class. Plaintiffs cite no authority to the contrary. The class's case
depended on the class representatives' case. Thorn v. Jefferson-Pilot Life Ins. Co., supra;
Avery v. State Farm Mut. Auto Ins. Co., 216 Ill. 2d 100, 139, 835 N.E.2d 801, 827 (2005).
Mrs. Perrine was a lead class representative. DuPont had a right . . . to challenge the
allegations of individual plaintiffs and a right to raise individual defenses against each class
member. McLaughlin v. Am. Tobacco Co., 522 F.3d 215, 232 (2nd Cir. 2008); see also,
Newton v. Merrill Lynch, Pierce, Fenner & Smith, Inc., 259 F.3d 154, 192 (3d Cir. 2001)
([D]efendants have the right to raise individual defenses against each class member.);
Guillory v. Am. Tobacco Co., 2001 WL 290603, at 8 (N.D. Ill. Mar. 20, 2001) ([I]f
defendants were not able to individually probe into the peculiarities of each class member's
case, the result would be that they would be denied the opportunity to prepare a defense.).
DuPont is entitled to a new trial because the blood test results on Ms. Perrine
were relevant. DuPont's request for its admission into evidence was proper.
9. The Summary Judgment Concerning the Grasselli Deeds
The circuit court found that the real estate in the chain of title from the original Grasselli deeds covered 40% of the class area. Although the entire class area needed
remediation, the trial court held that the buildings and land in the area covered by the Grasselli
deeds will not be remediated. Therefore, 40% of the land and buildings near the smelter will
remain unsafe.
The circuit court ruled that various releases and easements found within the
Grasselli deeds, which allow discharges from the smelter to be deposited upon the plaintiffs'
lands, are binding and will be enforced. In my opinion, however, the releases in the Grasselli
deeds violate the public policy of this State with regard to the welfare of the residential and
small business owners within the class area. The releases and easements in the Grasselli deeds
should be set aside, and, therefore, I respectfully dissent.
There are a number of reasons why the releases and easements in the Grasselli
deeds, executed in the 1930s, are unenforceable in terms of the welfare of the public. As
discussed below, those reasons include: (1) the allowance of unlimited, continuous emission
deposits upon the parcels in question, (2) the interference with efforts to remediate
nonexcluded properties, (3) the excluded parcels as a secondary source of contamination in
the class area, (4) the patent ambiguity in the deeds surrounding the term easement and (5) the
potential limitation of judicial authority to review covenants and agreements in deference to
administrative agencies. Any of those reasons alone, or in combination, warrant the setting
aside of the releases and easements.
The Grasselli Chemical Company, the original owner and operator of the
smelter, using horizontal retorts or furnaces in the zinc extraction process, began the practice
of depositing zinc residue or tailings at an on-site location which ultimately became the 50
acre waste pile. Production under Grasselli took place from 1911 until 1928 when DuPont
acquired the facility. During the Grasselli years, local farmers complained about a decline in
crop and livestock productivity and filed a number of lawsuits seeking recovery of damages
caused by fumes, gases and dust emitted from the smelter. No illness in humans was
reported. The Bear and Morgan Report, commissioned by Grasselli in 1919, concluded that
dust and fumes from the smelter had negatively impacted plants and livestock in the Spelter
community. Following the 1928 acquisition, DuPont and Grasselli settled the claims and
lawsuits of the farmers and other property owners in the community.
As part of the settlement, certain predecessors-in-title to a number of the
plaintiffs in the Property Class executed deeds in the 1930s granting Grasselli, and its
successors, releases and easements with regard to emissions from the facility. Specifically,
the Grasselli deeds released all claims concerning various off-site properties, and the
productivity thereof, arising from the past, present or future operation of the plant or any
substances discharged therefrom. Moreover, the deeds conveyed to Grasselli, and its
successors, a perpetual right or easement for the discharge of substances over and onto the
off-site properties. According to the circuit court, parcels subject to the Grasselli deeds
comprise approximately 40% of the land in the class area.
