HEADNOTE: R.J.REYNOLDS v. STIDHAM (NO. 77, SEPT TERM. 2015)
FIFTEEN MONTHS AFTER FILING SUIT AGAINST ASBESTOS DEFENDANTS,
AFTER MOST OF THE DEADLINES SET IN A SCHEDULING ORDER FOR
COMPLETION OF DISCOVERY AND NAMING OF WITNESSES HAD PASSED,
PLAINTIFFS FILED AN AMENDED COMPLAINT JOINING SEVERAL TOBACCO
COMPANIES ON A THEORY OF SYNERGY – THAT THEIR LUNG CANCER WAS
CAUSED BOTH BY SMOKING AND EXPOSURE TO ASBESTOS. THE CIRCUIT
COURT DISMISSED THEM AS BEING IMPROPERLY JOINED ON THE SPECIAL
ASBESTOS DOCKET BUT WITH LEAVE TO REFILE THE CASE ON THE
GENERAL CIVIL DOCKET; SIXTEEN MONTHS LATER AFTER ALL CLAIMS
AGAINST ALL OF THE ASBESTOS DEFENDANTS HAD BEEN RESOLVED,
PLAINTIFFS MOVED TO REINSTATE THE TOBACCO COMPANIES IN THE
ASBESTOS CASE. THE COURT DENIED THE MOTION, AND PLAINTIFFS
APPEALED. THE COURT OF SPECIAL APPEALS DISMISSED THE APPEAL AS
MOOT, BUT DECIDED TO DISCUSS THE MERITS ANYWAY.
COURT OF APPEALS HELD:
(1) THERE WAS A FINAL JUDGMENT IN THE CASE;
(2) THE APPEAL WAS MOOT, AS THERE WERE NO LONGER ANY ASBESTOS
DEFENDANTS LEFT TO BE JOINED WITH.
(3) THE COURT OF SPECIAL APPEALS DID NOT ERR IN ADDRESSING THE
MERITS FOR GUIDANCE IN FUTURE CASES, BUT THE COURT OF
APPEALS, HAVING TAKEN THE CASE, GAVE ITS OWN GUIDANCE
REGARDING THE PROPRIETY OF JOINING ASBESTOS AND TOBACCO
COMPANIES IN A SINGLE ACTION.
.
Circuit Court for IN THE COURT OF APPEALS
Baltimore City
Case No. 24X08000326
Argued 5/9/16 OF MARYLAND
No. 77
September Term, 2015
R.J. REYNOLDS TOBACCO CO., et al.
vs.
DOUGLAS A. STIDHAM, etc., et al.
Barbera, C.J.
Greene
McDonald
Harrell, Glenn T. (Retired, Specially
Assigned)
Battaglia, Lynne A. (Retired, Specially
Assigned)
Raker, Irma S. (Retired, Specially
Assigned)
Wilner, Alan M. (Retired, Specially
Assigned),
JJ.
Opinion by Wilner, J.
McDonald, J., dissents in part
Filed: July 5, 2016
This case is another attempt by plaintiffs with lung cancer to join in one action
claims against both asbestos and tobacco defendants on the premise that their cancers
arose from exposure to the products of both sets of defendants – that the cancers were
caused by both smoking cigarettes and exposure to asbestos. As it had done before in
other cases, the Circuit Court for Baltimore City refused to permit the joinder of the two
sets of defendants on the special asbestos docket maintained by the court.
The issues in this appeal are largely procedural ones: whether there is a final
judgment in the case; whether the plaintiff’s appeal, in any event, is moot and should be
dismissed on that ground; if the appeal is not moot, whether the Circuit Court erred or
abused its discretion under Md. Rule 2-212 in denying joinder of the two sets of
defendants; and, even if the appeal is moot, whether the Court of Special Appeals erred in
addressing the joinder argument made by the plaintiff for guidance of the Circuit Court in
other pending cases where joinder may be sought. We shall conclude:
(1) There is a final judgment in the case;
(2) The appeal, however, is moot and should be dismissed on that ground; and
(3) The Court of Special Appeals did not err in expressing its views on the joinder
issue for the guidance of the lower court in other cases, but, now that the case
is before us, we shall do so.
BACKGROUND
The Asbestos Docket in Baltimore City
Much has been written about the avalanche of asbestos cases that began
overwhelming courts throughout the country in the 1970s, and there is no need for us to
repeat it all.1 Suffice it to say that the Circuit Court for Baltimore City was, and
continues to be, especially hard hit, in large part because of the shipbuilding industry that
flourished in and around the City during and after World War II, in which asbestos
products were stockpiled and commonly used.2 In ACandS v. Godwin, 340 Md. 334, 342,
667 A.2d 116, 119 (1995), this Court noted that, in September 1987, 1,000 asbestos cases
had already been filed in that court, that by 1990, more than 4,900 such cases had been
filed, and it was expected that 50 additional cases would be filed each week. This
Court’s Standing Committee on Rules of Practice and Procedure heard testimony in 1995
1
See Stephen J. Carroll, et al., Asbestos Litigation 22 (2005), available at
http://www.rand.org/content/dam/rand/pubs/monographs/2005RASND_MGI162; Paul D.
Carrington, Asbestos Lessons: The Consequences of Asbestos Litigation, 26 Rev. Litig.
583, 589 (2007); Deborah R. Hensler, As Time Goes By: Asbestos Litigation After
Amchem and Ortiz 80 Tex. L. Rev. 1899 (2002); Linda S. Mullenix, Beyond
Consolidation: Postaggregative Procedure in Asbestos Mass Tort Litigation, 32 Wm. and
Mary L. Rev. 475 (1991), all cited in Eduardo C. Robreno, The Federal Asbestos Product
Liability Multidistrict Litigation (MDL-875): Black Hole or New Paradigm, 23 Widener
L. Rev. 97 (2013). By 1991, it was estimated that 715,000 asbestos cases were pending
in the State and Federal courts throughout the country. Id. Robreno, supra at 106.
