IN THE SUPREME COURT OF IOWA
No. 18–1092
Filed March 20, 2020
ANTHONY ROLAND,
Appellee,
vs.
ANNETT HOLDINGS, INC.,
Appellant.
On review from the Iowa Court of Appeals.
Appeal from the Iowa District Court for Polk County, Karen A.
Romano, Senior Judge.
Employer seeks further review of court of appeals decision that
affirmed the district court ruling certifying a class action of workers
alleging violations of Iowa Code chapter 85. DECISION OF COURT OF
APPEALS VACATED; DISTRICT COURT CLASS-CERTIFICATION
RULING REVERSED AND CASE REMANDED.
Sasha L. Monthei of TMC Transportation, Des Moines, for appellant.
Matthew R. Denning, Christopher D. Spaulding, and Nicholas L.
Shaull of Spaulding, Berg & Schmidt, P.L.C, Des Moines, and
Donald G. Beattie and Nile Hicks of Beattie Law Firm, Des Moines, for
appellee.
2
WATERMAN, Justice.
In this appeal, we must determine whether the district court abused
its discretion by certifying a class action of employees with pending
workers’ compensation claims. A trucking company operating nationally
required its long-distance drivers to sign a “Memorandum of
Understanding” (MOU) providing for short-term light duty and treatment
in Des Moines after sustaining a work-related injury. An Alabama
employee injured in Indiana successfully challenged the MOU, winning a
ruling from the Iowa Workers’ Compensation Commission, affirmed by the
district court and court of appeals, that determined the MOU as applied to
him violated Iowa Code sections 85.18 and 85.27(4) (2017). The ruling
allowed him to continue treatment in Alabama.
The driver then filed this civil action on behalf of himself and over
forty other “similarly situated” employees who signed the MOU. The
representative plaintiff driver alleges bad-faith claims and seeks actual
damages including emotional distress as well as punitive damages. The
employer, arguing the drivers’ claims had to be resolved by the agency,
filed a motion to dismiss the civil action for lack of subject matter
jurisdiction. The district court denied the motion to dismiss and certified
this case as a class action. The employer appealed, and we transferred
the case to the court of appeals, which affirmed the class-certification
ruling. We granted the employer’s application for further review.
For the reasons explained below, we hold the district court abused
its discretion by certifying this case as a class action. In our view, the
commonality requirement is lacking, individual issues predominate over
common ones, and workers’ compensation claims must be resolved by the
workers’ compensation commission before judicial review. Accordingly, we
3
vacate the decision of the court of appeals and reverse the class-
certification ruling.
I. Background Facts and Proceedings.
Annett Holdings, Inc. 1 is a flatbed trucking company that transports
freight across the United States. It is based in Des Moines, Iowa, and has
satellite offices in North Carolina and Missouri. On October 24, 2013,
Anthony Roland, a resident of Oxford, Alabama, started working for Annett
Holdings as an over-the-road truck driver. Many of Annett Holdings
employees, like Roland, reside outside of Iowa. As a condition of
employment with Annett Holdings, all of its drivers, including Roland, were
required to sign their employer’s MOU. The MOU outlined work
requirements following a work-related injury.
Under the MOU, drivers who sustain a work-related injury must
temporarily relocate from their home state to Des Moines for modified work
duty.
Because drivers agree to be away from home as an
essential function and an agreed upon term of their
employment with Annett Holdings, injured workers are
expected to temporarily relocate and perform their modified
duty work in Des Moines, Iowa, irrespective of your state of
residence. The temporary relocation will include staying away
from your home for up to two weeks at a time. By accepting
employment with the Company, you acknowledge there is
nothing you are aware of which would prevent you from
temporarily relocating to Des Moines, Iowa[,] for up to two
weeks at a time to perform modified duty work assignments
in the event you suffer a work injury. 2
1Annett Holdings also does business as TMC Transportation. We will refer to the
appellant as Annett Holdings.
