UNITED STATES COURT OF APPEALS
For the Fifth Circuit
No. 99-30216
CLAUDE SWOPE; SANDRA K. SWOPE,
Plaintiffs - Appellants,
VERSUS
COLUMBIAN CHEMICALS CO.; ET AL
Defendants,
COLUMBIAN CHEMICALS CO.; HENKEL CORP.; MILLENNIUM PETROCHEMICALS
INC., formerly known as National Distillers & Chemical Corp.,
also known as Quantum Chemicals Corp.
Defendants - Appellees.
Appeals from the United States District Court
for the Western District of Louisiana
January 24, 2002
Before JOLLY and DENNIS, Circuit Judges, and DOWD,* District Judge.
DENNIS, Circuit Judge, and DOWD, District Judge**:
Mr. Claude Swope and his wife brought this suit alleging that
*
The Honorable David D. Dowd, Jr., United States District
Judge for the Northern District of Ohio, sitting by designation.
**
Part I of this opinion was written by Judge Dowd.
1
he was rendered totally and permanently disabled by lung damage
caused through his inhalation of ozone during his employment as a
maintenance worker by Columbian Chemicals Company (“Columbian”).
Columbian is in the business of manufacturing carbon black with a
process that involves the use of ozone. Columbian purchased and
operated ozone generators manufactured by Emery Industries, Inc.
(“Emery”). Henkel Corporation/Millennium Petrochemicals, Inc.,
(“Henkel”) is Emery’s successor corporation and subject to
liability for harm to persons caused by Emery’s defective products.
Under the Swopes’ allegations of facts, Mr. Swope’s lung
damage resulted from hazardous characteristics of the Emery ozone
generators which made them unreasonably dangerous in design and
unreasonably dangerous for lack of an adequate warning of those
hazards. The Swopes allege that Columbian knew to a substantial
certainty that its continual exposures of Mr. Swope to harmful
amounts of ozone without providing him with any respiratory
protection would cause repeated damage to his lungs. Accordingly,
the Swopes sued for damages against Henkel under allegations
raising products liability theories and against Columbian for
intentional torts or batteries. The district court granted motions
for summary judgment by Columbian and Henkel rejecting all of the
Swopes’ claims, except that their products liability claim for
design defect was dismissed voluntarily without prejudice to its
refiling in the event of reversal of the summary judgment in favor
2
of Henkel on appeal.
The questions raised by the Swopes’ appeal from the district
court’s summary judgments against them are: (1) Does this court
have appellate jurisdiction? (2) If so, can the Swopes’ tort action
against Columbian survive a motion for summary judgment because of
a genuine dispute as to whether Columbian’s intentional tort of
battery caused Swope’s lung damage? (3) Is the Swopes’ products
liability action against Henkel time-barred under Louisiana Revised
Statute § 9:2772 because Emery, the manufacturer of the ozone
generators, performed a “construction of an improvement to
immovable property”? (4) If the Swopes’ product liability action
is not time barred under Louisiana Revised Statute § 9:2772, can it
survive a motion for summary judgment because Henkel failed to
carry its burden of showing that Columbian knew or reasonably
should have been expected to know of the dangerous characteristic
of the Emery generator that caused damage to Mr. Swope?
After reviewing the defendants’ motions for summary judgment
de novo, we reverse and remand the case for further proceedings.
I. JURISDICTION
On February 8, 1999, the district court entered an order
granting summary judgment to, and dismissing all claims against,
Columbian. On February 17, 1999, plaintiffs filed both a notice
of appeal from the district court’s February 8 ruling and a
motion to designate the February 8 order in favor of Columbian as
final under Federal Rule of Civil Procedure 54(b). On February
3
22, 1999, the trial court entered partial summary judgment in
favor of defendant Henkel, and dismissed all claims against
Henkel except for plaintiffs’ claim for defective design. The
same day, the district court denied the Swopes’ Rule 54(b) motion
to designate the court’s February 8 ruling as final.
On April 23, 1999, plaintiffs filed a “Rule 41(a)”
stipulated motion to dismiss the remaining claim against Henkel
and a motion to designate both the February 8 and the February 22
orders granting summary judgment as final pursuant to Fed. R.
Civ. P. 54(b). The plaintiffs also filed a second notice of
appeal on both grants of summary judgment. The plaintiffs’
stipulated motion to dismiss was qualified. The dismissal was to
be with prejudice if the trial court’s summary judgment ruling in
favor of Henkel was affirmed on appeal, and without prejudice if
the district court was reversed. On May 3, 1999, the district
court entered an order dismissing without prejudice the remaining
claim against Henkel.1 Also on that day, the district court
granted plaintiffs’ second Rule 54(b) motion and expressly
designated the February 8 and February 22 summary judgment
1
The order reads, in its entirety, “It is hereby ordered,
pursuant to the foregoing Motion to Dismiss Without Prejudice, that
the remaining claim of complainants against Henkel Corporation and
Millennium Petrochemicals, Inc., be dismissed without prejudice.”
The order did not refer to the qualified nature of the parties’
stipulated motion.
4
rulings as final judgments.2
On appeal, Columbian filed a motion to dismiss for lack of
appellate jurisdiction, arguing that appellate jurisdiction is
defective because appellants’ notice of appeal preceded the trial
court’s designation of its summary judgment decisions as final.
Henkel has filed a motion making essentially the same arguments.
The Swopes have filed memoranda in opposition, and Henkel has
replied.
This Court’s jurisdiction is limited by 28 U.S.C. § 1291,
which authorizes appeals from “final decisions of the district
courts.” Hence, as a general rule, all claims and issues in a
case must be adjudicated before appeal, and a notice of appeal is
effective only if it is from a final order or judgment. There
are exceptions, of course, and one such exception is found in St.
Paul Mercury Insurance Co. v. Fair Grounds Corp.3 In that case,
this Circuit held that “a premature notice of appeal is effective
if Rule 54(b) certification is subsequently granted.”4 Here, the
Swopes filed a notice of appeal at the same time they filed for
Rule 54(b) certification. Since the Swopes’ Rule 54(b) motion
2
The order reads, in its entirety, “It is hereby ordered that
the Memorandum Rulings issued on February 8, 1999 and February 22,
1999, be and are hereby rendered as final judgments pursuant to the
Federal Rule of Civil Procedure 54(b), thereby allowing
Complainants the opportunity to appeal the rulings with the United
States Fifth Circuit Court of Appeal.”
3
123 F.3d 336 (5th Cir. 1997).
4
Id. at 338.
5
was subsequently granted,5 the rule in St. Paul Mercury Insurance
Co. controls and appellate jurisdiction is proper.
Appellees argue, however, that St. Paul Mercury Insurance
Co. is inconsistent with United States v. Cooper6 and FirsTier
Mortgage Co. v. Investors Mortgage Ins. Co.7 FirsTier involved a
plaintiff who had filed a notice of appeal close to a month
before entry of judgment, but after a bench ruling on the same
claims. FirsTier held that Federal Rule of Appellate Procedure
4(a)(2) “permits a notice of appeal from the final judgment only
when a district court announces a decision that would be
appealable if immediately followed by the entry of judgment.”8
In Cooper, the Fifth Circuit relied on FirsTier to hold that
no appellate jurisdiction existed where a plaintiff purported to
appeal from a magistrate’s report and recommendation, even though
the district court subsequently entered final judgment.9 In so
5
Rule 54(b) requires an “express determination that there is
no just reason for delay.” The Fifth Circuit does not require a
mechanical recitation of the rule’s requirements, but rather
requires that the district court manifest “unmistakable intent” to
make its judgment final. See Briargrove Shopping Ctr. Joint Venture
v. Pilgrim Enters., Inc., 170 F.3d 536, 539 (5th Cir. 1999). The
district court’s order meets this requirement. Cf. id.; see supra
note 2.
6
135 F.3d 960 (5th Cir. 1998).
7
498 U.S. 269 (1991).
8
Id. at 276.
9
Id. at 963.
6
holding, it disapproved the “Jetco-Alcorn-Alcom” line of cases,
which had held that the circuit can consider a premature appeal
where judgment becomes final prior to disposition of the
appeal.10 Though Cooper did not discuss St. Paul Mercury
Insurance Co., it stated that “to the extent that our prior cases
allowed appeal of non-final decisions, they are no longer good
law . . . . ”11
Cooper does not abrogate St. Paul Mercury Insurance
Co.—Cooper is not an en banc opinion, and FirsTier (decided in
1991) is not an intervening decision (St. Paul Mercury Insurance
Co. was decided in 1997). Hence, the Cooper panel cannot have
overruled St. Paul Mercury Insurance Co.12 Moreover, the logic
of Cooper is not inconsistent with that of St. Paul Mercury
Insurance Co. St. Paul Mercury Insurance Co. may be limited to
the Rule 54(b) scenario, because Rule 54(b) was created
specifically to avoid piecemeal appeals and to create finality
for appeal.13 Cooper, on the other hand, applies to non-final
orders that become final through means other than a Rule 54(b)
motion; and arguably it may apply only in the more limited
10
Id.
11
Id.
12
See Woodfield v. Bowman, 193 F.3d 354 (5th Cir. 1999); Burge
v. Parish of St. Tammany, 187 F.3d 452 (5th Cir. 1999); United
States v. Short, 181 F.3d 620 (5th Cir. 1999).