2
During the war, the Navy became the country’s largest consumer of asbestos. It is
estimated that approximately 4.5 million shipyard workers may have been exposed to
asbestos fibers. Eduardo Robreno, supra, n.1 at 102.
2
that 10,000 cases were then pending. It is currently estimated that approximately 30,000
asbestos cases are pending in the Circuit Court for the City.
These cases presented at least three major problems. First, of course, was the
sheer volume. They are almost always jury cases; how can one court, with ever-
increasing criminal, juvenile, and domestic dockets, deal in a proper and timely manner
with such a volume? Second, they are complex product liability cases, with myriads of
derivative claims – cross-claims, counter-claims, and third-party claims – presenting
issues not just of liability to the plaintiffs but of contribution and indemnity. They can
take, and have taken, weeks or months to try. As we pointed out in Godwin, supra, 340
Md. at 342, 667 A.2d at 119-20, if, as anticipated in the Circuit Court’s 1990 case
management plan, two judges would be designated to try ten consolidated plaintiffs’
actions at a time, one batch per judge each month, by the end of the century new filings
would be ten times greater than the number of cases tried.
The third problem was that, in the great majority of these cases, the plaintiff,
though perhaps able to demonstrate some biological effect from exposure to asbestos
products, had yet to suffer any symptoms, any serious illness.3 In order to avoid a
problem with the statute of limitations, the cases needed to be filed because some injury
had occurred, but they might not be ready to try for many years and there remained the
3
Mesothelioma reportedly has a long latency period. Symptoms may not become
diagnosable for 30 years or more. See Asbestos Injury Litigation, 60 Am.Jur.Trials 73 §6
(1996).
3
real prospect of dismissal under Md. Rule 2-507 for inactivity. The combination of these
problems tended to make these cases unique.
Like courts elsewhere, the Circuit Court tried a number of innovative techniques
in an attempt to break the logjam, including an effort at global settlements through court-
annexed mediation. None of those techniques cured the problem, or even made much of
a dent in it. In 1990, the court made plans to consolidate 8,555 pending actions for trial
on certain common issues – whether the defendants manufactured, sold, distributed, or
installed defective products, whether they violated a duty to warn of dangers inherent in
the products, and whether they could be liable for punitive damages. The cases of six of
those plaintiffs would be tried on all issues except derivative claims, which were reserved
for a later consolidated trial. With respect to the other 8,549 plaintiffs, if the verdicts on
the common issues permitted a finding of liability, absent settlements, further trials would
be necessary in each of those cases to resolve issues personal to the particular plaintiffs.
The major consolidated trial lasted six months. The judgments entered in that case were
appealed and resolved by this Court in Godwin. So-called “mini-trials” on the individual
issues then ensued.
In the meanwhile, new cases were pouring in. Between 1990 and 1993, an
additional 1,300 new asbestos cases were filed. Those cases were consolidated for trial
on common liability issues arising from them and on the derivative claims that had been
severed from the first consolidated trial. The second consolidated trial lasted eight
months. The appeal took another seven years. See ACandS v. Abate, 121 Md. App. 590,
4
710 A.2d 944 (1998) and Crane v. Scribner, 369 Md. 369, 800 A.2d 727 (2002). In the
meanwhile, for cases that were not settled, the “mini-trials” continued. See Keene Corp.
v. Levin, 330 Md. 287, 623 A.2d 662 (1993). The device of major consolidated trials on
common issues was abandoned in favor of trying clusters of smaller groups, mostly of
mesothelioma and lung cancer cases.4
In 1987, while contemplating the consolidation approach and through a
comprehensive master pre-trial order, the court created a special asbestos docket and
special procedures that would govern asbestos cases. The order applied only to personal
injury and wrongful death actions based on exposure to asbestos. Among other things, it
(1) appointed named individuals as liaison counsel with authority to speak for the
respective parties in matters relating to discovery and pre-trial proceedings, call meetings
for the purpose of coordinating responses to questions from the court, and for initiating
proposals for joint briefs and schedules, (2) created in the clerk’s office five separate
master files for the filing of papers (trades cases, Bethlehem Steel cases, railroad cases,
other asbestos cases, and shipyard cases) and directed in some detail how cases were to
be allocated to those master files, (3) created special discovery procedures, including
4
In March 2014, the judge assigned to the asbestos docket, responding to a request to re-
commence large consolidated trials, noted in a Memorandum Opinion the difficulty of
dealing with the derivative issues that would arise in a massive consolidated trial,
observing that “[w]e cannot begin to speculate about the number of derivative claims that
would arise from a Consolidation III involving some sixty defendants” and that
“[i]mplementing such a massive project, with large numbers of parties and diverse
interests, would take an enormous amount of time and resources.” See Memorandum
Opinion in In re: Asbestos Personal Injury and Wrongful Death Litigation Global (Circ.
Ct. Balt. City, Global Case No. 24-X-87-048500) at 22.
5
requirements for master sets of interrogatories, procedures for document requests and
requests for admissions, procedures to govern depositions, including videotaped
depositions, and limitations on medical examinations of plaintiffs, and (4) created master
pre-trial schedules. Although the 1987 order has been amended from time to time – the
latest being in 2013 – those kinds of special procedures, including electronic filing of
documents, applicable only to asbestos cases, still exist.
Those orders dealt with cases that were headed for trial. They did not address the
third problem noted above, of cases filed but not ready to be tried because the plaintiff
was still symptom-free. That problem was dealt with through the adoption of Md. Rule
1211A (later renumbered as Rule 16-203 and recently renumbered again as Rule 16-306)
in 1992. That Rule, expressly limited to actions seeking money damages for personal
injury or death allegedly caused by exposure to asbestos or products containing asbestos,
permits the administrative judge of the Circuit Court for Baltimore City to establish a
special inactive docket for asbestos cases filed in or transferred to that court. The Rule
permits the order to specify the criteria for placement of asbestos cases on that inactive
docket and for the removal of such cases from the docket and to stay the time for filing
responses to the complaint, discovery, and other proceedings in cases on the docket. The
Rule further exempts cases on the inactive docket from Rule 2-507.
