NOT PRECEDENTIAL
UNITED STATES COURT OF APPEALS
FOR THE THIRD CIRCUIT
_____________
No. 11-2826
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HAINES & KIBBLEHOUSE, INC.,
Appellant
v.
BALFOUR BEATTY CONTRUCTION, INC.
_____________
On Appeal from the United States District Court
for the Eastern District of Pennsylvania
District Court No. 5-08-cv-05505
District Judge: The Honorable Stewart Dalzell
Submitted Pursuant to Third Circuit L.A.R. 34.1(a)
January 10, 2014
Before: SMITH, SHWARTZ, and SCIRICA, Circuit Judges
(Filed: February 3, 2014)
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OPINION
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SMITH, Circuit Judge.
Haines & Kibblehouse, Inc. (“H&K”) appeals from an order of the District
Court dismissing its complaint pursuant to the doctrine of judicial estoppel. For the
reasons expressed below, we will affirm.
This case comes before us after traversing a complex procedural path, which
the District Court aptly characterized as “labyrinthian.” Balfour Beatty
Construction, Inc. (“Balfour”) contracted with the Commonwealth of
Pennsylvania’s Department of Transportation (“PennDOT”) to be the general
contractor for the construction of the Route 222 Bypass project (the “Project”). On
April 21, 2004, Balfour entered into a subcontract with H&K to perform certain
paving, subbase, and utility work for the Project. Although the terms of the
contract between Balfour and PennDOT required that the Project be completed by
September 18, 2006, significant delays pushed the eventual completion date back
to late 2007.
On September 18, 2006 (the original date the Project was to be completed),
H&K filed a five-count complaint against Balfour in the Court of Common Pleas
of Montgomery County, Pennsylvania (“Haines I”), alleging, inter alia, that
Balfour’s failure to complete certain predecessor work with diligence caused H&K
to incur significant additional costs and other damages. Balfour removed Haines I
to the United States District Court for the Eastern District of Pennsylvania and
filed a motion to dismiss. On June 7, 2007, the District Court dismissed four of
H&K’s claims without prejudice and remanded the only remaining claim, one for
declaratory relief, back to state court.
The District Court’s decision to dismiss certain counts of the Haines I
2
complaint was based on its determination that, under the terms of the Subcontract,
H&K could not pursue its claims against Balfour unless (or until) Balfour first
sought compensation from PennDOT—a predicate event which had not yet
occurred. In reaching this decision, the District Court relied on Article 2.2.20 of the
Subcontract, explaining:
The plain meaning of Article 2.2.20 is that any claim that the
subcontractor [H&K] has for performing extra work or arising out of a
delay or any other claim, whether it be against PennDot or [Balfour]
must first be compensated by the Owner (PennDot) to the Contractor
[Balfour] before [H&K] can bring suit against [Balfour].[1]
Haines & Kibblehouse, Inc. v. Balfour Beatty Constr., Inc., No. 2:06-cv-4807, slip
op. at 4 (E.D. Pa. June 7, 2007) (emphasis in original).
Following entry of the dismissal order, H&K filed a motion for
1
Article 2.2.20 provides in full:
Condition Precedent. Contractor’s receipt of payment from Owner for each
progress payment, final payment, change, extra work, delay, claim or each
and every other request for payment or compensation by Subcontractor
shall be an absolute condition precedent to any duty or obligation of
Contractor to make any payment to Subcontractor pursuant to any
application for payment or compensation. Such payment by Owner to
Contractor is further an absolute condition precedent to Subcontractor filing
or bringing against Contractor any action for nonpayment of any request for
payment or compensation by way of arbitration, mediation, Federal or State
Court action, or through any other forum for resolution of disputes.
Contractor and Subcontractor hereby expressly acknowledge and agree that
the Contractor’s surety is an intended third party beneficiary of the Article.
In the event any action is asserted by Subcontractor against Contractor or
its surety for nonpayment, this Article shall be a complete defense to
nonpayment by Contractor and surety pending the occurrence of payment
from Owner to Contractor.
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reconsideration and simultaneously requested permission to take an interlocutory
appeal. Both requests were denied. H&K then filed a Notice of Appeal with the
Third Circuit on August 22, 2007. Upon receipt of the Notice of Appeal, the Clerk
of Court instructed the parties to comment on the Court’s jurisdiction, and, more
specifically, to discuss whether the District Court had issued a final order subject
to appellate review. In a letter brief dated September 5, 2007, H&K responded that
the District Court’s dismissal was indeed final. H&K claimed that it was
“stand[ing] on the allegations in the [Haines I] Complaint” because there was “no
way for [it] to cure the ‘defect’ that the District Court found.” Further, H&K
claimed that the condition precedent, as the District Court defined it, “will never be
achieved” because Balfour has no legal avenue to seek compensation from
PennDOT for its own breach of the Subcontract. Accordingly, H&K asserted that it
“will never be able to re-file its Complaint.”