2In Neal v. Annett Holdings, Inc., we held that the workers’ compensation
commissioner may consider the distance of available work from an injured employee’s
home in determining whether the employer has offered suitable work. 814 N.W.2d 512,
524 (Iowa 2012). We affirmed the commissioner’s fact-bound decision that the proffered
employment was not suitable. Id. at 525 (determining the agency ruling was supported
by substantial evidence). We noted that “there is no evidence in the record establishing
4
The MOU further states that Annett Holdings will pay for all travel
expenses and lodging associated with the modified work duty. Drivers
could return home every two weeks at the employer’s expense. The MOU
provides, “If ongoing medical care is required by the medical condition of
the injured worker, Annett Holdings will coordinate the modified duty work
schedule with medical appointments to ensure the least amount of
disruption between the two.” Should the worker refuse the modified work
duty, the MOU provides that Annett Holdings will suspend workers’
compensation benefits as permitted under Iowa Code section 85.33(3).
Roland signed the MOU two days before he began his employment.
A. Roland’s Injury and Treatment. On March 4, 2014, Roland
sustained a work-related injury to his elbow. Roland received his initial
treatment in Indianapolis, Indiana, where the injury occurred, and he was
later assigned to modified work duty in Des Moines pursuant to the MOU.
After receiving treatment for his injury in Des Moines, Roland grew
dissatisfied with his care. He requested to be seen by Dr. John Payne, an
orthopedic surgeon in Anniston, Alabama. Annett Holdings approved the
request, and Dr. Payne recommended surgery for Roland’s elbow, which
he performed in Alabama on May 9. Annett Holdings authorized physical
therapy for Roland in Anniston for three weeks following the surgery.
During his recuperation in Alabama, Roland received physical therapy in
the same office building as Dr. Payne, approximately three miles from
Roland’s home in Oxford. After surgery in Alabama, and pursuant to the
MOU, Roland was released to return to modified work duty in Des Moines
on May 20. Annett Holdings arranged for Roland to receive physical
therapy in Des Moines.
that Neal agreed as a condition of employment to any relocation that Annett Holdings
might require.” Id. Annett Holdings then amended its MOU in response to our decision.
5
As part of his aftercare, Roland had to continue physical therapy for
his elbow, and Dr. Payne told him to take extreme care to avoid swelling.
Dr. Payne prescribed a cooling machine to use for twenty-one days to
prevent swelling in Roland’s arm. However, Roland was not permitted to
travel by air with the machine and had to travel by car for each trip
between Alabama and Iowa. The machine ran on electricity. When he
discussed this problem with Annett Holdings, he was told to substitute ice
for the cooling machine while driving.
During Roland’s time in Des Moines, all but one of his therapy
sessions occurred at the Baymont Hotel, where he stayed when assigned
to light duty in Des Moines. Annett Holdings authorized Roland to receive
physical therapy in Anniston for the weeks of June 9 and June 16 when
he returned for post-op care with Dr. Payne. According to Roland, the
therapy he received in Alabama was significantly better than what he
received in Des Moines.
B. Roland’s Workers’ Compensation Claim. On June 5, Roland
petitioned the Iowa Workers’ Compensation Commissioner seeking
alternative medical care in Alabama. On June 17, while Roland was in
Alabama for his follow-up appointment, the parties participated in a
telephonic hearing with deputy workers’ compensation commissioner Erin
Pals. The next day, Deputy Pals granted Roland’s petition for alternative
care and concluded that the MOU deprived Roland of reasonable medical
care. She found that the modification of the prescribed cooling machine
to ice was unreasonable and interfered with his authorized treatment, that
the Baymont Hotel therapeutic sessions did not amount to reasonable
care, and that changing his treatment to Des Moines interfered with
Dr. Payne’s recommendations. Based on Roland’s testimony, she
6
determined “the therapy in Alabama is more effective and superior to the
therapy in Des Moines.”
Further, Deputy Pals found the MOU violated Iowa Code section
85.18 by attempting to avoid or eliminate the “reasonable” and “not unduly
inconvenient” requirements from section 85.27. Deputy Pals cited the
897-mile trip between Alabama and Iowa for treatment as unreasonable;
found the treatment in Iowa interrupted his visitation with his daughter,
thereby creating an undue inconvenience; determined the Anniston
therapy was superior; and concluded that the therapy offered in
Des Moines did not provide reasonable care. For those reasons, Deputy
Pals determined that the treatment offered was not reasonably suited to
treat Roland’s injuries without undue inconvenience and ordered a
transfer of Roland’s care to Dr. Payne in Anniston, Alabama.