Directly on the heels of the adoption of that Rule, the administrative judge of the
Circuit Court adopted an administrative order that (1) required all future asbestos cases to
be placed initially on the inactive docket, (2) established medical criteria for removal of
6
cases from that docket, and (3) established procedures for seeking to have a case removed
from the inactive docket and either placed on the court’s active civil docket or, if the case
had initially been transferred from another county, sent back to that county. See In re:
Asbestos Personal Injury and Wrongful Death Asbestos Cases, No. 92344501 (1992 WL
12019620).5 That order also has been amended from time to time, but not in any way
relevant to this case. It thus appears that asbestos cases in Baltimore City are governed
by the two administrative orders – one dealing with the inactive docket and the other
controlling pre-trial procedure after a case is removed from that docket.
Joinder of Tobacco and Asbestos Cases
As noted, this is not the first attempt on the part of plaintiffs suffering from lung
cancer to join tobacco and asbestos companies in a single action in the Circuit Court for
Baltimore City, in an effort to establish joint and several liability on their part for
contributing to the development of the cancer. According to the second amended
complaint filed in this case, medical evidence regarding what later came to be called
“synergy” was published in the 1950s and the tobacco industry was aware of it in the
1960s. The appellate courts in Maryland first became aware of the attempt to join the
two sets of defendants in 2003, in Gress v. ACandS, 150 Md. App. 369, 820 A.2d 616
5
Rule 16-203 expressly permits asbestos cases filed in any of the other Circuit Courts in
the State to be transferred to the Circuit Court for Baltimore City, provided venue would
lie in Baltimore City.
7
(2003) (Gress), reversed sub nom Brown v. Gress, 378 Md. 667, 838 A.2d 362 (2003)
(Brown).
In Gress/Brown, four plaintiffs, separately, had filed suit against eleven asbestos
defendants based on the plaintiffs’ occupational exposure to asbestos products. Those
actions, which were consolidated for trial, were filed between 1991 and 1997. In 2001,
the plaintiffs filed an amended complaint adding six tobacco companies as defendants.
The gravamen of their action against the two sets of defendants, as it is here, was that,
“because the combination of asbestos exposure and cigarette smoking acted in ‘synergy’
and multiplied the risk of developing lung cancer, cigarette smokers who were exposed to
asbestos had a much greater chance of developing lung cancer and other disease than
non-smokers who were exposed solely to asbestos.” Gress, 150 Md. App. at 375, 820
A.2d at 619.
The tobacco companies moved to dismiss or sever the claims against them,
arguing that joinder was inappropriate. At the conclusion of the hearing, the court orally
granted the motion, explaining that (1) the cases involve “two different kinds of products,
two different methods of distribution, two different uses,” (2) the objective of the joinder
Rule (Md. Rule 2-212) is to facilitate the attainment of a just, speedy, and inexpensive
determination of all disputes between the parties, (3) joining asbestos defendants with
tobacco companies would not accomplish those goals, (4) such joinder “will cause
confusion to the jury because a unique set of practices and procedures had developed
under the asbestos docket which would be, in fact, in this Court’s view, prejudicial to the
8
cigarette defendants” if they were, at that late date, joined in the action, and (5) the
addition of the tobacco defendants would “disrupt the orderly procedures that the
asbestos docket [then had] in place.” Upon those findings, the court announced that it
would “dismiss without prejudice with the right to refile.”
The appellate issues dealt with how the trial court actually implemented its
decision to deny joinder. Immediately following the hearing on March 22, the court
entered an order granting the motion “to dismiss or sever.” Five days later, March 27, the
plaintiffs noted an appeal from that order. That same day, the tobacco companies
requested an amendment to the March 22 order to clarify that the asbestos defendants had
not been dismissed. On March 28 and April 17, the court entered amended orders in
three of the four cases dismissing without prejudice only the claims against the tobacco
companies. No amended order was entered in the fourth case. Gress, 150 Md. App. at
376, n.3, 820 A.2d at 620, n.3. The plaintiffs moved to strike the March 28 and April 17
orders or, in the alternative, to enter judgment under Md. Rule 2-602(b)(1), which the
court denied.
The plaintiffs’ appeal was met with a motion to dismiss for want of a final
judgment. The Court of Special Appeals agreed that there was no final judgment and that
the trial court did not abuse its discretion in declining to enter judgment under Rule 2-
602, but it concluded that it had the authority to enter such a judgment on its own
initiative, and it did so. It then proceeded to determine that joinder of the tobacco
companies was proper, believing that the cases against the two sets of defendants
9
involved common questions of law and fact, including whether there is scientific merit in
the plaintiffs’ synergy theory and what the defendants knew or should have known about
the synergistic effect of cigarette smoking and exposure to asbestos. This Court granted
certiorari and concluded that the Court of Special Appeals had no authority to enter
judgment under Rule 2-602 when the trial court had expressly declined to do so. We
reversed the intermediate appellate court’s judgment and remanded with instructions to
dismiss the appeal.
The appealability issue returned to us in Silbersack v. ACandS, 402 Md. 673, 938
A.2d 855 (2008). That too involved an attempt to join tobacco and asbestos companies in
a lung cancer case under a synergy theory of liability. As in Gress and here, the action,
filed in the Circuit Court for Baltimore City, initially was against just the asbestos
companies, but five years later, in December 2001, an amended complaint was filed that
joined a number of tobacco companies, which objected to the joinder and moved to
dismiss the claims against them. The Circuit Court granted the motion, for the same
reasons it had expressed in Gress. Presumably accepting that there was no final
judgment, the plaintiffs, in lieu of an appeal, sought a writ of mandamus from this Court
directing the trial judge to vacate the dismissal orders or, in the alternative, directing her
to enter final judgment under Rule 2-602. We denied the petition. Allen v. The
Honorable M. Brooke Murdock, Misc. No. 11, Sept. Term 2002.