13
See FED. R. CIV. P. 54(b) advisory committee’s notes.
7
situation where the order purportedly appealed from “can never be
a final decision.”14 In any event, it is unnecessary to decide
today the exact scope of Cooper, since it does not conflict with
St. Paul Mercury Insurance Co., by which we are bound.
We observe that finality in this case was not created by the
filing or granting of the stipulated motion that purported to be
a Rule 41(a) dismissal of the remaining claim against Henkel.15
Hence, the trial court’s granting of the Rule 54(b) motion was
not superfluous and St. Paul Mercury Insurance Co. controls.
It is a settled rule in the Fifth Circuit that appellate
jurisdiction over a non-final order cannot be created by
dismissing the remaining claims without prejudice. This rule
originated in Ryan v. Occidental Petroleum Corp., in which a
14
Id.; see Lazy Oil Co. v. Witco Corp., 166 F.3d 581, 585-87
(3d Cir. 1999) (criticizing Cooper as reading FirsTier too
broadly).
15
Rule 41(a) contemplates dismissal of an “action” rather than
a “claim” or “claims.” At least one court has refused to permit a
Rule 41(a) dismissal of a single claim against a defendant where
other claims remain against that same defendant. See Exxon Corp.
v. Maryland Cas. Co., 599 F.2d 659 (5th Cir. 1979); see also Ryan
v. Occidental Petroleum Corp., 577 F.2d 298, 302 n. 2 (5th Cir.
1978) (stating in dicta that the proper way to dismiss claims
against a remaining defendant is to move for amendment under
Federal Rule of Civil Procedure 15).
It is unnecessary to decide whether the stipulated motion
properly came under Rule 41(a), or whether the dismissal took
effect upon filing, or upon the trial court’s granting, of the
motion. For this reason, we will not consider Henkel’s argument
that the stipulation lacked effect under Rule 41(a) because it was
not signed by all parties.
8
district court granted a defendant’s motion and dismissed the
majority of plaintiff’s complaint.16 In order to appeal, the
plaintiff obtained an order dismissing without prejudice his
remaining substantive claims against the would-be appellees; but
the plaintiff did not file a Rule 54(b) motion to designate the
earlier ruling as final.17 The Ryan court found it lacked
appellate jurisdiction because a dismissal without prejudice
“cannot be regarded as terminating the litigation between the[ ]
parties.”18 In the absence of Rule 54(b) certification, the
trial court’s rulings were held to lack finality under 28 U.S.C.
§ 1291.19
The Ryan rule is employed by three of our sister circuits.20
But two circuits have adopted a rule directly contrary to that of
Ryan.21 In addition, three circuits have adopted a sort of
middle way that requires them to evaluate cases on an individual
16
577 F.2d 298 (5th Cir. 1978).
17
Id. at 300.
18
Id. at 302.
19
Id.
20
See Cook v. Rocky Mountain Bank Note Co., 974 F.2d 147 (10th
Cir. 1992); Chappelle v. Beacon Communications Corp., 84 F.3d 652
(2d Cir. 1996); State Treasurer v. Barry, 168 F.3d 8 (11th Cir.
1999).
21
See Hicks v. NLO, Inc., 825 F.2d 118, 120 (6th Cir. 1987);
Chrysler Motors Corp. v. Thomas Auto Co., 939 F.2d 538, 540 (8th
Cir. 1991).
9
basis.22 Perhaps because of these widely varying approaches, the
merits of the Ryan rule were discussed extensively in the
Eleventh Circuit opinion of State Treasurer v. Barry.23 There, a
majority of the court defended the Eleventh Circuit’s maintenance
of the Ryan rule while Judge Cox, in a special concurrence, urged
en banc reconsideration of the rule.
As Ryan and other courts have stated, a party seeking to
create finality through dismissal without prejudice of remaining
claims must file for Rule 54(b) certification with the trial
court.24 This permits a trial court to control its docket and
make an independent determination whether an appeal is warranted
under the circumstances of the case.25 Judge Cox’s approach,
which would grant parties automatic right of appeal where they
dismiss all remaining claims without prejudice, is dubious for
relying on the “built-in deterrents” to party manipulation.26
22
See Fassett v. Delta Kappa Epsilon, 807 F.2d 1150, 1155 (3d
Cir. 1986); Horwitz v. Alloy Auto. Co., 957 F.2d 1431, 1435-36 (7th
Cir. 1992); Dannenberg v. Software Toolworks, Inc., 16 F.3d 1073,
1075 (9th Cir. 1994).
23
168 F.3d 8 (11th Cir. 1999).
24
Ryan v. Occidental Petroleum Corp., 577 F.2d 298, 302 (5th
Cir. 1978); Mesa v. United States, 61 F.3d 20, 22 (11th Cir. 1995);
see also Broadcast Music, Inc. v. M.T.S. Enters., Inc., 811 F.2d
278, 279 n. 1 (5th Cir. 1987); Oswalt v. Scripto, Inc., 616 F.2d
191, 193 (5th Cir. 1980).
25
See Barry, 168 F.3d at 14.
26
See id. at 20.
10
Further, any factors which make an appeal meritorious, and which
support the argument for appeal as of right, are properly within
the cognizance of the trial court in deciding a Rule 54(b)
motion.
Hence, the Ryan rule requiring Rule 54(b) certification to
create finality will not prevent an appeal where one is
warranted. This is especially so since the abrogation of Ryan’s
other rule that Rule 54(b) certification is only to be granted in
the “infrequent harsh case.”27 The fact that the denial of a
Rule 54(b) certification is reviewable for abuse of discretion is
additional insurance.
The Seventh and the Ninth Circuits have adopted an in-
between rule that allows jurisdiction as long as the parties have
not intended to manipulate the system.28 However, here we agree
with Judge Cox and reject the “practice of combing the record for
manipulative intent” since it “waste[s] resources better spent on
the merits of an appeal.”29 Ryan’s bright-line rule is therefore
preferable as it fosters predictability and streamlines review.30
27
See Federal Sav. & Loan Ins. Co. v. Cribbs, 918 F.2d 557 (5th
Cir. 1990) (noting abrogation by Curtiss-Wright Corp. v. General
Elec. Co., 446 U.S. 1, 10 (1980)).
28
See Dannenberg v. Software Toolworks, Inc., 16 F.3d 1073,
1075 (9th Cir. 1994); Horwitz v. Alloy Auto. Co., 957 F.2d 1431,
1435-36 (7th Cir. 1992).
29
See Barry, 168 F.3d at 21 (Cox, J., specially concurring).
30
Id.
11
In short, Ryan means that finality was created when the
district court granted the Swopes’ Rule 54(b) motion, and St.
Paul Mercury Insurance Co. means that appellate jurisdiction is
proper because, although the Swopes filed a premature notice of
appeal, the orders appealed from were subsequently deemed final
pursuant to Rule 54(b).
II. Intentional Tort
Columbian is not entitled to summary judgment dismissing the
Swopes’ suit against it for damages based on intentional torts or
batteries. There are genuine issues as to the material facts
that Columbian knew to a substantial certainty that it was
continually causing Mr. Swope bodily harm by exposing him to
dangerous amounts of ozone without providing him with any
respiratory protection.
Many of the principal facts are undisputed. Mr. Claude
Swope was employed by Columbian from March 1987 until several
days after his final inhalation of ozone on July 10, 1996.
Columbian continually required Mr. Swope to breathe ozone without
protective respiratory equipment throughout his nine years and
some months of employment. Columbian in this manner repeatedly
caused him and other employees to breathe levels of ozone high
enough to cause them respiratory discomfort, “choke ups,” nausea,
headaches, and chest pains. On at least three occasions,
employees other than Mr. Swope had passed out from breathing too
12
much ozone and had been taken to hospital emergency rooms or
given oxygen on the plant premises. Many other times, employees
had to flee the immediate vicinity in which they were working
because the ozone level had become intolerable. In fact, from
the deposition testimony, it appears that the only safety
instruction Columbian ever gave to Mr. Swope and his fellow
employees for dealing with such levels of ozone was to vacate the
area of excessive concentration of ozone, get some fresh air, and
return to work when feeling better. Thus, Mr. Swope was aware
that Columbian continually required him to breathe high levels of
ozone, but he was not aware that his inhalation of the ozone was
damaging his lungs. It is not disputed for purposes of the
motion for summary judgment, however, that Columbian’s continual
exposures of Mr. Swope to ozone caused him to sustain repetitive
damage to his lungs. Mr. Swope’s physician, Doctor Thomas
Callendar, declared in an affidavit that he had diagnosed Mr.
Swope to suffer injury from frequent exposures of ozone and other
toxic substances over a period of years during the course and
scope of his employment at Columbian. According to Doctor
Callendar, Mr. Swope’s injury occurred due to repeated exposures
to ozone, not solely as a result of his last date of exposure on
July 10, 1996. Therefore, the only question presented at this
stage of the proceedings is whether there is a genuine issue as
to whether Columbian knew to a substantial certainty that its
deliberate continual exposures of Mr. Swope to such levels of
13
ozone without respiratory protection were causing him to sustain
repetitive physical impairments to his bodily condition.