Annett Holdings filed a petition for judicial review and persisted in
requiring Roland to travel to Des Moines for modified work duty and
medical care. On December 12, the district court affirmed Deputy Pals’
decision. The court of appeals affirmed the district court’s ruling on
February 10, 2016.
C. Roland’s Petition and Motion for Class Certification. Six
days later, Roland filed this civil action against Annett Holdings on behalf
of himself and others similarly situated. Roland sought to certify a class
of out-of-state Annett Holdings drivers who were required to sign the MOU
and abide by its terms or else risk suspension or termination of their
benefits. The petition alleged deprivation of statutory rights and other
losses, including loss of time traveling to and from the employee’s home
and Iowa; mental distress associated with the deprivation of the statutory
rights; and unnecessary travel, sometimes contrary to the
recommendation of the employee’s physician. On April 15, Roland
7
amended his petition to include the allegation that Annett Holdings acted
in bad faith because it did not suspend its modified work program
following rulings by the agency, district court, and court of appeals.
Roland sought compensatory and punitive damages.
D. Annett Holdings’ Resistance to Class Certification. Annett
Holdings argued that the drivers’ claims involved too many individualized
issues for class adjudication and that there is no private cause of action
under Iowa Code section 85.18. Relying on Wal-Mart Stores, Inc. v. Dukes,
564 U.S. 338, 131 S. Ct. 2541 (2011), Annett Holdings argued that
violation of the same provision of law cannot support class certification
when the class members suffered different injuries.
Annett Holdings asserted the MOU is not per se illegal, noting that
the court of appeals decision in Roland’s individual case limited its holding
to his facts by stating, “As applied in this case, we, like the district court,
conclude the agency did not err in concluding the [MOU] violated section
85.18.” (Emphasis added.) Annett Holdings argued that merely requiring
modified duty in Iowa is not actionable. It asserted that to prove the MOU
violated sections 85.18 or 85.27, or to prove the employer’s bad faith,
driver-by-driver determinations would be required. Annett Holdings also
argued the district court lacked subject matter jurisdiction over the
workers’ compensation claims of the drivers who had not exhausted their
administrative remedies with the agency.
E. The District Court Rulings. Annett Holdings filed a motion to
dismiss for lack of subject matter jurisdiction, which the district court
denied. Annett Holdings then applied for an interlocutory appeal, which
we denied on December 13. A dispute arose over class-related discovery
when Annett Holdings refused to answer some of Roland’s discovery.
8
Roland moved to compel responses and moved to certify the case as a class
action.
The district court granted class certification. The court reasoned
each class member suffered the same injury under the MOU when they
were required to temporarily relocate to Iowa for modified work duty.
Noting that the nature and amount of damages may differ between class
members, it determined the overall central issue was whether the MOU
violated section 85.18.
Regarding Roland’s bad-faith claim, the district court concluded
each class member would have the same injury if the employee did not
travel to Iowa for the modified duty and/or if the medical care was
unreasonable or inconvenient by being provided in Iowa, hundreds of
miles away from their homes. It determined that the commonality prong
was met through the same factual basis for the claims. The district court
concluded that a class action was the most appropriate means for the fair
and efficient adjudication of the controversy in this case.
F. The Court of Appeals Decision Affirming Class Certification.
Annett Holdings appealed, and we transferred the case to the court of
appeals. On July 24, 2019, the court of appeals affirmed, holding that the
district court did not abuse its discretion in finding a common question of
law or facts among all members of the purported class and in finding a
unified proceeding would be a fair and efficient way to decide the common
claims of class members. Neither the petition nor the district court’s order
had actually defined the class. The court of appeals explained that the
class would consist of drivers “who signed the same MOU” and “had
workers’ compensation claims and were compelled to travel to Des Moines
for the light-duty work program.”
Annett Holdings applied for further review, which we granted.
9
II. Standard of Review.
“We review a district court’s class certification ruling for abuse of
discretion.” Freeman v. Grain Processing Corp., 895 N.W.2d 105, 113 (Iowa
2017). “The district court abuses its discretion when its ‘grounds for
certifying a class action are clearly unreasonable.’ ” Id. (quoting Legg v.
W. Bank, 873 N.W.2d 756, 758 (Iowa 2016)). Challenges to the court’s
subject matter jurisdiction to hear workers’ compensation claims “may be
made at any time” and are legal issues reviewed for correction of errors at
law. Kloster v. Hormel Foods Corp., 612 N.W.2d 772, 773–74 (Iowa 2000).