The case then took another turn. In July 2005 – eight years after the action was
filed – the case was consolidated with ten other lung cancer asbestos cases for trial.
10
Unfortunately, nine of the defendants had filed bankruptcy and the cases against them
were automatically stayed pursuant to 11 U.S.C. §362. Meanwhile, the plaintiffs had
dismissed their claims against the remaining defendants. They then moved (1) to
reinstate their claims against the tobacco companies, (2) to enter final judgment under
Rule 2-602 and (3) to “administratively dismiss” the asbestos defendants in bankruptcy
subject to reinstatement upon their emergence from bankruptcy, all of which were denied.
The plaintiffs then appealed those denials, claiming that they were the equivalent
of a final judgment. We disagreed with that assertion and dismissed the appeal. We
confessed our ignorance of any procedure of administrative dismissal subject to
reinstatement but we did observe that “if the dismissal is for the purpose of allowing a
final judgment to be entered, there would be no case left to which the dismissed
defendants could be rejoined or reinstated.” Id. at 687, 938 A.2d at 863. See also Brown
v. Culbertson, 387 Md. 501, 876 A.2d 78 (2005), directing the Court of Special Appeals
to dismiss a similar appeal based on Gress.
This Case
With this contextual history, we look at what happened here. In January 2008,
Jack Stidham filed a short form complaint on the Circuit Court’s asbestos docket against
38 asbestos companies, alleging causes of action for strict liability, breach of warranty,
negligence, fraud, conspiracy, and market share liability. At his request, the case was
removed from the inactive docket, answers and crossclaims were filed, and discovery
11
ensued. His case was consolidated with nine other asbestos cases, and, on July 2, 2008, a
scheduling order was entered that, among other things:
(1) required plaintiffs’ responses to interrogatories and requests for documents to
be made by December 24, 2008;
(2) required any challenge to the adequacy of those responses to be made within
15 days thereafter;
(3) required the defendants to identify parties against whom contribution, set-off,
and indemnity claims will be filed by January 28, 2009;
(4) set February 11, 2009 as the deadline for serving third-party complaints;
(5) required identification of fact witnesses by plaintiffs by March 9, 2009 and
identification of expert witnesses by March 19, 2009;
(6) required all depositions of plaintiffs’ fact witnesses by July 20, 2009;
(7) required all defendants and third-party defendants to identify all witnesses who
may testify at trial by August 9, 2009;
(8) scheduled a pre-trial conference for September 28, 2009; and
(9) scheduled trial to commence on October 20, 2009.
Fifteen months later, on April 29, 2009, the plaintiffs filed a second amended
complaint that added three tobacco companies as defendants. Fifty-six pages of the
amended complaint, comprising 206 paragraphs, were taken up with allegations
regarding misconduct by those companies, which formed the basis for charges of strict
12
liability for failure to warn, fraud by affirmative misrepresentation, fraud by concealment,
strict liability for defective design, and civil battery.
The tobacco companies moved to dismiss, without prejudice, the claims against
them on the ground of misjoinder for the reasons asserted in and found meritorious in the
Gress case, noting that the court had “repeatedly ruled in the ‘synergy’ cases [that] the
attempt to join newly-asserted claims against Cigarette Defendants with previously filed
claims in asbestos cases is inappropriate under Rules 2-212 and 2-213.” No hearing was
requested on the motion and none was held. On June 30, 2009, the court entered an order
dismissing “without prejudice” the three tobacco companies. No time was stated within
which the plaintiffs might file a new action against those companies. No request was
made to enter judgment with respect to those defendants under Rule 2-602(b)(1), and no
such judgment was entered.
On October 29, 2010 – sixteen months later – the plaintiffs filed a motion, in the
asbestos case, to “reinstate” the tobacco companies as defendants. They alleged in their
motion that, with one exception, the case had been “fully resolved as to the Asbestos
Defendants, including bankrupt Defendants, by summary judgment, settlement and/or
dismissal.” The one exception involved claims against Wallace and Gale Settlement
Trust, which the plaintiffs said they “expect to dismiss in the near future.” In fact, they
had filed a separate motion to dismiss that defendant but asked that the court rule on their
motion for reinstatement before granting the motion to dismiss Wallace and Gale. The
tobacco companies objected to that request, arguing that it was an attempt to circumvent
the improper joinder order entered 16 months earlier and create appellate jurisdiction that
13
otherwise would not exist. In separate orders, the court denied the motion for
reinstatement and granted the voluntary dismissal of Wallace and Gale.
The plaintiffs appealed from the 2009 order dismissing the complaint as to the
tobacco companies and the two October 2011 orders. In an unreported Opinion, the
Court of Special Appeals dismissed the appeal on the ground that the record reflected
many outstanding claims that had not been dismissed by the Circuit Court or for which
judgment had not been entered on the docket and that there was therefore no final
judgment in the action. Stidham v. Brown & Williamson Holdings (Sept. Term 2011, No.
1922, Opinion filed March 11, 2013). When the case returned to the Circuit Court, the
plaintiffs filed a motion for an order entering final judgment, which, following a hearing,
the court signed. The order, filed on April 2, 2014, stated that, “[f]or the purpose of
clarifying the record that all claims and all parties have been adjudicated in this case,” it
set forth the manner of disposition of every claim against every defendant. The claims
against the tobacco companies were characterized as dismissed “without prejudice with
the right to refile.” In addition to that listing, the order stated that “[a]ll other claims,
cross-claims or third party claims are dismissed with prejudice.” This appeal was then
filed.