In order to recover from Mr. Swope’s employer in tort, the
plaintiffs must demonstrate that their action falls within the
intentional tort exception to the exclusive remedy rule of the
Louisiana Workers’ Compensation Act. The Act provides that
“[e]xcept for intentional acts . . . the rights and remedies . .
. granted to an employee or his dependent on account of [a work-
related] injury, or compensable sickness or disease for which he
is entitled to [workers’ compensation benefits] shall be
exclusive of all other rights, remedies, and claims for damages .
. . .”31 The Act also provides that nothing “shall affect the
liability of the employer, or any officer, director, stockholder,
partner, or employee of such employer or principal to . . . the
liability, civil or criminal, resulting from an intentional
act.”32
The Louisiana Supreme Court held in Bazley v. Tortorich,
that under Section 1032 of the Workers’ Compensation Act “the
words ‘intentional act’ mean the same as ‘intentional tort’ in
reference to civil liability.”33 Observing that the word
“intent” has generally accepted meaning in the fields of tort and
31
La. Rev. Stat. Ann. § 23: 1032A(1)(a) (West 1998).
32
Id. § 1032B.
33
397 So. 2d 475, 480 (La. 1981).
14
criminal law, the court held that “[t]he meaning of ‘intent’ is
that the person who acts either (1) consciously desires the
physical result of his act, whatever the likelihood of that
result happening from his conduct; or (2) knows that that result
is substantially certain to follow from his conduct, whatever his
desire may be as to that result.”34
In Caudle v. Betts, the court held that when an employee
seeks to recover from his employer for an intentional tort, a
court must apply the legal principles of “general tort law
related to the particular intentional tort alleged in order to
determine whether he has proved his cause of action and damages
recoverable thereunder.”35 The court in Caudle also adopted and
reaffirmed the definition and principles of law set forth in the
Louisiana jurisprudence and the Restatement (Second) of Torts
concerning the intentional tort of battery:
A harmful or offensive contact with a person,
resulting from an act intended to cause the plaintiff
to suffer such a contact, is a battery. The intention
need not be malicious nor need it be an intention to
inflict actual damage. It is sufficient if the actor
intends to inflict either a harmful or offensive
34
Id. at 481 (citing Restatement (Second) Torts § 8 (1965);
LaFave & Scott, Criminal Law, § 28 (1972); W. Prosser, Law of
Torts, § 8 (4th ed. 1971)).
35
512 So.2d 389, 391 (La. 1987).
15
contact without the other’s consent. . . .
The original purpose of the courts in providing
the action for battery undoubtedly was to keep the
peace by affording a substitute for private
retribution. The element of personal indignity
involved always has been given considerable weight.
Consequently, the defendant is liable not only for
contacts that do actual physical harm, but also for
those relatively trivial ones which are merely
offensive and insulting.
The intent with which tort liability is concerned
is not necessarily a hostile intent, or a desire to do
any harm. Rather it is an intent to bring about a
result which will invade the interests of another in a
way that the law forbids . . . .
Bodily harm is generally considered to be any
physical impairment of the condition of a person’s
body, or physical pain or illness. The defendant’s
liability for the resulting harm extends, as in most
other cases of intentional torts, to consequences which
the defendant did not intend, and could not reasonably
have foreseen, upon the obvious basis that it is better
for unexpected losses to fall upon the intentional
16
wrongdoer than upon the innocent victim.36
In Louisiana, “[b]attery does not require direct bodily
contact between the actor and the victim.”37 “The contact may be
with an inanimate object controlled or precipitated by the actor,
such as the surgeon’s scalpel, a bullet or even a thrown
hamburger. The victim need not be aware of the contact when it
occurs.”38 Consequently, the Swopes, by alleging that Columbian
frequently exposed Mr. Swope to excessive levels of ozone that it
36
Id. at 391-92 (citations omitted).
37
Frank L. Maraist & Thomas C. Galligan, Louisiana Tort Law §2-
6(a), at 28 (1996).
38
Id. (citing Saucier v. Belgard, 445 So. 2d 191 (La. Ct. App.
3d Cir. 1984); England v. S & M Foods, Inc., 511 So. 2d 1313 (La.
Ct. App. 2d Cir. 1987); Prosser, supra note 34, § 9, at 40)
(footnotes omitted)). See also Fricke v. Owens-Corning Fiberglas
Corp., 571 So. 2d 130 (La. 1990)(implicitly recognizing an action
for battery resulting from an employer’s intentional exposure of an
employee to harmful gases); Thorning v. Shell Oil Co., 522 So. 2d
558, 559 (La. 1988) (reversing summary judgment against an employee
who introduced evidence that an employer intentionally injured him
by releasing dangerous chemicals with full knowledge of the
damaging effect of such chemicals); Belgard v. Am. Freightways,
Inc., 755 So. 2d 982, 984 (La. Ct. App. 3d Cir. 1999) (reversing
summary judgment in favor of an employer when an employee suffered
debilitating injuries after being ordered to move a trailer soaked
with a toxic liquid ammonium hydroxate solution); Quick v. Myers
Welding & Fabricating, 649 So. 2d 999, 1003 (La. Ct. App. 3d Cir.
1994) (reversing summary judgment in favor of an employer whose
employee was burned after pure oxygen was deliberately introduced
into a tank in which he was welding); Trahan v. Trans-Louisiana Gas
Co. Inc., 618 So. 2d 30, 31 (La. Ct. App. 3d Cir. 1993) (reversing
an exception of no cause of action because an employee’s “neuro-
toxic” injuries were substantially certain to follow from his
exposure to excessive levels of mercaptan); Major v. Fireman’s Fund
Ins. Co., 506 So. 2d 583, 584 (La. Ct. App. 4th Cir. 1987)
(reversing summary judgment in favor of an employer who ordered an
employee to work on the “hot rollers” after being informed that the
plaintiff could not work around chemicals)
17
knew to a substantial certainty would be harmful to his health,
stated a valid cause of action in battery against Columbian.
Rule 56(c) of the Federal Rules of Civil Procedure allows
the court to enter summary judgment in favor of the moving party
only “if the pleadings, depositions, answers to interrogatories,
and admissions on file, together with the affidavits, if any,
show that there is no genuine issue as to any material fact and
that the moving party is entitled to a judgment as a matter of
law.”39 The moving party has the burden of demonstrating
clearly that there is no genuine issue of fact.40 Moreover, the
evidence presented at the hearing on the motion must be
considered in the light most favorable to the opposing party, and
he must be given the benefit of all inferences that might
reasonably be drawn in his favor.41
When the nonmovant would bear the burden of proof at trial,
however, the moving party can make a proper summary judgment
motion in reliance on the pleadings and the allegation that the
nonmovant has failed to establish an element essential to that
39
Fed. R. Civ. P. 56(c); see also Celotex Corp. v. Catrett, 477
U.S. 317, 323 (1986).
40
Celotex, 477 U.S. at 323.
41
W.H. Scott Constr. Co., Inc. v. City of Jackson, Mississippi,
199 F.3d 206, 211 (5th Cir. 1999) (citing King v. Chide, 974 F.2d
653, 655-56 (5th Cir. 1992)).
18
party’s case.42 Rule 56(e) then would require the opposing party
to go beyond the pleadings and to designate specific facts
showing there was a genuine issue for trial.43 However, “[t]he
burden on the nonmoving party is not a heavy one; the nonmoving
party simply is required to show specific facts, as opposed to
general allegations, that present a genuine issue worthy of
trial.”44
In the present case, the Swopes satisfied this requirement
by introducing the countervailing evidence discussed below.
Columbian had been provided Material Safety Data Sheets (MSDS)
regarding ozone for at least ten, and probably twenty, years
prior to Mr. Swope’s disability. The MSDSs dated April 3, 1986,
and April 12, 1994, state, inter alia,: “DANGER! OZONE IS A
HIGHLY TOXIC, IRRITANT GAS! MAY BE FATAL IF INHALED! MAY CAUSE
DAMAGE TO THE LUNGS, RESPIRATORY SYSTEM, AND EYES! DO NOT GET IN
EYES, ON SKIN, OR ON CLOTHING. DO NOT BREATHE GAS OR VAPOR. USE
ONLY WITH ADEQUATE VENTILATION. WASH THOROUGHLY AFTER HANDLING.
42
Celotex, 477 U.S. at 323.
43
Id. at 327.
44
10A Charles Alan Wright et al., Federal Practice and
Procedure § 2727, at 490 (3d ed. 1998) (citing First Nat. Bank v.
Cities Serv. Co., 391 U.S. 253, 288-89 (1968)(“It is true that the
issue of material fact required by Rule 56(c) to be present to
entitle a party to proceed to trial is not required to be resolved
conclusively in favor of the party asserting its existence; rather,
all that is required is that sufficient evidence supporting the
claimed factual dispute be shown to require a jury or judge to
resolve the parties’ differing versions of the truth at trial.”)).
19
KEEP AWAY FROM COMBUSTIBLE MATERIALS.” The MSDS also contained
the following warnings concerning long term exposure to various
concentrations of ozone:
Effects of prolonged, low level (0.3 ppm) exposure are
not well defined; however, scarring and thickening of
small air passages may result in chronic lung disease.