The following provisions are representative of the releases and easements found
in the Grasselli deeds:
[T]he said party of the first part does hereby remise,
release and forever discharge said parties of the second part [the
Grasselli Chemical Company, its successors, etc.], and each of
them, and the successors and assigns of them and each of them,
of and from all actions, causes of action, suits, liabilities,
damages, claims, debts and/or demands, in law or equity, which
said party of the first part . . . shall or may have against said
parties of the second part . . . for or by reason of any and all
injuries, damages and/or losses of every kind whatsoever, to said
land of said party of the first part, the productivity and/or
products of said land . . . which have been caused, arisen or
resulted, or are caused, arise or result [or] hereafter may or shall
be caused, arisen or result from, by reason or out of said plant or
the past, present or future existence, construction, maintenance
or operation of said plant, or any substance or substances in the
past, present or future produced, discharged, emanating, cast,
precipitated or escaping therefrom. * * *
The substance or substances hereinbefore and elsewhere
in this deed mentioned do and shall include and extend to any and
all solids, liquids, smokes, dust, precipitates, gases, fumes, vapors
and other matters and things which have been, are or hereafter
may or shall be produced, discharged, emanated, cast or
precipitated, or did, do or shall escape, by or from said plant in,
about or by reason of the manufacture, smelting, extraction or
production of zinc or any product thereof [.] * * *
[The] party of the first part does hereby grant and convey
to said The Grasselli Chemical Company, a Delaware corporation
as aforesaid, and its successors and assigns forever, the full free
and perpetual right to construct, maintain, operate and use the said
plant . . . to carry on the manufacturing, smelting, extracting
and/or producing operation aforesaid, and to produce, discharge,
emanate, cast, precipitate and cause or permit to escape the
aforesaid substance or substances therefrom and over, on and/or
onto said land of said party of the first part or any property or
thing, real, personal or mixed, therein or thereon, without any
compensation except the above recited consideration already
received as aforesaid . . . said party of the first part, for himself,
and the heirs, personal representatives and assigns of him, hereby
releasing any and all such actions, causes of action, suits,
liabilities, damages, claims, debts or demands. * * *
Said party of the first part, for himself, and the heirs,
personal representatives and assigns of him, covenants and agrees
that all of the grants, releases, rights, easements, restrictions,
covenants and agreements in or by this deed made, granted,
created or imposed shall run with said land and the title thereto
and shall bind said land, said party of the first part, and the heirs,
personal representatives and assigns of him, and every subsequent
owner, possessor or occupant of said land, or any part thereof,
and shall inure to the benefit of said parties of the second part and
each of them, and the successors and assigns of them and each of
them forever.
In July 2007, DuPont filed for summary judgment which included the following
averment concerning the Grasselli deeds: The claims of numerous individual plaintiffs are
barred by the operation of releases and easements granted to the Grasselli Chemical Company
and its successors and assigns which expressly allow for the discharge of the products and by-
products of the smelter's operations over and onto their lands. The plaintiffs responded by
asserting that the releases and easements do not bar the property damage claims: (1) because
the extent of the potential contamination and damage was beyond the contemplation of the
original landowners and (2) because the releases and easements, ostensibly allowing off-site
emissions of contaminated materials, violate public policy.
In nearly identical orders entered on September 14, 2007, and September 20,
2007, the circuit court granted DuPont's motion for summary judgment with regard to the
Grasselli deeds. The circuit court noted that the deeds resulted from the settlement of prior
claims and lawsuits. The circuit court relied upon the express language of the deeds and
concluded, without elaboration, that the releases and easements set forth therein are binding
and enforceable upon those plaintiffs who are successors-in-title to the original grantors. The
damage claims of those plaintiffs were, therefore, dismissed.
In relying upon the express language of the Grasselli deeds, the summary
judgment orders do not address whether the import of the releases and easements was beyond
the contemplation of the original parties or whether the releases and easements constitute a
transgression of public policy. Instead, the circuit court indicated that the releases and
easements are unambiguous and are, therefore, binding and enforceable.