On January 30, 2008, this Court issued an order stating its intention to
address the jurisdictional question during its review of the case on the merits. 2 The
Court, however, did not immediately issue a briefing schedule because the parties
were engaged in our Circuit’s mandatory mediation program. After nearly eight
2
Although the Court determined that it was not appropriate to immediately dismiss the
appeal based on a jurisdictional defect, the Court cautioned that its decision did “not
represent a finding that the Court has jurisdiction to hear the appeal in this case.” Order,
Haines & Kibblehouse, Inc. v. Balfour Beatty Constr., Inc., No 07-3520 (3d Cir. Jan. 30,
2008).
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months of mediation, H&K sought to terminate the mediation process and to
proceed with its appeal. In response, this Court issued a briefing schedule.
Before either party submitted an appellate brief, however, H&K voluntarily
dismissed its Haines I appeal and, in its place, filed a new (second) complaint in
the Montgomery County Court of Common Pleas (“Haines II”).3 H&K’s complaint
in Haines II named the same parties, asserted the same claims, and involved
exactly the same set of facts alleged in Haines I. On November 24, 2008, Balfour
removed Haines II to United States District Court for the Eastern District of
Pennsylvania, and then moved to dismiss based on claim preclusion and judicial
estoppel. Significantly, Balfour argued that H&K was barred by the doctrine of
judicial estoppel from claiming that the District Court had not issued a final order
in Haines I, particularly in light of H&K’s decision to stand on its complaint in the
Haines I appeal and its representations to this Court that it would “never” be able
to re-file its complaint.
In response, H&K argued that its representations regarding the finality of the
District Court’s dismissal in Haines I were made before it discovered that Balfour
3
H&K filed its complaint in Haines II on November 4, 2008, while Haines I was still
pending before the Third Circuit. On November 5, 2008 (the day after Haines II was
filed), H&K sent a two-sentence letter to the Office of the Clerk informally seeking to
“withdraw” its Haines I appeal. However, because this effort was procedurally improper,
the Court did not take any action on H&K’s request. Balfour subsequently moved to
dismiss the Haines I appeal on December 3, 2008. Acknowledging its mistake, H&K then
appropriately filed a motion to voluntarily dismiss its appeal, which this Court granted on
January 22, 2009. Thus, the two actions were pending concurrently for a period of at least
two-and-a-half months.
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had failed to include H&K’s claims in a complaint that Balfour had made to the
Pennsylvania Board of Claims on July 11, 2007 (the “Board of Claims
Complaint”), which H&K did not receive a copy of until September 17, 2007
(twelve days after it filed its jurisdictional letter brief in the Haines I appeal).
Balfour’s Board of Claims Complaint alleged that PennDOT caused Balfour to
incur additional costs and delays on the Project. The complaint, however, did not
mention H&K by name, assert H&K’s claims against PennDOT, or seek payment
for claims arising out of Balfour’s alleged breach of the Subcontract.
H&K claims that only after reviewing the Board of Claims Complaint “and
thereafter conduct[ing] due diligence over a 12 month period” did it determine that
Balfour had waived its right to rely on Article 2.2.20 of the Subcontract. In its brief
opposing Balfour’s motion to dismiss, H&K claimed that this discovery was a
“watershed development” in the context of its Haines I appeal because it showed
that the condition precedent articulated in the District Court’s June 2007 Order had
not been met. This, H&K argued, “eviscerated the factual underpinnings” of the
June 2007 Order, thereby rendering that order moot.
The District Court disagreed, and, on June 1, 2011, entered an order
dismissing the Haines II complaint based on judicial estoppel. Applying the three-
part test set out in Krystal Cadillac-Oldsmobile GMC Truck, Inc. v. General
Motors Corp., 337 F.3d 314, 319 (3d Cir. 2003), the District Court found that
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dismissal on the basis of judicial estoppel was appropriate because H&K took
irreconcilably inconsistent positions, acted in bad faith, and no lesser sanction was
appropriate. The Court rejected H&K’s argument that its discovery about the
contents of Balfour’s Board of Claims Complaint somehow permitted H&K to
abandon its Haines I appeal in favor of filing Haines II in state court. The Court
explained:
H&K . . . argues that it changed its position when it allegedly learned
that Balfour had filed a claim for compensation from PennDot without
preserving H&K’s claims. But this later-acquired knowledge was of
no significance because all that Balfour had done was precisely what
H&K argued to the Court of Appeals Balfour would do—seek
compensation for its own claims against PennDot without including
H&K’s claims.