In addition, people with existing lung disease may show
earlier and more severe symptoms when exposed to ozone.
An increased susceptibility to lung disease and
infection may also occur. . . . Symptoms usually begin
with a sensation of tightness in the chest on deep
inspiration and discomfort under the breastbone . . . .
Uncontrollable coughing spasms develop with prolonged
exposure.
The Swopes introduced deposition testimony demonstrating
Columbian’s knowledge that it was requiring Mr. Swope and other
employees to inhale dangerous levels of ozone without protective
equipment. Mr. Bobby Jordan, Columbian’s general plant manager,
and Mr. Richard Bianchi, Columbian’s maintenance supervisor,
former project engineer, and 30(b)(6) witness, testified that
Columbian knew during Mr. Swope’s employment that inhalation of
ozone could be fatal to workers and damaging to their lungs.
The Swopes presented evidence from which a reasonable jury
could find that Columbian was forewarned that it was exposing Mr.
Swope and other employees without protection to lung-damaging
20
concentrations of ozone. On July 17, 1987, Mr. Thomas McQuiston,
an industrial hygienist on behalf of the International Chemical
Workers Union, Local 638, warned Columbian of the danger of ozone
damage to workers in the Columbian plant. Mr. McQuiston’s
report, based on his August 7, 1986 tour of the plant, described
to Columbian the long-term effects of excessive ozone exposure
and specifically warned Columbian that workers’ complaints of
ozone exposure indicated “that the enclosed systems are not
adequately designed and/or maintained to provide adequate
protection against exposure” and that a “preventative maintenance
program should be implemented [to] assure[] potential leaks in
the system are prevented.” (emphasis added). His report to
Columbian stated that excessive ozone exposure could result
“scarring and thickening of the small air passages” and could
result in “chronic lung disease” and noted that “[w]orkers have
complained of symptoms related to ozone exposure[].” Mr.
McQuiston’s report also warned Columbian that “[c]hronic exposure
tends to decrease a worker’s ability to sense the presence of
ozone;” although “[s]ome workers can detect the [ozone] odor down
to 0.05 ppm . . . , chronically exposed workers have not been
able to sense the presence of ozone at 0.3 ppm (three times the
OSHA limit).” A year before Mr. Swope’s last ozone exposure,
Columbian was again warned that it was exposing its employees to
harmful levels of ozone. On June 14, 1995, Mr. Laurence Durio of
Durio Consulting Services, an industrial hygiene consulting
21
group, advised Columbian that the Short Term Exposure Limit for
ozone was 0.2 parts per million. “With that as a basis for
comparison,” the report concluded, “excessive ozone
concentrations were found around the ozone generators and the
number two ozone treater [in Columbian’s plant], which would
likely translate into excessive employee exposures.” (emphasis
added). Moreover, Mr. Bianchi admitted that despite several
surveys and recommendations made by the workers’ union to install
air-monitoring equipment, Columbian did not purchase or install
any ozone monitors until after Mr. Swope’s final inhalation on
July 10, 1996.45 He added that the monitors were removed soon
afterwards because they constantly sounded alarms indicating
excessive concentrations of ozone in the plant. In this regard,
Mr. Bianchi stated, “[Y]ou can’t walk--you can’t walk outside the
building without it sounding whether you’re in here in this
office or anywhere else.” The Swopes also introduced the
December 9, 1998 report of Mr. Joseph Wood, an Industrial
Hygienist and Safety Professional certified by both the American
Board of Industrial Hygiene and the Board of Certified Safety
Professionals, who concluded that “Columbian purposely
disregard[ed] the health of their employees by allowing them to
be exposed to potentially harmful concentrations of ozone.”
45
Although Mr. Bianchi’s deposition does reveal that Dasivi
monitors were installed in the mid-seventies, they were removed
long before Mr. Swope began his employment with Columbian and are
not relevant here.
22
(emphasis added). Mr. Wood evaluated Mr. Swope’s accident in
light of existing OSHA compliance issues and based his
conclusions on the absence of ongoing ozone monitoring programs,
the absence of historical data showing that monitoring was not
necessary, the findings of multiple industrial hygienists that
ozone levels exceeded permitted limits during normal operations,
the knowledge that maintenance activities involve higher levels
of ozone containment, and the absence of point source ozone
monitoring at the generators prior to opening.
Furthermore, the Swopes introduced other evidence from which
it reasonably may be inferred that Columbian knew that Swope and
other employees were being bodily harmed by their unprotected
exposures to ozone. Mr. Bianchi testified that Columbian knew
that union members at its plant had complained about exposures to
ozone. Ozone leaks, according to Mr. Bianchi, “could [occur]
once a month, sometimes once a week.” In fact, Mr. Bianchi,
himself, admitted to having been exposed to ozone, and, over the
course of his thirty years of employment, Mr. Bianchi said the
smell of ozone has “always been there.” Mr. Swope’s fellow
mechanic and relief foreman Mr. Russell Salkowitz testified
during his deposition that “everyone” complained about ozone
exposure. Mr. Salkowitz claimed that “at least 90 percent of the
plant had bad whiffs of ozone” causing headaches, upset stomach,
and chest pains. Mr. Salkowitz further testified that he had
been exposed to ozone in the plant a couple of hundred times.
23
Plant foreman Mr. David Self also recounted his own exposures to
ozone, causing him coughing spasms, and estimated that operators
at the plant had a “choke up” from ozone exposures “once a day or
once a week.” Mr. Self further testified that sometimes ozone
exposure became so pervasive and intense that the whole plant had
to be shut down. Depositions taken from Columbian employees Mr.
Leonce Boudreaux and Mr. Curtis Shoop corroborated the testimony
of Mr. Salkowitz, Mr. Swope, and Mr. Self, regarding the
frequency of worker exposure to ozone. Mr. Boudreaux testified,
“[S]ometimes it was -- ozone was strong enough where you
couldn’t, you know, really go in there [the plant] and work on
the generators.” When asked how many times Mr. Shoop had inhaled
ozone in his work at Columbian, he replied, “It cannot be
numbered. . . . A bunch.”
Mr. Bianchi testified that he knew of at least one case in
which an operator got sick and was taken to the emergency room
because of inhaling or coming into contact with ozone. Mr.
Boudreaux testified that he now suffers from headaches that he
did not have before he worked at Columbian. Mr. Boudreaux also
testified that he missed work because of ozone exposure but that
his absences were not recorded. Mr. Boudreaux recounts that one
night when he arrived at work the ozone smell was so strong that
it pervaded the entire parking lot. When Mr. Boudreaux began
work that night, the union president “called S-Unit and told them
they needed to clear up because the ozone was too strong.” That
24
night when Mr. Boudreaux went home, he suffered a migraine
headache lasting through the entire next day, vomited, and did
not return to work the next night. Mr. Curtis Shoop, another
Columbian employee, testified that he has had coughing and
gasping episodes from ozone and that he witnessed a co-worker,
Mr. Tommy Comeaux, collapse on the job as a result of ozone
exposure. Mr. Van Adams testified that as a result of ozone
exposure he experienced nausea and a tightness in his chest. Mr.
Swope testified that he knew of two other Columbian employees,
Mr. Mike Chauvin and Mr. Harry Johnson, who had been taken to the
hospital because of ozone exposure.
Mr. Swope testified that Columbian never informed him of the
characteristics of ozone, its chemical properties, or the danger
of lung damage from excessive ozone exposure. He stated that
Columbian gave him no special handling instructions regarding
ozone, even though he was constantly exposed to the gas emitted
by the generators during his work. Mr. Swope described the
employees’ exposures and Columbian’s attitude and response to
their painful or distressing inhalation of ozone as follows:
We were constantly exposed to -- from working on the
generators on a -- you know, quite often basis. We
worked -- you know, it seems like they could have
schooled us a little, or maybe went over some material
data sheets on this chemical to let us know the
severity of it and maybe supplied us with, you know,
protective, personal protection equipment, properly
handled the situation. And it was -- you were exposed
to ozone on a routine basis, and they took it like it
wasn’t no big deal. If you breathe some, they would
suggest, you know, you go outside and get some fresh
25
air and -- you know, if you’re exposed to it, get out
and breathe some fresh air and then go back to work. .
. . Several people complained about -- you know,
complained about it. . . . [T]wo other people were
exposed to it and had to be sent to the emergency room.
Not on a particular piece of equipment I was working
on, but in operations they were exposed to the chemical
and had to be treated for it in emergency. One of them
spent the night in emergency -- in the hospital, and
I’m not sure of the treatment of the other fellow. It
seemed like that would have sent some warning flags off
to further educate your employees about the severity of
the chemical that you had the possibility of being
exposed to.
Co-workers Mr. Shoop, Mr. Self, and Mr. Van Adams corroborated
Mr. Swope’s testimony and stated that Columbian never warned its
employees that chronic ozone exposure could be fatal and cause
permanent lung damage.
Columbian’s officers, Mr. Bianchi and Mr. Jordan, admitted
that the company had refused to monitor ozone levels during Mr.
Swope’s employment, despite OSHA regulations requiring it to
report ambient ozone levels of over .06 grams per cubic meter.