In a reported Opinion, the Court of Special Appeals concluded, first, that, because
all claims against all of the asbestos defendants had been finally adjudicated, there was a
final judgment in the case. In a classic example of “Catch-22,”6 however, the Court
6
The term “Catch-22,” now a popular expression in the English language, but probably in
no other one, comes from the 1961 novel of the same name by Joseph Heller. The term
14
concluded that, precisely because there were no asbestos defendants left in the case, it
was impossible for the tobacco defendants to be joined with them, and the issue they
raised was therefore moot because what they sought to do can no longer be done.
Ordinarily, when an appeal is moot the appropriate disposition is to dismiss the
appeal and not address the merits of the issues raised (other than mootness). The Court
of Special Appeals correctly noted, however, that when a case “presents a recurring
matter of public concern which, unless decided, will continue to evade review,” the
appellate court may address the merits. Stidham v. R.J. Reynolds Tobacco, 224 Md. App.
459, 469, 121 A.3d 156, 162 (2015), quoting in part from LaValle v. LaValle, 432 Md.
343. 352, 69 A.3d 1, 7 (2013). Recognizing that there were approximately 700 other
cases pending in which plaintiffs have sought to join claims against tobacco companies
with claims against asbestos defendants, that the Circuit Court consistently has not
allowed the joinder of those claims, and that every effort at seeking appellate review of
those decisions on the merits has been thwarted, the Court decided to reach the issue.
In doing so, it concluded that the Circuit Court had not given proper consideration
to the purpose of Rule 2-212 and to the various ways in which any perceived problems
with joining the two sets of defendants could be dealt with short of simply denying the
joinder. In the end, the Court dismissed the appeal as moot but at least implicitly
suggested that the Circuit Court rethink its policy.
has been defined as a paradoxical situation from which an individual cannot escape
because of contradictory rules.
15
Neither side was entirely happy with what the intermediate appellate court did.
We granted cross-petitions for certiorari to review whether there was a final judgment,
whether the appeal really is moot, and, if it is, whether the Court erred in addressing the
merits.
DISCUSSION
Final Judgment
The question of whether there is a final judgment in the case was raised by the
tobacco companies. They find no error in the Circuit Court’s final order documenting the
disposition of the claims against all of the defendants and entering judgment on all
crossclaims, counterclaims, and third-party claims. Their sole argument is that the
dismissal of the tobacco companies without prejudice and with the right to refile
somehow either keeps them in the case or allows them to be added back, apparently
whenever the plaintiffs may choose to do so. They construe the two orders – the 2009
order dismissing them from the case and the 2011 order denying the motion for
reinstatement -- as little more than a ruling that the action against them cannot proceed on
the asbestos docket.
That is not what the court said, however. If that is all it meant, it would simply
have transferred the action against them to the general civil docket. It did not do so. It
expressly dismissed the action against them with the right of the plaintiffs to refile it,
which necessarily means to refile it as a new case. The plaintiffs did not refile it. Both
sides, and the court, treated the order for what it said – dismissal. The tobacco
16
defendants were out of that case. If that were not so, the plaintiffs would not have
needed to seek “reinstatement.”
The general, overarching rule is that an order that has the effect of terminating an
action in a circuit court is a final, appealable judgment. Hariri v. Dahne, 412 Md. 674,
680, 990 A.2d 1037, 1040 (2010). Dismissals are a category of orders that may have that
effect. Whether they do may depend on what they say. Dismissals can be outright,
without any qualifying language, or they can be accompanied by some qualifying
language – with prejudice, without prejudice, with the right to file amendments to the
complaint or an amended complaint (with or without a limitation on when such a filing
must be made), or, as here, with the right to refile a new complaint. That language can
have significance in terms of what a party can then do.
An outright dismissal of an entire complaint (or of all claims left in the complaint),
without granting leave to amend, puts the plaintiff out of court and terminates the
particular action in the trial court, at least as to that plaintiff. That is so whether the
dismissal is with or without prejudice. Moore v. Pomory, 329 Md. 428, 431, 620 A.2d
323, 325 (1993); Metro Maintenance Sys. v. Milburn, 442 Md. 289, 112 A.3d 429 (2015).
If there are no claims by or against any other parties remaining in the action, it constitutes
a final and appealable judgment (assuming the other requirements for entering a
judgment are satisfied). If there still are one or more claims pending, it will not constitute
a final, appealable judgment but may be subject to an interlocutory appeal pursuant to
Md. Code, §12-303 of the Courts Article, the entry of judgment under Rule 2-602, or an
appeal under the collateral order doctrine. The relevant distinction between “with” or
17
“without” prejudice concerns whether the party is free to pursue the claim in any new
litigation.
The issue presented here is whether there is an affinity between a dismissal with
leave to amend and a dismissal with leave to refile. The tobacco companies note that
there are no Maryland decisions directly on point and ask us to follow an Illinois decision
concluding that a dismissal with the right to refile “manifests the intent of the court that
the order not be considered final and appealable.” See Flores v. Dugan, 435 N.E.2d 480
(Ill. 1982).
Because the Illinois law defining final judgment is quite different than the
Maryland law on that subject, the Flores case is not on point. The action there was
dismissed for want of prosecution. Illinois law defined a final judgment as a
determination by the court on the issues presented by the pleadings, i.e., a decision on the
merits. An Illinois Rule provided that, unless a statute specified otherwise, an
involuntary dismissal of an action operates as an adjudication on the merits. The Flores
Court noted that an Illinois statute specifically allowed a party to refile within one year
after dismissal of an action for want of prosecution, which, in its view, was inconsistent
with regarding a dismissal for lack of prosecution as a decision on the merits. That is
why the dismissal was not regarded as a final judgment.
In the context presented here, a dismissal with leave to amend is not the
equivalent of a dismissal with leave to refile. A dismissal with leave to amend the
complaint or file an amended complaint does not terminate the action. It is not a final
judgment and is therefore not appealable under Md. Code, §12-301 of the Courts Article.
18
Moore v. Pomory, supra. As the Moore Court explained, the express grant of leave to
amend indicates an intent not to finally dispose of the case, which remains open whether
or not an amendment is filed, until another order is entered disposing of the case. Id.