III. Analysis.
We must decide whether the district court abused its discretion by
certifying this class action. In our view, the district court abused its
discretion because the commonality requirement is lacking, individual
issues predominate over common claims, and class adjudication of
workers’ compensation benefits conflicts with Iowa Code chapter 85. We
begin with the requirements for class certification.
A. The District Court Abused Its Discretion by Certifying the
Class Action. “Iowa Rules of Civil Procedure 1.261 through 1.263 govern
class actions.” Freeman, 895 N.W.2d at 114. Class certification is
appropriate if the court finds all of the following:
a. The requirements of rule 1.261 have been satisfied.
b. A class action should be permitted for the fair and
efficient adjudication of the controversy.
c. The representative parties fairly and adequately will
protect the interests of the class.
Iowa R. Civ. P. 1.262(2). Rule 1.261 governs the commencement of a class
action and requires a class to be “so numerous . . . that joinder of all
members . . . is impracticable” and a “question of law or fact [be] common
to the class.” Iowa R. Civ. P. 1.261(1)–(2). “Our class-action rules are
10
remedial in nature and should be liberally construed to favor . . .
maintain[ing] class actions.” Comes v. Microsoft Corp., 696 N.W.2d 318,
320 (Iowa 2005).
Annett Holdings does not contest numerosity. See Legg, 873 N.W.2d
at 759 (noting forty class members is sufficient to show joinder is
impractical). We focus on the primary fighting issue—Annett Holdings’
argument that the district court erred in finding that common questions
predominate over individual questions such that class certification should
be permitted for the fair and efficient adjudication of the controversy. We
begin with the commonality requirement.
The MOU provides a common denominator to the claims of Roland
and the class. But we disagree with the district court and court of appeals
that the validity of the MOU provides the requisite “question of law or fact
common to the class” for class certification. Iowa R. Civ. P. 1.261(2). We
have never held such MOUs are per se illegal. The court of appeals held
that “as applied” Roland’s MOU violated chapter 85.
In Neal v. Annett Holdings, Inc., we recognized that “[t]he question of
whether an employer offered suitable work is ordinarily a fact issue.” 814
N.W.2d 512, 518 (Iowa 2012). Tim Neal was a driver who resided with his
wife and three children in eastern Illinois near the Indiana border and 387
miles from Des Moines. Id. at 517. He was injured working in Michigan
and refused his employer’s light-duty position in Des Moines, resulting in
suspension of his workers’ compensation benefits. Id. Following an
evidentiary hearing, a deputy commissioner determined “Annett Holdings
properly suspended temporary disability benefits because Neal refused to
accept ‘suitable work’ as defined in Iowa Code section 85.33(3).” Id. The
commissioner reversed on intra-agency appeal, and the district court
11
reversed the commissioner, ruling that the Des Moines light-duty
assignment was suitable. Id.
In Neal, our court reversed the district court because we determined
that “substantial evidence supports the commissioner’s findings of fact.”
Id. at 525. We expressly “acknowledge[d] that the evidence in the record
could have led a reasonable fact finder to come to a conclusion different
than that reached by the commission.” Id. at 524–25. We noted the lack
of any evidence “that Neal agreed as a condition of [his] employment to any
relocation that Annett Holdings might require.” Id. at 525.
We hold for class-certification purposes, the validity of the MOU
must be determined driver-by-driver based on their individual factual
circumstances. For example, drivers living in Omaha, Nebraska, or
Rock Island, Illinois, on the Iowa border present different circumstances
than those living in Alabama or Mississippi. The district court erred in
finding Roland satisfied the commonality requirement.