And, because of Columbian’s lack of monitoring and testing of air
quality, Mr. Bianchi conceded that he could not say whether
Columbian was in compliance with OSHA. According to Mr. Jordan,
Columbian had fewer than five self-contained breathing
apparatuses to meet the needs of one hundred twenty shift
workers, and these remained stored in a shed three hundred yards
away from the ozone generator buildings.
Columbian supported its motion for summary judgment with the
affidavit of its general manager, Mr. Bobby Jordan, who stated in
26
conclusory fashion that Columbian “did not subjectively intend
Mr. Swope’s alleged injuries to result from the work tasks
assigned to” him and that Columbian “was not substantially
certain that Mr. Swope’s injuries would follow from performing
the assigned work tasks. . . .” Although Mr. Jordan did attest
that he had personal knowledge of the matters in his affidavit,
he did not state what, if any, underlying facts within his
knowledge enabled him to reach those conclusions. Mr. Jordan’s
only statement clearly based on his direct personal knowledge was
that he “did not observe harmful or toxic exposure to plant
employees on a routine basis, nor [was he] aware that other
Columbian employees observed such exposures.” Yet in his final
statement Mr. Jordan admitted that “in any situation in which,
through upset, there have been any kind of exposures, Columbian
Chemicals always took action to make them as short as possible by
terminating the cause of the incident and taking appropriate
remedial action.” Moreover, in his deposition Mr. Jordan did not
profess to be very knowledgeable about ozone at the plant. He
instead deferred to Mr. Bianchi to answer questions concerning
ozone hazards and safety. Mr. Bianchi, on the other hand, who
was designated as Columbian’s 30(b)(6) witness and who was best
qualified to answer questions regarding the operations and
maintenance of the ozone generators by virtue of his 30 years of
experience with the company, did not at any time during his two
depositions deny that he and Columbian knew to a substantial
27
certainty that Columbian had continually exposed Mr. Swope and
other employees to bodily harmful concentrations of ozone during
the period of Mr. Swope’s employment.
Consequently, considering all of the evidence of record it
is clear that a reasonable jury could find that Columbian knew to
a substantial certainty that it was continually exposing Mr.
Swope to high levels of ozone without affording him the
protection of any respiratory safeguard and that his direct
inhalations of such large quantities of ozone would do gradual,
but definite and repeated, bodily harm to him. At the very
least, there is a genuine issue as to whether Columbian knew to a
substantial certainty that its activities would cause a physical
impairment of the condition of Mr. Swope’s body or cause him pain
or illness. Under Louisiana law, in order to prove a battery, it
is not necessary for the plaintiff to show that a tortfeasor
desired to do any harm or even that the defendant knew to a
substantial certainty the full extent of the bodily harm that
would result.46 Because the pleadings, affidavits, and
depositions present conflicting evidence from which a jury could
reasonably reach different conclusions as to whether Columbian
knew that some physical impairment to the condition of Mr.
Swope’s body was substantially certain to follow from his
46
Fricke v. Owens-Corning Fiberglas Corp., 571 So.2d 130, 132
(La. 1990); Caudle v. Betts, 512 So.2d 389, 391-92 (La. 1987);
Restatement (Second) of Torts § 16 (1965).
28
repeated exposures to and unprotected inhalations of ozone, we
conclude that the district court fell into error in granting
Columbian’s motion for summary judgment.
III. PEREMPTION UNDER LA. REV. STAT. § 9:2772
The district court granted Henkel’s motion for summary
judgment against the Swopes based on a statute of peremption or
repose, Louisiana Revised Statute § 9:2772, which provides, in
pertinent part, that “[n]o action . . . to recover damages shall
be brought . . . against any person performing . . . services
preparatory to construction, or against any person performing or
furnishing the design, planning, supervision, inspection, or
observation of construction or the construction of an improvement
to immovable property” more than ten years after an acceptance or
occupation of the work or the improvement by the owner.47 The
Swopes do not dispute that ten years elapsed between Columbian’s
acceptance or occupation of the installation of the generators
and the discovery of their claims against Henkel on or about July
10, 1996. To be entitled to the benefits of the statute,
however, Henkel must prove that the equipment manufactured by its
predecessor, Emery, became part of an improvement to immovable
property,48 and that Emery performed the construction of that
47
La. Rev. Stat. Ann. § 9:2772 (West 1991).
48
Moll v. Brown & Root, Inc., 218 F.3d 472, 475 (5th Cir. 2000)
(per curiam).
29
improvement,49 as the statute is “inapplicable to contracts of
sale.”50 Upon review of the summary judgment record, we conclude
that Henkel has failed to show that there is no genuine issue as
to any material issue and that it is entitled to judgment as a
matter of law.51
The Louisiana Civil Code defines an obligation as “a legal
relationship whereby a person, called the obligor, is bound to
render a performance in favor of another, called the obligee.”52
That performance “may consist of giving, doing, or not doing
something.”53 “The obligation to give is one whereby the obligor
binds himself to transfer to the obligee the ownership of a thing
49
Riley Stoker Corp. v. Fid. & Guar. Ins. Underwriters, Inc.,
26 F.3d 581, 591 (5th Cir. 1994); Bunge Corp. v. GATX Corp., 557
So.2d 1376, 1381 (La. 1990); Smith, III v. Arcadian Corp., 657
So.2d 464, 469 (La. Ct. App. 3d Cir. 1995); Jones v. Crane, 653
So.2d 822, 827 (La. Ct. App. 2d Cir. 1995); DeWoody v. Citgo
Petroleum Corp., 604 So.2d 92, 99 (La. Ct. App. 3d Cir. 1992);
Tenneco Oil Co. v. Chicago Bridge & Iron Co., 495 So.2d 1317, 1322
(La. Ct. App. 4th Cir. 1986); Summerfield v. Harnischfeger Indus.,
Inc., No. Civ. A. 97-3683, 1998 WL 726080, at * 2 (E.D. La. Oct.
13, 1998).
50
KLSA-TV, Inc. v. Radio Corp. of Am., 693 F.2d 544, 545 (5th
Cir. 1982) (per curiam).
51
Louisiana Revised Statute § 9:2772 also provides for the
peremption or repose of actions against persons performing certain
types of land surveying services. La. Rev. Stat. Ann. § 9:2772
(West 1991). However, we are not concerned with any of these types
of actions in this appeal.
52
La. Civ. Code Ann. art. 1756 (West 1996).
53
Id.
30
or to grant him some other real right in a thing.”54 “The
obligation to do is one whereby the obligor binds himself to
carry out or execute an act, or a series of acts, other than the
transferring a real right, such as making or manufacturing
something or rendering a service.”55 The distinction between
obligations to give, e.g., sales, and obligations to do, e.g.,
building constructions, is material to the judicial determination
of questions involving transfer of ownership, risk of loss,
prescription, and remedies. Consequently, Louisiana courts (and
federal courts applying Louisiana precedents) are frequently
required to classify contracts as one or the other when one
obligor is bound under one contract both to transfer things and
provide services or labor to the obligee.56
54
Saúl Litvinoff, Obligations, § 1.4, at 7 (5 Louisiana Civil
Law Treatise 2d ed. 2001) (“Litvinoff II”).
55
Id. § 1.4, at 8.
56
See, e.g., Harris v. Black Clawson Co., 961 F.2d 547, 553
(5th Cir. 1992)(Obligor Black Clawson designed and participated in
the construction and installation of a hydrapulper, a reinforced
concrete tub measuring twelve by eighteen feet, inside the
obligee’s forest products plant. The court concluded that the
obligor’s obligation was to construct the hydrapulper, not merely
to sell it to the obligee. “[I]t is simply not possible that such
a large structure could be constructed elsewhere and shipped to the
site for installation. . . . [I]t cannot be said that the
installation provision of the contract for the design and
installation of the tub was merely incidental to the tub’s sale.”);
KSLA-TV, Inc. v. Radio Corp., 501 F.Supp. 891, 896 (W.D. La. 1980),
aff’d and adopted by, 693 F.2d 544 (5th Cir. 1982)(KSLA-TV
contracted with RCA to design, fabricate, and install a television
antenna tower. Using the fundamental obligation test supplemented
31
When it is possible to isolate one type of obligation from
another owed by the same obligor, each obligation remains subject
to the rules applicable to its own kind.57 But when a single
obligor’s plural obligations are intimately connected, one of the
obligations must be recognized as fundamental, and the whole
contract treated as giving rise to obligations of that kind.58
Analogously, when two obligors are each bound to perform a
different obligation for the same obligee, if the performance of
each may be separately identified, each obligation remains
subject to the rules applicable to its own kind. For example, in
Conmaco v. Southern Ocean Corp., Conmaco, an independent
distributor, sold a craning block to Ocean Salvage, which had
been constructed by McKissick.59 Although the block was built
by a balancing of economic factors the court determined that the
contract involved primarily an obligation to do, “primarily the
furnishing of labor and the contractor’s skill in the performance
of the job.”); Rasmussen v. Cashio Concrete Corp., 484 So.2d 777,
778 (La. Ct. App. 1st Cir. 1986)(Obligor furnished and installed a
5.58 ton home sewer treatment plant. The court concluded that the
primary object of the agreement was the sale of a workable sewer
treatment plant; the installing of the unit was secondary,
ancillary, to the sale.); Papa v. Louisiana Awning Co., 131 So.2d
114, 117 (La. Ct. App. 2d Cir. 1961)(The obligor contracted to
assume two obligations: to deliver or transfer to the obligee a
patio cover and to install and attach it to the obligee’s house.