Metro Maintenance Sys. v. Milburn, supra confirmed that principle but added the
statement that “when an order anticipates additional proceedings in the same court during
which the parties may continue to litigate their rights in the particular matter, the order
does not terminate the proceedings in that court, and is not a final judgment.” Id. at 300-
01, 112 A.3d at 436. Metro Maintenance was a judicial review action in which, at the
request of a party and the agency, the court remanded the case to the agency for a further
proceeding without reaching the merits of the dispute but with the expectation that the
case would then return to the court. That language, and the ultimate conclusion that the
order was not a final, appealable judgment, were entirely appropriate in that context.
The language regarding whether the court anticipated further proceedings in the
same court may be a bit too broad in the context of what is before us here, however.
Any dismissal without prejudice may produce a new filing in the same court, but that
prospect does not deprive the order of finality. The question here is whether, in
dismissing the tobacco companies with the right to refile and refusing to reinstate them,
the court had any anticipation that further proceedings may be instituted in that action,
and the answer to that is “no.” The court had a standing policy that tobacco companies
should not be joined with asbestos defendants on the asbestos docket because of the
procedural problems and ambiguities that would produce. That is why there was no leave
19
to amend. The court had no reason to foreclose the plaintiffs from pursuing an action
against the tobacco companies, but not in that case.
The 2009 order dismissing the tobacco companies from the pending case was
intended as a final decision regarding joinder, but, because the claims against the asbestos
defendants were still pending, it did not constitute a final judgment in the case. The
2011 order denying the motion for reinstatement, coupled with the entry of judgment as
to all of the remaining asbestos claims, constituted the final judgment. All claims against
all defendants were resolved; nothing more was left for the court to do in that case.
Mootness
An appeal is moot when there is no longer an existing controversy when the case
comes before the Court or when there is no longer an effective remedy the Court could
grant. Suter v. Stuckey, 402 Md. 211, 219, 935 A.2d 731, 736 (2007); Potomac
Abatement v. Sanchez, 424 Md. 701, 710, 37 A.3d 972, 977 (2012). The predominant
issue sought to be raised in this appeal, to which all others are subordinate, is whether the
Circuit Court erred in denying joinder of the claims against the tobacco companies in the
pending action against the asbestos defendants. The plaintiffs asserted the right to try
their case against both sets of defendants in one case, on the asbestos docket. The Court
of Special Appeals concluded that because there were no longer any asbestos defendants
left in the case, there were no such defendants with which the tobacco companies can be
joined and therefore no effective remedy that the appellate court could provide even if it
20
believed that the denial of joinder was erroneous. All of the horses had left the barn,
indeed, thrown out of the barn by the plaintiffs.
The plaintiffs do not challenge the underlying fact that joinder – the sole thing
they sought – is no longer possible, but they offer as an effective remedy allowing them
“to proceed against the [tobacco companies] in the case in which they were properly sued
but dismissed in error by the Circuit Court.” That is not, however, a permissible remedy.
The case in question was on the special asbestos docket that was designed, and has been
exclusively reserved, for asbestos cases. It does not appear that any non-asbestos case
has ever been placed on that docket or been subject to the many special procedures
unique to that docket; nor have the plaintiffs offered any analysis of whether or how
those special procedures might apply to an action against tobacco companies.
We garner from the briefs that the problem for the plaintiffs is that, by not refiling
their action against the tobacco companies in 2009, limitations may have run on their
claims, which is why they want to be reinstated in a case that no longer exists. To the
extent that is true, it is a self-inflicted wound that does not justify this Court in creating a
new and special exception to the well-established definition and impact of mootness. We
expressly warned the Bar of this prospect in 2008 in Silbersack v. ACandS, supra, 402
Md. at 687, 938 A.2d at 862-63 -- also a case in which lung cancer plaintiffs sought to
join tobacco and asbestos companies on a synergy theory – in which we noted that, if
dismissal of remaining defendants “is for the purpose of allowing a final judgment to be
entered, there would be no case left to which the dismissed defendants could be rejoined
or reinstated.” This appeal clearly is moot and must be dismissed for that reason.
21
Addressing the Merits Anyway
In its decision in this case, the Court of Special Appeals correctly noted that, even
when an appeal is moot, the appellate court may reach, or at least comment on, the merits
when the case “presents a recurring matter of public concern which, unless decided, will
continue to evade review” and concluded that this was a case justifying such comment.
Stidham v. R.J. Reynolds Tobacco, supra, 224 Md. App. at 469, 121 A.3d at 162. We
agree.
It appears that the Circuit Court, commencing at least with the Gress plaintiffs in
2002, has adopted a firm policy of not allowing the joinder of tobacco and asbestos
defendants in personal injury/wrongful death cases, that, in part due to the court’s
unwillingness to enter judgment under Rule 2-602 when asked to do so, the correctness
of that policy has evaded appellate review on at least five occasions, and that there are
approximately 700 other lung cancer cases currently pending in that court in which this
issue can and may be raised. This is a “recurring matter of public concern which, unless
decided, will continue to evade review.”
On two occasions – this case and in Gress – the intermediate appellate court
expressed reasons why it believed the Circuit Court’s policy was wrong. We shall
comment on those reasons shortly but will add first our concern as to whether, if that
policy is a general one that the court intends to apply in every synergy case, without
regard to particular circumstances of the case, it very well may constitute an unauthorized
local Rule and be invalid for that reason. See Md. Rule 1-102 and Sumpter v. Sumpter,
427 Md. 668, 671, 50 A.3d 1098, 1100, n.2 (2012), See also Sumpter v. Sumpter, 436
22
Md. 74, 86, 80 A.3d 1045, 1052 (2013), pointing out that “[a] judge presiding over a
particular case may not blindly apply an administrative policy . . . without considering the
particular circumstances at hand.”