Haines & Kibblehouse, Inc. v. Balfour Beatty Constr., Inc., 789 F. Supp. 2d 622,
633 (E.D. Pa. 2011) (emphasis in original). H&K timely appealed.4
The District Court had jurisdiction over this matter pursuant to 28 U.S.C. §
1332(a). This Court has appellate jurisdiction under 28 U.S.C. § 1291. A district
court’s decision to invoke the doctrine of judicial estoppel “is reviewed only for
abuse of discretion.” Montrose Med. Grp. Participating Sav. Plan v. Bulger, 243
F.3d 773, 780 (3d Cir. 2001). “[A] court ‘abuses its discretion when its ruling is
4
On June 15, 2011, H&K timely filed a motion asking the District Court to reconsider its
June 1, 2011 Order. While its motion for reconsideration was pending, H&K also filed a
Notice of Appeal of the June 1, 2011 Order, which is the subject of this appeal. This
Haines II appeal was then stayed pending the outcome of the motion for reconsideration,
which the District Court eventually denied by order dated November 19, 2012.
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founded on an error of law or a misapplication of law to the facts.’” Id. (quoting In
re O’Brien, 188 F.3d 116, 122 (3d Cir. 1999)).
Three requirements must be satisfied before a district court may properly
apply the doctrine of judicial estoppel:
First, the party to be estopped must have taken two positions that are
irreconcilably inconsistent. Second, judicial estoppel is unwarranted
unless the party changed his or her position “in bad faith—i.e., with
intent to play fast and loose with the court.” Finally, a district court
may not employ judicial estoppel unless it is “tailored to address the
harm identified” and no lesser sanction would adequately remedy the
damage done by the litigant’s misconduct.
Krystal Cadillac, 337 F.3d at 319–20 (quoting Montrose Med. Grp., 243 F.3d at
780) (emphasis in original). Additionally, the party to be estopped must have “a
meaningful opportunity to provide an explanation for its changed position.” Id. at
320. We agree with the District Court that all the requirements for applying
estoppel have been met here.
First, H&K took two irreconcilably inconsistent positions when it
emphatically argued in its Haines I appeal that it would “never be able to refile its
complaint,” but then—after Haines I languished on our docket for more than a year
and the parties engaged in a prolonged mediation process—proceeded to file a new
(and nearly identical) complaint in the Montgomery County Court of Common
Pleas. We are not persuaded by H&K’s attempt to square these inconsistent
positions by relying on its after-the-fact discovery that Balfour failed to assert
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H&K’s claims in its Board of Claims Complaint. As the District Court explained,
H&K could hardly have been surprised to learn the contents of Balfour’s Board of
Claims Complaint since Balfour did precisely what H&K told this Court in Haines
I Balfour would do—seek compensation only for its own claims.
Second, the District Court did not abuse its discretion in finding that H&K
acted in bad faith. Although H&K received a copy of the Board of Claims
Complaint on September 17, 2007, it did not first seek to withdraw its Haines I
appeal until November 5, 2008. Thus, as the District Court pointed out, H&K had
knowledge of the contents of Balfour’s Board of Claims Complaint more than a
year before it first attempted to withdraw its appeal. H&K lamely suggests this
time was spent “review[ing] the Board of Claims Complaint” and “thereafter
conduct[ing] due diligence.” But we fail to see how H&K needed to conduct due
diligence over a twelve month period in order to understand how Balfour’s
complaint against PennDOT somehow impacted H&K’s rights.
Further, the extended delay is not the only factor supporting an inference of
bad faith. As the District Court explained, H&K was motivated to drag its heels so
it could “avail[] itself of the benefits of pressure on Balfour” created by “a pending
appeal, the Third Circuit’s mandatory mediation program and the obtaining of a[n
appellate] briefing schedule.” These factors support the District Court’s imposition
of a rebuttable inference of bad faith. See Krystal Cadillac-Oldsmobile, 337 F.3d at
9
321 (“[A] rebuttable inference of bad faith arises when averments in the pleadings
demonstrate both knowledge of a claim and a motive to conceal that claim in the
face of an affirmative duty to disclose.”) (citing Oneida Motor Freight, Inc. v.
United Jersey Bank, 848 F.2d 414, 416–18 (3d Cir. 1988)).
Finally, dismissal of Haines II is the appropriate sanction for H&K’s
conduct. We agree with the District Court that “any lesser sanction . . . would still
reward H&K for duplicitous conduct in the course of its appeals process” and
“[m]ore seriously, . . . would not compensate the [various] courts for their waste of
scarce judicial resources.”
Finally, we are satisfied that H&K received a full and fair opportunity to be
heard, as it had multiple opportunities to address the issue of judicial estoppel
before the District Court. Although H&K argues it was entitled to an evidentiary
hearing on the issue of bad faith, “a district court need not always conduct an
evidentiary hearing before finding the existence of bad faith for judicial estoppel
purposes.” Montrose Med. Grp., 243 F.3d at 780 n.5 (citations omitted). Here, the
record was sufficient for the District Court to conclude that H&K affirmatively
misrepresented its procedural position and “played fast and loose with the courts.”
Id. at 780. Accordingly, we will affirm the District Court’s order dismissing the
complaint based on judicial estoppel.
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