I agree that the releases and easements are unambiguous to the extent of the
redundancy employed in those provisions to bind the successors of both the original
landowners and the Grasselli Chemical Company. As long recognized, [w]here the intent of
the parties is clearly expressed in definite and unambiguous language on the face of the deed
itself, the court is required to give effect to such language and, ordinarily, will not resort to
parole or extrinsic evidence. Pocahontas Land Corporation v. Evans, 175 W.Va. 304, 308,
332 S.E.2d 604, 609 (1985); Carr v. Michael Motors, Inc., 210 W.Va. 240, 245, 557 S.E.2d
294, 299 (2001); Henderson v. Coombs, 192 W.Va. 581, 585, 453 S.E.2d 415, 419 (1994).
See also, 4A M. J., Contracts § 40 (Matthew Bender & Co. 2007) (observing that, if the
written contract is unequivocal, the court is not at liberty to search for its meaning beyond the
instrument itself).
Nevertheless, with regard to the extent of the deposit of substances allowed upon
the excluded parcels, a patent ambiguity appears in the language of the Grasselli deeds
surrounding the term easement. Although the Grasselli deeds speak of easements and
releases, those terms are distinguishable. An easement is commonly associated with a right
to cross or use land in a manner not inconsistent with the general use of the land by the owner.
The Grasselli deeds, however, allow substances to be deposited upon the entirety of the
surface of each parcel, in perpetuity, since, obviously, the deposits cannot be limited to a
particular area of the property. Consequently, in the Grasselli deeds, easement can only be
defined as encompassing 100% of the surface (plus all other items of property thereon, real,
personal or mixed) of each excluded parcel, to the detriment of the general use of the land
by the owner. In that regard, the term easement in the Grasselli deeds is a misnomer or, at the
very least, evidences an ambiguity regarding the extent of the emission deposits contemplated
by the original parties.
The language of the releases and easements violate public policy. In Cordle v.
General Hugh Mercer Corp., 174 W.Va. 321, 325 S.E.2d 111 (1984), this Court observed
that a determination of the existence of public policy in West Virginia is a question of law to
be resolved by the court in light of the particular circumstances of each case, public policy
embodying the principle that no person can lawfully do that which has a tendency to be
injurious to the public or against public good. 174 W.Va. at 325, 325 S.E.2d at 114. See,
Mitchell v. Broadnax, 208 W.Va. 36, 45, 537 S.E.2d 882, 891 (2000) (decision of a public
policy issue is a legal query, but such a determination is made on a case-by-case basis).
DuPont asserts that upholding the summary judgment orders would vindicate
public policy because the releases and easements: (1) resulted from the original parties'
freedom of contract and (2) resulted from the settlement of claims and lawsuits which is
favored and encouraged in the law. The plaintiffs contend, however, that those considerations
must give way to a greater public policy of halting the unrestricted, continuous migration of
hazardous materials from a facility, such as the Spelter plant, onto the soil and the residential
and commercial structures of an adjacent community.
Manifestly, the principles set forth by DuPont are not absolute. Syllabus Point
3 of Wellington Power Corporation v. CNA Surety Corporation, 217 W.Va. 33, 614 S.E.2d
680 (2005), holds: This State's public policy favors freedom of contract which is the precept
that a contract shall be enforced except when it violates a principle of even greater importance
to the general public. See, 15 Corbin on Contracts § 79.1 (Matthew Bender & Co. 2003)
(suggesting that the freedom of contract is not superior to the general welfare of the public).
Moreover, in Syllabus Point 1 of Sanders v. Roselawn Memorial Gardens, 152 W.Va. 91,
159 S.E.2d 784 (1968), this Court said: The law favors and encourages the resolution of
controversies by contracts of compromise and settlement rather than by litigation; and it is the
policy of the law to uphold and enforce such contracts if they are fairly made and are not in
contravention of some law or public policy. Syllabus Point 8, Certain Underwriters at
Lloyd's London v. Pinnoak Resources, 223 W.Va. 336, 674 S.E.2d 197 (2008); Syllabus
Point 4, Horkulic v. Galloway, 222 W.Va. 450, 665 S.E.2d 284 (2008); Syllabus Point 3,
Berardi v. Meadowbrook Mall Company, 212 W.Va. 377, 572 S.E.2d 900 (2002).
The Grasselli deeds, made in the 1930s, released Grasselli and its successors
from all claims for losses of every kind caused by the past, present or future operation of the
plant or caused by any substance, in the past, present or future, emanating from the plant.