The court found that the obligation to do was fundamental.).
57
2 Saúl Litvinoff, Obligations, § 157, at 287-88 (7 Louisiana
Civil Law Treatise 1975) (“Litvinoff I”).
58
Conmaco, Inc. v. S. Ocean Corp., 581 So.2d 365, 368 (La. Ct.
App. 4th Cir. 1991)(citing Litvinoff I, § 158 at 291).
59
Id. at 366.
32
according to specifications furnished by Ocean Salvage, and there
had been consultations between all three parties in drawing up
the specifications, the court held that Conmaco’s obligation was
one to give, i.e., to sell or transfer ownership of the block to
Ocean Salvage, and not an obligation to do: “The mere fact than
an obligor may be involved in the installation and delivery of
the equipment will not change the characterization of the
obligation from that of a sales contract and therefore the rules
governing a sale will control.”60
In DeWoody v. Citgo Petroleum Corp., Nelson Electric Company
manufactured and sold a 4,160 volt motor starter to Industrial
Supply Company, which in turn sold and delivered the product to
Citgo.61 The motor starter was installed in Citgo’s refinery,
evidently by a person other than Nelson Electric Company.62 In
determining that a claim against Nelson Electric was not
extinguished by peremption or repose, the court necessarily
concluded that the obligation performed by Nelson Electric was
that of a sale of its product, not an obligation to build or
install the product in Citgo’s refinery.63 “To be entitled to
60
Id. at 370.
61
604 So.2d 92, 98 (La. Ct. App. 3d Cir. 1992).
62
Id. at 98-99.
63
Id. at 99.
33
the benefits of La. R.S. 9:2772, it was not enough that it be
shown that the equipment manufactured by Nelson Electric
ultimately became an improvement to immovable property. . . .
[I]t must be shown that Nelson Electric was a contractor.”64
In Tidewater, Inc. v. Baldwin-Lima Hamilton Corp., Boyce
Machinery Corporation sold a crane to Tidewater which Boyce had
acquired from Baldwin-Lima, the crane’s manufacturer.65 An
independent shipbuilder installed the crane on a vessel it
constructed for Tidewater.66 Boyce inspected the crane after its
installation for proper working order and to make certain
Tidewater’s employees were instructed in the crane’s proper
operation and care.67 The court concluded that the contract
between Boyce and Tidewater was a contract of sale.68 “Although
the manufacturer and [Boyce] may have consulted with the
plaintiff and jointly participated in the drawing up of
specifications for the crane . . . [,] these actions do not
change [the] sales contract to an obligation to do or not to do.
The mere fact that an obligor may be involved in the installation
64
Id.
65
410 So.2d 355, 355-56 (La. Ct. App. 4th Cir. 1982).
66
Id. at 356.
67
Id.
68
Id. at 357.
34
and delivery of the equipment will not change the . . .
obligation from that of a sales contract. . . .”69
In Jones v. Crane Co., Crane manufactured a central heating
unit which ultimately was installed in a house during its
construction by an independent building contractor.70 Crane did
not install the unit, the ventilation system, the gas plumbing,
the interior wires, or the duct system to which the unit was
connected.71 In addition, “[n]othing in the record indicate[d]
that the [central heating] unit was designed or manufactured
specifically for th[at] particular house.”72 Consequently, the
court held that Louisiana Revised Statute § 9:2772 was not
applicable because Crane had not proved that it had entered or
performed a contract to build or install the central heating unit
in the house.73
Applying the foregoing principles of law to the present
case, we conclude that Henkel is not entitled to a summary
judgment as a matter of law declaring that its obligation to the
Swopes as successor to the manufacturer of the generators in
69
Id.
70
653 So.2d 822, 827 (La. Ct. App. 2d Cir. 1995).
71
Id.
72
Id.
73
Id.
35
question under the LPLA has been extinguished by peremption or
repose under Louisiana Revised Statute § 9:2772. It is
undisputed that Columbian purchased the generators in question
from Henkel’s predecessor, Emery, and contracted with an
independent building contractor to have them installed on
Columbian’s property; that the independent construction
contractor installed the generators either autonomously or under
the surveillance of Columbian; and that Emery’s post-sale
services were limited to the secondary, ancillary, chores of
inserting glass dielectric tubes and checking to see that the
generators were in proper working order. Mr. Richard Bianchi of
Columbian testified that “construction was done through an
independent contractor retained by Columbian” and that Henkel had
“absolutely nothing to do with the installation of the unit after
it was delivered to Columbian.” Thus, the summary judgment
evidence indicates that Emery did not supervise or participate in
the installation. Emery advised only on how to “operate the
equipment,” not how to install it. In fact, the record indicates
that Emery may not have even arrived at the scene until the
generators were “almost ready to go.” The summary judgment
evidence is also clear that the work of connecting external
piping and tubing to the generators as sold by Emery was all
supplied by Columbian.
Moreover, from the evidence in the record, it does not
36
appear that Emery custom-made or designed the generators
specifically for Columbian. The record indicates that Columbian
assigned Mr. Bianchi the responsibility for the purchase and
installation of the new ozone generators. Mr. Bianchi went to
Emery’s factory in Cincinnati, “looked at [the Emery] equipment,”
and placed an order: “We purchased them and they worked.”
Evidently, Emery manufactured several different models of
generators in standardized forms, each with different
characteristics and capabilities. The record indicates that
Columbian simply related the production capacity it needed within
its particular plant environment, and Emery sold Columbian the
particular model of generator that would meet these needs. Mr.
Bianchi testified that the information provided to Emery was
limited to “how much ozone they would produce per hour or pounds
per day, the concentration, the voltage that they operated at or
the incoming voltage, . . . [and] the type of air [we] had.”
These figures were simply the raw data used by Emery to decide
which model of its generator to recommend and sell to Columbian.
Columbian’s “needs” data no more amounted to the specifications
for a custom-designed or custom-made generator than would a
request for a standard truck model having a certain load or power
capacity. Furthermore, nothing in the record specifies any
modifications in model structure, characteristics, or
capabilities to be performed by Emery in connection with the sale
37
and delivery of the generators.
Finally, even if Emery owed two obligations, one to give,
i.e., to sell, and one to do, i.e., perform incidental services,
the performance of the obligations would not fall within the
ambit of the statute of peremption or repose because the
inspection and insertion of the glass tubes into the generators
was de minimis in comparison with the performance of the
obligation to give or sell the generators. The parties’ failure
to assign any value or cost to Emery’s post-sale services plainly
indicates that they were insignificant in economic value in
relation to the performance of the obligation to give or sell.
In sum, Emery, the vendor of the generators, performed an
obligation to give, i.e., sale of equipment, to the obligee,
Columbian, and the independent building contractor performed the
obligation to do, i.e., installation and assembly of the
generators for the obligee. Consequently, Henkel failed to
demonstrate the absence of a genuine issue of material fact that,
as a matter of law, it performed an obligation to do, i.e.,
install or construct, rather than an obligation to give, i.e., to
transfer ownership of the ozone generators to Columbian.
IV. INADEQUATE WARNING
At the outset, it is important to note that in this section
we deal with the issue of whether Columbian knew or reasonably
should have been expected to know of the alleged dangerous
38
characteristic of the generator that allegedly caused bodily harm
to Mr. Swope on July 10, 1996. This is different from the issue
we dealt with in Section II, viz., whether Columbian knew to a
substantial certainty that its operations in general, over a
period of time, were exposing Mr. Swope to harmful levels of
ozone caused not only by purgation defects in generators, but
also by other exposures, including during Columbian’s manufacture
of carbon black using ozone after it had been produced by the
generators.
In support of its motion for summary judgment seeking
dismissal of the Swopes’ products liability claim, Henkel argues
that “it is sufficient that the manufacturer prove that the
plaintiff (or his employer) should have known of the danger. . .
[and that] there is no duty under Louisiana law to warn an
employee of a sophisticated user or purchaser of the dangers of a
product.”74 Henkel relies exclusively upon a sophisticated user
or purchaser defense to excuse Emery from its duty as
manufacturer to use reasonable care to provide users and handlers
of the product with an adequate warning75 about the product’s
74
Henkel Br. at 16-17 (emphasis in original).
75
LPLA § 2800.53(9) provides: “‘Adequate warning’ means a
warning or instruction that would lead an ordinary reasonable user
or handler of a product to contemplate the danger in using or
handling the product and either to decline to use or handle the
product or, if possible, to use or handle the product in such a
39
dangerous characteristics at the time it left the manufacturer’s
control.76 The Louisiana Products Liability Act “establishes the
exclusive theories of liability for manufacturers for damage
caused by their products.”77 The only provision of the LPLA that
affords a basis for arguing or guessing that manufacturers’
liability is limited by a sophisticated user or purchaser defense
is section 2800.57(B)(2), which states that a manufacturer is not
required to provide an adequate warning about his product if the
“user or handler of the product already knows or reasonably
should be expected to know of the characteristic of the product
manner as to avoid the damage for which the claim is made.” La.