Permissive joinder is governed by Md. Rule 2-212. Section (a) provides, in
relevant part, that “[a]ll persons may be joined in one action as defendants if there is
asserted against them jointly, severally, or in the alternative any right to relief in respect
to or arising out of the same transaction, occurrence, or series of transactions or
occurrences, and if any question of law or fact common to all defendants will arise in the
action.” The Rule continues that “[a] plaintiff or defendant need not be interested in
obtaining or defending against all relief demanded” and that “[j]udgment may be given
for one or more of the plaintiffs according to their respective rights to relief and against
one or more defendants according to their respective liabilities.”
Section (b) of the Rule permits the court to “make such orders as will prevent a
party from being embarrassed, delayed, or put to expense by the inclusion of another who
asserts no claim against the party and against whom the party asserts no claim, and may
order separate trials or make other orders to prevent delay or prejudice.”
The joinder of parties was looked on favorably by this Court even before there was
a general Rule on the subject. See Northwest’n Nat. Ins. Co. v. Rosoff, 195 Md. 421, 425-
27, 73 A.2d 461, 462-63 (1950). In A & P Co. v. Crown, 243 Md. 280, 287, 220 A.2d
598, 601-02 (1966), the Court explained that the purpose of Rules permitting the joinder
of multiple parties and claims “was to remedy the procedural and substantive defects in
the law which prevented the resolution in one action of the rights and obligations of all
23
parties whose connection with the case arose out of the same source and occurrence” and
that “[c]ourts have been liberal in utilizing such rules to permit the trial of connected
issues in one action.” More recently, we confirmed that “[t]he purpose behind the joinder
of parties is ‘to simplify and expedite proceedings and to avoid the useless duplication,
expense, and possible uncertainty of more than one trial.” Carter v. Wallace & Gale, 439
Md. 333, 349, 96 A.3d 147, 156 (2014), n.7, quoting from Allen & Whalen v. Grimberg
Co., 229 Md. 585, 588, 185 A.2d 337, 339 (1962).
As noted above, the Circuit Court, beginning in Gress, has denied the joinder of
claims against tobacco and asbestos defendants because (1) those claims involve different
kinds of products, methods of distribution, and uses, (2) the case against the asbestos
defendants is governed by the special procedures that are reserved for asbestos cases, and
(3) significant problems would arise either in subjecting tobacco companies to those
procedures or having separate procedures for the two sets of defendants. In that last
regard, the court noted that applying those procedures would be prejudicial to the tobacco
companies if they were added “now to these cases.”
In Gress, having assumed jurisdiction over the appeal by entering its own
judgment under Rule 2-602, the Court of Special Appeals gave little consideration to the
reasons expressed by the Circuit Court but determined that joinder was appropriate
because (1) the claims against the two sets of defendants were related and arose out of the
same series of occurrences – exposure to both asbestos products and cigarette smoke at
the same location during the same period of time, (2) the case involved numerous
common questions of law and fact, including whether there is scientific merit in the
24
synergy theory, and (3) of concern that, if the cases were severed, “it is open to each
defendant to prove that the other was solely responsible or responsible for the greater part
of the damage, and so defeat or minimize recovery.” Gress, 150 Md. App. at 388, 820
A.2d at 627, n.10. In this case, the intermediate appellate court more or less confirmed
what it had said in Gress,
Those are valid points, and it is not at all clear that they were given any
consideration by the Circuit Court in this case. Instead, as noted, the court seemed to rely
solely on the reasons (and the decision) expressed by the trial judge in Gress. On the
other hand, the concerns expressed by that judge in Gress also are legitimate but were
given little consideration by the Court of Special Appeals.
Because we are dealing here with lung cancer cases that have been removed from
the inactive asbestos docket, there is no real prospect of tobacco claims being placed on
that docket. There are, however, at least two other legitimate concerns that the Court of
Special Appeals has not fully addressed. The first – certainly in this case as well as in
Gress – is that the plaintiffs did not attempt to join the tobacco defendants at the outset
but waited years in Gress and 15 months in this case to join them. They do not suggest
that they were unaware of the synergy theory earlier – indeed, their second amended
complaint indicates that this theory was publicized more than 50 years ago and they
raised the synergy issue in Gress in 2001.
By the time they decided to join the tobacco companies in this case, discovery was
virtually complete, most of the deadlines set in the scheduling order had passed, all fact
witnesses and experts had been identified, trial was to commence in five months when
25
everything was thrown into disarray – not only new defendants, but new theories of
liability against all defendants requiring expanded or wholly new expert testimony,
reopening of discovery, really starting over. Quite apart from where the balance should
be drawn in other situations, we would be hard pressed to find an abuse of discretion in
refusing to permit joinder under these circumstances. Taking this case back nearly to
square one after 15 months would have been wholly inconsistent with everything the
court has been trying to do since the 1980s to expedite the disposition of asbestos cases.
More generally, joinder of asbestos and tobacco defendants raises the issue of the
extent to which, if at all, the special procedures applicable to asbestos cases should
extend to tobacco companies. The trial judge in Gress obviously was concerned about
that, but there has yet to be any recorded analysis of how, or whether, the two different
pre-trial procedures could be effectively and efficiently meshed. Rule 2-212(b) tacitly
recognizes that problems such as this can arise from a joinder. This case is over, but in
any future cases – at least those in which the proposed joinder is a timely one -- it will be
incumbent on plaintiffs seeking to join tobacco and asbestos defendants to address these
issues objectively and in detail and for the court to give fair consideration to all proposals
and objections.
JUDGMENT OF COURT OF SPECIAL APPEALS DISMISSING
APPEAL AFFIRMED; COSTS IN THIS COURT AND COURT OF
SPECIAL APPEALS TO BE DIVIDED EQUALLY BETWEEN
PETITIONERS AND RESPONDENTS.
26
Circuit Court for IN THE COURT OF APPEALS
Baltimore City
Case No. 24X08000326
Argued 5/9/16 OF MARYLAND
No. 77
September Term, 2015
R.J. REYNOLDS TOBACCO CO., et al.
vs.