Although the term substances is defined in the deeds as relating to the smelting of zinc ore,
the by-products arsenic, cadmium and lead are not mentioned. The deeds further grant
Grasselli and its successors the free and perpetual right to discharge, or permit to escape,
the substances onto the lands of the grantors. Finally, the deeds provide that the releases and
easements shall run with the land and shall bind said land to the benefit of Grasselli and its
successors. No reference is made to any standard of conduct on the part of the operators of
the smelter facility. Nor is any restriction placed upon the volume of material allowed to
migrate to the off-site properties. As long as the emissions relate to smelting, the servient
estates are subject to any amount or combination of emission deposits, including arsenic,
cadmium and lead, upon a daily basis, in perpetuity.
In such circumstances, public policy concerns with regard to the present and
future outlook of the class area arise with blinding clarity. Certainly, the economic
development of the region is a matter within the authority of the Legislature. Nevertheless,
the binding of the excluded parcels to exposure to hazardous substances for all the future
through the Grasselli releases and easements, and the long-term impact of that exposure upon
the entire class area, is a factor which may be judicially considered in the circumstances of this
action in determining public policy.
Smelting activities at the plant began in 1911 and continued until the facility
closed in 2001. The last operator, Diamond, continued the practice of depositing residue
containing arsenic, cadmium and lead onto the exposed waste pile. Ultimately, the waste pile
covered 50 acres, was 100 feet in height and reached the bank of the West Fork River. The
February 1996 internal memorandum of the Environmental Protection Agency noted that the
town of Spelter lies in the downwind footprint of the unprotected site soils and tailings pile.
In September 1997, the Environmental Protection Agency issued an Administrative Order
finding that the actual or threatened release of hazardous substances, including arsenic,
cadmium and lead, from the smelter posed a risk to public health and the environment and that
responsive action was required to abate the problem. The subsequent application of Diamond
and DuPont for participation in the West Virginia Voluntary Remediation Program stated that
the 50 acre waste or tailings pile was the primary source of contamination at the smelter
facility. While DuPont has gone to great lengths to remediate the plant site, administrative
orders entered by the regulatory agencies in that regard did not require remediation of the off-
site properties.
To now engage in remediation activities in the class area while 40% of that
area is excluded because of the Grasselli releases and easements will, no doubt, be
counterproductive, especially since the excluded, unremediated properties potentially
constitute a secondary source of contaminant migration, further endangering the
community environment. Remediation efforts will have to avoid the excluded parcels, and,
after remediation is completed, natural weathering processes will likely migrate hazardous
substances throughout the remediated area. There is an old saying to the effect that an
elephant is nothing more than a horse designed by a committee. That is the result of excluding
some properties in the class area while randomly remediating others.
In determining this aspect of the class action, the public policy asserted by the
plaintiffs against the validity of the Grasselli releases and easements does not depend upon
whether the substances were negligently or recklessly deposited upon the off-site properties
or whether there was actual harm to the public. The standard for determining public policy in
the circumstances herein is the magnitude of the threat to the welfare of the public and the
tendency of the otherwise valid exculpatory provisions in the Grasselli deeds to be injurious
to the public or against the public good. See, Cordle, supra, 174 W.Va. at 325, 325 S.E.2d
at 114.
(See footnote 6)
Certainly, the greater the risk to the welfare of the public, the more compelling the
rationale for invalidating unrestricted releases and easements which allow the migration of
hazardous substances upon servient properties.
Nor should this Court defer to the federal Environmental Protection Agency or
the West Virginia Department of Environmental Protection to vindicate public policy. The
remediation orders issued by those agencies, to date, concern only the immediate smelter
facility and not the off-site properties. Moreover, the responsibility of plant operators in
terms of government regulation did not vest until decades after the emissions began and the
waste pile was created. In any event, the challenge of the plaintiffs to the Grasselli releases
and easements, and DuPont's defense thereof, are grounded in the law of contracts. The
validity of the Grasselli deeds, therefore, is for the courts to decide.