Rev. Stat. Ann. § 9:2800.53(9) (West 1997); see also Thomas C.
Galligan, Jr., The Louisiana Products Liability Act: Making Sense
Of It All, 49 La. L. Rev. 629, 675-76 (1989) (“A striking element
of the definition is that it equates warning and instruction. . .
. The ‘warning’ under the Act must both alert and instruct. The
conjunctive nature of the definition demands [that] the warning
must both lead the ordinary user or handler to contemplate the
danger in using the product (the warning component) and to either
use it safely (the instruction component) or to decline to use
it.”).
76
La. Rev. Stat. Ann. § 9:2800.57(A) (West 1997) (defining
“unreasonably dangerous because of an inadequate warning”). It
deserves emphasis that Henkel did not move for summary judgment on
other grounds, such as, e.g., that the 30-minute purgation
instruction provided an adequate warning of that hazard, or that
Emery did not know or reasonably could not have known of the
dangerous characteristic of the generator. Consequently, we
presume these factual issues to have been resolved in favor of the
non-movant, the Swopes, for purposes of our de novo summary
judgment review.
77
La. Rev. Stat. Ann. § 9:2800.52 (West 1997).
40
that may cause damage and the danger of such characteristic.”78
Consequently, as Henkel concedes, under any sophisticated
intermediary defense the threshold burden is on the manufacturer
to prove that the purchaser-intermediary knew or reasonably
should have been expected to know of the dangerous characteristic
of the product that caused the damage.79 In a jury trial, if
reasonable minds could differ on that question, the court must
submit the issue to the jury with a proper instruction.80
Consequently, in seeking summary judgment on this issue, Henkel
has the threshold burden of demonstrating that there is no
genuine issue as to the fact that Columbian already knew or
reasonably should have known of the dangerous characteristic of
78
Id. § 9:2800.57(B)(2); see also Davis v. Avondale
Industries, Inc., 975 F.2d 169, 172-73 (5th Cir. 1992)(citing LPLA
§9: 2800.57(B)(2) as statutory authority for an Erie guess “that
Louisiana courts would likely hold that in a setting such as this
the product manufacturer owes no duty to the employee of a
purchaser if the manufacturer provides an adequate warning of any
inherent dangers to the purchaser or if the purchaser has knowledge
of those dangers and the duty to warn its employees thereof.”)
(emphasis omitted). Subsequent to the enactment of the LPLA and
this court’s decision in Davis one Louisiana intermediate appellate
court has expressed uncertainty as to whether the LPLA perpetuates
a sophisticated purchaser or user defense. Black v. Gorman-Rupp,
655 So.2d 717, 722 (La. Ct. App. 4th Cir. 1995) (“The LPLA does not
explicitly address this ‘sophisticated user’ concept, but instead
speaks of ‘the ordinary user or handler of the product.’ At the
present time, we need not decide . . . the issue of whether the
‘sophisticated user’ defense is carried forward under the LPLA . .
. .”) (citations omitted).
79
Henkel Br. at 16-17; see also Davis, 975 F.2d at 174.
80
See Davis, 975 F.2d at 172-75.
41
the generator, viz., its propensity to retain and recycle ozone
so that, contrary to Emery’s instructions and representations, a
30-minute purgation period was not a sufficient precaution to
ensure the safety of a worker opening the generator door to
replace a glass dielectric tube. We conclude that Henkel did not
carry this burden because based on the record presented for our
review a reasonable jury easily could find that Columbian did not
already know and reasonably should not have been expected to know
of that hazardous characteristic of the generator and the nature
and magnitude of the danger it entailed.
In support of its motion, Henkel relied upon evidence in the
record that Columbian manufactured carbon black with a process
that involves the use of ozone for over 55 years and held a
patent on its process; and that since 1982 or 1983 Columbian has
used the Emery generators in question to produce ozone for
subsequent use in its carbon black manufacturing process. The
record reflects, however, that Columbian’s process of making
carbon black with ozone is distinct from the generation of the
ozone with the Emery and other makes of generators. Discovery
was limited to issues concerning the Emery ozone generators;
Columbian did not permit questions concerning the use of ozone
after it left the generators and was used in the actual carbon
black manufacturing process in which Columbian had a proprietary
interest. Nevertheless, Henkel contends, in effect, that a
42
reasonable jury would be unable to find that Columbian did not
already know or should not have been expected to know of the
dangerous characteristic of the Emery generator and the
inadequacy and inaccuracy of Emery’s safety instructions and
representations. We disagree – especially in light of the
countervailing evidence presented by the plaintiffs.
In opposition to Henkel’s motion for summary judgment the
Swopes presented, inter alia, the report of their expert witness,
Mr. Stephen A. Killingsworth, a registered professional
mechanical engineer, and the depositions of Mr. Richard Bianchi,
Columbian’s maintenance supervisor and former project engineer,
Mr. Swope, and other employees of Columbian. Mr. Killingsworth
reported on the characteristics of the ozone generator that
caused damage to Mr. Swope, in pertinent part, as follows:
• Observations/Opinions - Emery did not provide a
method to monitor and/or determine the presence of
ozone within the ozone generator during system
shutdown and/or maintenance of the generator,
specifically when the generator heads are removed.
Emery acknowledged and incorporated safety
relative to the protection of the equipment such
as high and low air pressure, low cooling water
flow and high gas and water temperature. However,
Emery does not acknowledge and incorporate safety
43
into the design of the generator relative to the
protection of the individual or work[er]
maintaining the equipment, specifically installing
a monitor and/or detection system to determine the
presence of ozone prior to or during maintenance
of the generators. The design of Emery ozone
generators should have included an ozone
monitoring and/or detection system.
• Observation/Opinions - Emery’s maintenance and
safety procedures do not include considerations
for leakage and/or improper system purging.
Emery’s procedure requires a post-purge of the
entire system for a minimum of 30 minutes to drive
the ozone out of the ozone generator and all
downstream piping. However, the process is
flawed. The ozone generator and piping does not
include a monitor and/or detection system to
determine if the system is truly purged of all
ozone. Ozone may remain within the system or re-
enter the system through valve leakage, improper
purging including insufficient purge time or
insufficient flow of the purging media or simply
human error. Emery should have provided a
maintenance and safety procedure that included
44
considerations for leakage, improper purging and
human error.
Thus, Mr. Killingsworth reported that Emery’s purging
instructions were both inadequate and untrue because they
inaccurately represented that the prescribed 30-minute purge was
sufficient to remove all ozone from the generator and make it
safe to be opened for maintenance. Mr. Bianchi testified that
under the guidance and instruction of Emery employees, Mr. Quisno
and Mr. Merit, he helped write operation and repair procedures
for the Emery generators based on Emery’s operation manual; and,
that among the operations and repair procedures necessary to
insure a safe work environment is a prescribed 30-minute purge of
the generators. Mr. Killingsworth’s report stated that he had
taken into account an itemized list of materials, including “[a]
copy of the Emerzone Ozone Treatment System’s Operation and
Maintenance Manual for the Columbian Chemicals Company North Bend
Ozone Facility[.]” A reasonable jury could infer from Mr.
Killingsworth’s report and Mr. Bianchi’s deposition that Emery
conveyed to Columbian the inadequate and inaccurate purging
instructions described by Mr. Killingsworth via the Emery
operation and maintenance manual and other written and oral
communications. The deposition of Mr. Bianchi combined with that
of Mr. Swope tend to corroborate the inadequacy and inaccuracy of
the purging instructions. Although Mr. Bianchi could not say for
45
certain how long the generator that delivered the last blast of
ozone to Mr. Swope on July 10, 1996, had been shut down, he did
testify that at the time a “thirty-minute purge” was the standard
time for pre-maintenance shutdown. Mr. Swope testified that after
he and a co-worker opened the generator door and replaced the
dielectric tube, they shut the door temporarily while the co-
worker fetched some silicone to apply to a gasket. When the door
was reopened and after Mr. Swope began to apply the silicone, he
was struck in the face by a blast of ozone mist. He fell to his
knees, unable to breathe, and crawled away from the open
generator door vomiting. Afterwards he suffered from respiratory
difficulties, was given oxygen, and spent the remainder of the
work day in the company’s air conditioned lunch room. Mr. Leonce
Boudreaux, the co-worker who witnessed the accident, corroborated
Mr. Swope’s testimony.
Henkel does not address the evidence of record in any detail
in an effort to show that there is no genuine issue as to whether
Columbian already knew or reasonably should have been expected to
know of the Emery generator’s dangerous characteristic of
retaining ozone after the 30-minute purgation period in
contradiction to Emery’s safety instructions and representations
of facts. Henkel presents two arguments based on the general
facts that Columbian had extensive knowledge and experience in
making carbon black with a process involving ozone; and that
46
Columbian had used the Emery ozone generators to produce ozone
for this process.