DOUGLAS A. STIDHAM, etc., et al.
Barbera, C.J.
Greene
McDonald
Harrell, Glenn T. (Retired, Specially
Assigned)
Battaglia, Lynne A. (Retired, Specially
Assigned
Raker, Irma S. (Retired, Specially
Assigned)
Wilner, Alan M. (Retired, Specially
Assigned),
JJ.
Opinion by McDonald, J., Dissenting in Part
Filed: July 5, 2016
I agree with the Majority opinion that there was a final judgment in this case. I also
agree with the considerations suggested in the Majority opinion – and in the opinion of the
Court of Special Appeals – for determining whether tobacco defendants should be joined
as co-defendants with asbestos defendants when a complaint alleges that synergistic effects
of tobacco and asbestos exposure harmed the plaintiff.
I differ with the Majority opinion on the question of mootness. In my view, the
Majority opinion fails to distinguish between a case or controversy being moot and a
particular issue being moot. A case is moot when there is no longer controversy between
the parties or when the court can no longer provide a remedy. Green v. Nassif, 401 Md.
649, 654, 934 A.2d 22 (2007). However, a particular issue may become moot without
resolving the controversy between the parties or depriving the court of the power to provide
relief.
As the Majority opinion recounts, the Stidhams joined causes of action against
asbestos defendants and tobacco defendants in a single complaint. The tobacco defendants
moved to dismiss the claims against them on the ground that the joinder of defendants was
not proper under Maryland Rules 2-212 and 2-213. The Circuit Court granted that motion.
This appeal concerns the merits of the Circuit Court’s decision to dismiss the tobacco
defendants.
Now that the causes of action against all of the asbestos defendants have been
resolved, the basis for the Circuit Court’s order of dismissal is moot. But the controversy
between the Stidhams and the tobacco defendants set forth in the causes of action pled in
their complaint is not moot. The Majority opinion states that the “sole thing” sought by
the Stidhams was joinder. That is not quite right. The Stidhams were not pursuing joinder
in the abstract, but rather sought to prosecute in this case claims concerning the allegedly
synergistic effects of asbestos and tobacco against both asbestos and tobacco defendants.
They are still interested in pursuing such claims against the tobacco defendants, even
though the claims against the asbestos defendants have been resolved. But, as the Majority
opinion accurately describes, the Circuit Court did not just sever the claims against the
tobacco companies; it dismissed them. Majority slip op. at 13, 16-18.
Assume for the moment that it was legal error for the Circuit Court to dismiss the
tobacco defendants.1 It cannot be the case that a party whose claims are dismissed in error
and who dutifully waits for a final judgment in order to seek relief in an appellate court
loses the opportunity to pursue its claims because the rationale for the dismissal is not only
erroneous, but has also become moot. That makes no sense.
The Majority states that the Stidhams seek to have the tobacco defendants reinstated
“in a case that no longer exists.” Majority slip op. at 21. However, this case “no longer
exists” in the same sense that any case in which the claims against the defendants are
dismissed and the plaintiffs appeal “no longer exists.” For example, in Litz v. Maryland
Department of the Environment, 434 Md. 623, 76 A.3d 1076 (2013), the lower courts
dismissed the claims brought against all of the various co-defendants on a variety of
1
The Court of Special Appeals opinion suggests that the Circuit Court did err. The
Majority opinion does not appear to reach a conclusion on that question.
2
grounds and the plaintiff appealed. In a sense, that case “no longer existed” in the Circuit
Court, as no claims remained pending there, but that did not prevent this Court from
ultimately returning the case to the Circuit Court after determining that the lower courts
had erred as to some of the bases for dismissal. See 446 Md. 254, 280, 131 A.3d 923
(2016).
Along the same lines, the Majority opinion quotes a statement in Silbersack v.
ACandS, Inc, 402 Md. 673, 687, 938 A.2d 855 (2008), that, if dismissal of the remaining
defendants in that case was “for the purpose of allowing a final judgment to be entered,
there would be no case left to which the dismissed defendants could be rejoined or
reinstated.” However, that statement meant something quite different in the context of that
case. In Silbersack, the proposal before this court was to “administratively” dismiss
bankrupt asbestos defendants in order to obtain a final judgment, subject to reinstatement
of those defendants later if the bankrupt defendants ever emerged from bankruptcy. Thus,
in that case, the future reinstatement would involve the same defendants that the plaintiff
had voluntarily dismissed from the case, not defendants as to which the plaintiff had
opposed dismissal. In Silbersack, the Court was saying that, if a plaintiff voluntarily
dismisses all defendants, the case is over and there is no provision for “administratively”
resurrecting it. By contrast, in this case, the Stidhams have voluntarily dismissed some
defendants and the Circuit Court (in their view) improperly dismissed the other defendants
– a quite different situation.
3
It may be, for the reasons suggested in the Majority opinion, that the case against
the tobacco defendants should not be retained on the “asbestos docket”2 or perhaps should
be dismissed because these defendants were added too late – or for any of a multitude of
reasons – but not because the case against the tobacco defendants is “moot.” It is not the
case against those defendants that is moot, but rather the rationale for dismissing them
from this action that is moot.
I would remand the case to the Circuit Court to determine, in light of the
considerations set forth in the Majority opinion and the opinion of the Court of Special
Appeals, whether to retain this action on the asbestos docket, transfer it to the regular civil
docket, or dismiss it for some other reason.
2
The Majority opinion appears to characterize this action, in its current form, as a
“non-asbestos case.” Majority slip op. at 21. However, the allegations of the counts of the
complaint that were dismissed – and that would be restored once the order of dismissal is
reversed – allege synergistic effects of asbestos and tobacco exposure. It is not entirely
clear why one would label a case that consists of causes of action based in part on the
effects of asbestos exposure a “non-asbestos case.”
4