The language of the releases and easements in the Grasselli deeds, in conjunction
with the circumstances surrounding the operations at the smelter facility, warrant the
conclusion that the releases and easements violate the public policy of this State as a matter
of law with regard to the welfare of the entire class area. Accordingly, the summary judgment
orders entered on September 14, 2007, and September 20, 2007, should be reversed, and the
claims of the members of the Property Class, heretofore excluded, should be reinstated.
B. Concurrence
I agree with the majority on the award of a new trial on the statute of limitations
issue and the holding that no punitive damages are available in medical monitoring cases.
However, while I agree that DuPont is entitled to a new trial on the statute of
limitation issue, a new trial on this question alone will hardly make up for the numerous
prejudicial errors throughout the trial.
Footnote: 1 I want to preface the dissenting portion of my opinion by emphasizing that none of my
remarks are directed at my colleagues or the trial judge. My colleagues spent hundreds of
hours pouring through the briefs, the record and the trial transcripts. Nevertheless, I believe
they are mistaken.
Footnote: 2 Lead, arsenic and cadmium appear naturally in our environment. Dr. Brown conceded in his testimony that levels of arsenic in West Virginia's forests exceed the safe levels that the
EPA mandates at our work sites. Nevertheless, Dr. Brown opined that it was not safe to live
in the Town of Spelter. He ignored the undisputed fact that not one instance of disease in
humans had been reported in the town in the 100 years since the establishment of the smelter.
Footnote: 3 An example of a defendant proceeding in conscious disregard for the rights and safety
of other persons may be found in the law concerning driving while intoxicated. As stated in
John J. Kircher and Christine M. Wiseman,
Punitive Damages: Law and Practice, 2
nd ed., §
5:03 (
West Group
2000):
The jurisdictions that view driving while intoxicated as sufficient, in and of itself, to warrant imposition of punitive damages strongly emphasize the fact
that the defendant knowingly ingested a substance which would seriously affect
the ability to drive safely, posing a clear danger to others encountered on the
highway. Thus, the conscious choice to drive after drinking to intoxication is
viewed as sufficient antisocial conduct for the imposition of the punitive
sanction. In a California case, for example, the court * * * held that one
who voluntarily continues to consume alcoholic beverages to the point of
intoxication, while knowing that a motor vehicle will later be operated, may be
held to have exhibited conscious disregard for the safety of others.
Accordingly, such behavior would be sufficient to demonstrate the malice required for
an award of punitive damages.
Footnote: 4
Speaking of carpetbaggers, one of plaintiffs' counsel, Robert F. Kennedy, Jr., in his
punitive damage closing argument, said that he helped the plaintiffs in this case because his
father - Bobby Kennedy - had toured West Virginia and found the poorest people that was
a result of injustice and [] because of abuse of power. After touring West Virginia, Bobby
Kennedy said to his children at the dinner table, I hope that when you children grow up, that
you'll do something to remediate that injustice. My research indicates that his father, Bobby
Kennedy, toured West Virginia campaigning for his brother John in the 1960 presidential
primary. I suggest counsel read Allen H. Loughry, II, John F. Kennedy's 1960 Primary
Election and a Culture of Corruption in Southern West Virginia,
Don't Buy Another Vote, I
Won't Pay For A Landslide, (McClain Printing Co., 2006) at 3-27.
Footnote: 5 Plaintiffs say that DuPont, not Dr. Werntz, opened the door. But DuPont asked Dr.
Werntz: You would expect, wouldn't you, if you took blood lead tests of people who lived in
the class area, in light of that ongoing exposure that you say is happening, their blood leads
would be elevated? Dr. Werntz responded: Yes, and that was what was found. Dr. Werntz,
not DuPont, opened the door when he went beyond answering the question by providing non-
responsive (and misleading) testimony that blood-lead tests of class members were elevated.
Footnote: 6 It should be noted that W.Va. Code, 22-22-7(d) [1996], of the West Virginia Voluntary Remediation and Redevelopment Act states: No voluntary remediation agreement may be
modified or amended, unless the amendment or modification is reduced to writing and
mutually agreed upon by the parties to the agreement: Provided, That when the director
determines that there is an imminent threat to the public, he or she may unilaterally modify
or amend the agreement[.] (Emphasis added).