The first argument, in effect, merely suggests that because
of Columbian’s experience with the Emery generators, a reasonable
inference could be drawn that it already knew or should have
known of their dangerous characteristics. We need not decide
whether this is a reasonable inference which could be drawn from
the record evidence. Assuming arguendo that it is, a jury could
with equal, if not more, reasonableness find that Columbian
reasonably relied on the safety instructions and representations
of Emery and did not discover their inaccuracy and the dangerous
characteristic of the generator to retain ozone after purgation
until Mr. Swope’s final exposure caused by that characteristic on
July 10, 1996.81
The second argument begs the question and improperly inverts
the analysis required by LPLA § 2800.57(B)(2). Simply put, the
argument is that because of Columbian’s extensive experience in
making carbon black with a process using ozone, Columbian is a
81
Moreover, as we read LPLA § 2800.57(A)and (B) together, the
manufacturer is relieved of the duty of providing an adequate
warning about dangerous characteristics at the time the product
left its control only if the user or handler at that time already
knew or reasonably should have been expected to know of the
characteristic and its danger. We do not base our decision herein
on this statutory nuance, however, because there is no evidence
that Columbian ever acquired actual or constructive knowledge of
the dangerous characteristic prior to Mr. Swope’s exposure to ozone
on July 10, 1996.
47
sophisticated purchaser and user of anything involving ozone in
its business, and therefore Columbian should have been expected
to know of the latent dangerous characteristic of the generator
contradicted by Emery’s safety instructions and representations.
However, LPLA § 2800.57(B)(2) explicitly requires that the
manufacturer, in order to be relieved of his duty to warn, prove
that the user or handler of the product already knew or
reasonably should have been expected to know of the product’s
dangerous characteristic.82 Once this threshold burden of proof
has been met, it may be plausible to find an implication in the
statute that the purchaser becomes a sophisticated intermediary
with an exclusive or concurrent duty to warn his employee users
and handlers of the danger. But the statute plainly does not
authorize courts to judicially notice or assume ipse dixit that a
particular purchaser is a sophisticated intermediary with respect
to a specific latent dangerous characteristic of a product. The
argument begs the question because it “bas[es] a conclusion on an
assumption that is as much in need of proof or demonstration as
the conclusion itself.”83
The record does not contain evidence of sufficient concrete
facts to demonstrate that there is no genuine dispute that
82
La. Rev. Stat. Ann. § 9:2800.57(B)(2) (West 1997).
83
Bryan A. Garner, A Dictionary of Modern Legal Usage 82
(1987).
48
Columbian should have known of the latent dangerous
characteristic of the ozone generators it purchased from Emery.
In fact, it is undisputed that these were the first ozone
generators Columbian had ever purchased from Emery and that the
vast majority of Columbian’s experience had been with other makes
and models of generators. Moreover, there is nothing in the
record to suggest why even a highly experienced user or handler
of ozone generators should have been expected to know that the
particular Emery generators purchased by Columbian could not be
safely and adequately purged in the manner prescribed by Emery.
Just as an experienced trucking firm or its professional drivers
might not be expected to anticipate an unusual hidden danger
involved in a routine engine maintenance procedure, we see no
reason in this record to believe that an experienced user of
ozone generators should have been aware of the specific dangerous
propensity of the Emery ozone generators to recycle and retain
ozone even after following the manufacturer’s prescribed purging
procedure. Based on the present record, a reasonable jury could
infer that a carbon black manufacturer in Columbian’s position
reasonably should not be expected to know that the Emery
generators could not safely be purged according to Emery’s own
instructions and representations, although that manufacturer
might reasonably be expected to know everything about how to use
the ozone subsequent to its generation in its patented carbon
49
black manufacturing process. There is nothing in the record to
indicate that Columbian had ever made an ozone generator or had
any occasion to delve into the intricacies of its internal
operation. Indeed, it is undisputed that Columbian had never
dismantled or performed major internal maintenance on the Emery
generators or had even opened anything on such a generator other
than its outer door for the minor maintenance purpose of
replacing glass dielectric tubes. Mr. Jordan explicitly stated
in his deposition that as far as he knew a “turnaround”84 was
never done by Columbian on an Emery ozone generator, and Mr.
Bianchi confirmed that belief. Mr. Bianchi testified that no
periodic inspections or maintenance procedures were done on the
Emery generators, other than the replacement of the glass
dielectric tubes.
The cases cited by Henkel do not conflict with the foregoing
analysis or require a conclusion that there is no genuine issue
as to whether Columbian already knew or reasonably should have
been expected to know of the latent dangerous characteristic of
the Emery ozone generator despite Emery’s inaccurate and
inadequate safety instructions and representations. For example,
Henkel cites Davis v. Avondale Industries, Inc.85 for the
84
According to Mr. Jordan, a “turnaround” is “when we take a
unit down and go through the complete unit and take a look at all
of the equipment and do maintenance work on all of the equipment.”
85
975 F.2d 169 (5th Cir. 1992).
50
proposition that “if Columbian was a sophisticated user. . . then
the Henkel defendants owed no duty to warn Columbian or Swope. .
. .”86 In the present case, however, we do not reach the question
of what would be the effect of Henkel having carried its burden
of showing that Columbian was a sophisticated intermediary. We
cannot do so because there is a genuine dispute as to whether
Columbian already knew or reasonably should have known of “the
characteristic of the product that may cause damage and the
danger of such characteristic.”87 In Washington v. Department of
Transportation, this court, in a harmless error analysis of an
evidentiary ruling that was assumed to be erroneous arguendo,
cited Davis and concluded that the manufacturer had no duty to
warn because the purchaser-intermediary’s representative
testified he actually already knew of the pertinent danger.88
Henkel cites a number of cases that are inapposite because,
among other reasons, they applied pre-LPLA law and did not
involve alleged sophisticated intermediaries. All but one were
decided after a full trial and not on a motion for summary
86
Henkel Br. at 17.
87
La. Rev. Stat. Ann. 9:2800.57(B)(2) (West 1997) (emphasis
added); accord Davis, 975 F.2d at 172-75 (implicitly recognizing
that this and related issues must be submitted to the jury with
proper instructions if reasonable minds could differ, as the court
in Davis evaluated the adequacy of a jury instruction on the
“sophisticated purchaser” defense).
88
8 F.3d 296, 300 (5th Cir. 1993).
51
judgment. Hines v. Remington Arms Co. is inapposite for the
additional reasons that the court found de novo from the jury
trial record that the trial court’s exclusion of warning evidence
was harmless because (a) the gunpowder manufacturer “provided
ample warning of the flammability and danger of the product,”
(b) the plaintiff admitted he was well aware of the danger of
firing a bullet into a container of gunpowder, and (c) the danger
of pointing “a loaded high powered rifle at gunpowder, [is] well
known and obvious to the ordinary consumer, especially one such
as Hines, who is a sophisticated user of rifles and gunpowder.”89
The court’s use of the term “sophisticated user” in Hines is not
relevant to the present case. In Todd Shipyards Corp. v.
Hercules, Inc., this court held that the district court was not
clearly erroneous in finding after a full trial that the
defendant manufacturer adequately warned Todd of the application
and limitations of the product, thermal barrier cloth.90 The
purchaser and his employees admitted to having knowledge of the
danger that the cloth could burn, and the defendant introduced
expert testimony that this danger was common knowledge in the
industry.91 The court’s statement that the plaintiff was a
“sophisticated user” was not especially meaningful or crucial to
89
648 So.2d 331, 337 (La. 1995).
90
859 F.2d 1224-25 (5th Cir. 1988).
91
Id. at 1226.
52
the holding. In Ducote v. Liberty Mutual Insurance Co., the
trial court found, after a full trial, that the manufacturer’s
warning that the electrical saw should be grounded while in use
to protect the user from electric shock was adequate to warn an
experienced carpenter of the danger of death by electrocution.92
The trial court based its decision on a finding that the warning
was adequate, not on whether the manufacturer had been relieved
of a duty to warn; the use of the term “sophisticated user” in
the appellate opinion was unnecessary and irrelevant.93 Finally,
the court in Scallan v. Duriron Co., applying pre-LPLA law,
affirmed a summary judgment relieving the manufacturer of a duty
to warn because the danger was obvious to an ordinary, not a
sophisticated, user.94
Moreover, none of these cases presented an issue of whether
there was a genuine issue of material fact for trial as to
whether a purchaser already knew or reasonably should have known
92
451 So.2d 1211 (La. Ct. App. 4th Cir. 1984).
93
Id. at 1215 (“Having determined that the trial court did not
clearly err in finding that Skil Corporation’s warnings were
adequate, we must affirm the judgment.”).
94
11 F.3d 1249, 1252 (5th Cir. 1994). Although the court in
Scallan does make mention of the term “sophisticated user,” its
holding is clear: “The danger inherent in pumping chlorine through
a hydraulic pump is obvious to an ordinary user of hydraulic pumps,
such as Allied. Consequently, no genuine issue of material fact
exists as to whether Duriron had a duty to warn that the pump
should be fitted with an automatic sensing mechanism or used with
an inert hydraulic fluid.” Id.
53
of the dangerous characteristic of a product so as to excuse a
manufacturer’s failure to provide an adequate warning. All
except one were decided after a trial, and the one was a case of
summary judgment based on a danger obvious to an ordinary user.
V. CONCLUSION
For the foregoing reasons, the judgment of the district
court in favor of defendants, Columbian and Henkel, is REVERSED
and the case is REMANDED for proceedings consistent with this
opinion.
54