Even if the requirements under rule 1.262(2)(a), i.e., rules 1.261(1)
(numerosity) and 1.261(2) (commonality), are met, we must turn to rule
1.262(2)(b) and consider the thirteen factors under rule 1.263 to determine
if “the class action should be permitted for the fair and efficient
adjudication of the controversy.” Iowa Rs. Civ. P. 1.262(2)(b), .263(1). 3 In
Comes, we recognized,
3a. Whether a joint or common interest exists among members of
the class.
b. Whether the prosecution of separate actions by or against
individual members of the class would create a risk of inconsistent or
varying adjudications with respect to individual members of the class that
would establish incompatible standards of conduct for a party opposing
the class.
c. Whether adjudications with respect to individual members of
the class as a practical matter would be dispositive of the interests of other
12
In most cases some of the thirteen factors [regarding the fair-
and-efficient-administration-of-justice test] will weigh against
certification and some will weigh in favor. It is for the trial
court, employing its broad discretion, to weigh the competing
factors and determine whether a class action will provide a
fair and efficient adjudication of the controversy. Thus, even
if [defendant] is correct in its assertion four of the factors
weigh against certification, that does not preclude the court
from certifying the class action if, it its opinion, those factors
are outweighed by other factors supporting certification.
696 N.W.2d at 322 (alterations in original) (quoting Howe v. Microsoft
Corp., 656 N.W.2d 285, 289 (N.D. 2003)).
members not parties to the adjudication or substantially impair or impede
their ability to protect their interests.
d. Whether a party opposing the class has acted or refused to act
on grounds generally applicable to the class, thereby making final
injunctive relief or corresponding declaratory relief appropriate with
respect to the class as a whole.
e. Whether common questions of law or fact predominate over any
questions affecting only individual members.
f. Whether other means of adjudicating the claims and defenses
are impracticable or inefficient.
g. Whether a class action offers the most appropriate means of
adjudicating the claims and defenses.
h. Whether members who are not representative parties have a
substantial interest in individually controlling the prosecution or defense
of separate actions.
i. Whether the class action involves a claim that is or has been the
subject of a class action, a government action, or other proceeding.
j. Whether it is desirable to bring the class action in another
forum.
k. Whether management of the class action poses unusual
difficulties.
l. Whether any conflict of laws issues involved pose unusual
difficulties.
m. Whether the claims of individual class members are insufficient
in the amounts or interests involved, in view of the complexities of the
issues and the expenses of the litigation, to afford significant relief to the
members of the class.
Iowa R. Civ. P. 1.263(1)(a)–(m).
13
The factors outlined in 1.263 “center on two broad considerations:
‘achieving judicial economy by encouraging class litigation while
preserving, as much as possible, the right of litigants—both those
presently in court and those who are only potential litigants.’ ” Freeman,
895 N.W.2d at 115 (quoting Vos v. Farm Bureau Life Ins., 667 N.W.2d 36,
45 (Iowa 2003)). The court must find that the factors in Iowa Rule of Civil
Procedure 1.263(2) are met to determine that the representative parties
fairly and adequately represent the class. Iowa Rs. Civ. P. 1.262(2)(c), 4
.263(2).
We require that “common questions of law or fact predominate over
any questions affecting only individual members.” Id. r. 1.263(1)(e). We
have held this is “a fundamental requirement for class certification.”
Freeman, 895 N.W.2d at 109. Group or class adjudication makes little
sense if individual issues predominate. “Inherent in our inquiry into the
predomination issue is the recognition [that] the class action device is
appropriate only where class members have common complaints that can
be presented by designated representatives in the unified proceeding.”
Vignaroli v. Blue Cross of Iowa, 360 N.W.2d 741, 744 (Iowa 1985). This
inquiry is fairly complex. Id.
We disagree with the district court’s determination that common
questions of both law and fact predominate over questions affecting only
individual members. In determining if the MOU is a device to deprive
members of their statutory rights and benefits under chapter 85, the focus
is on the individual circumstances of each employee. See Neal, 814
N.W.2d at 519–25 (applying fact-sensitive analysis). Roland has not
4Annett Holdings does not dispute this requirement.
14
shown that he can prove that each purported class member has suffered
the same deprivation of statutory rights or the same injury.
As applied to Roland, the court of appeals on judicial review affirmed
the commissioner’s determination that the MOU violated chapter 85. That
holding was fact-specific. Roland was required under the MOU to drive
nearly 900 miles from his Alabama home to Iowa. The travel interfered
with medical treatment, specifically with his use of the electronic cooling
machine prescribed by his Alabama surgeon and his physical therapy
three miles from his home, and with his visitation with his daughter.
Based on those facts, the court of appeals affirmed the agency ruling that
Annett Holdings used the MOU as a device to relieve the employer of
liability for “reasonable” 5 treatment without “undue inconvenience.” Iowa
Code § 85.27(4). 6
The question of the MOU’s legality cannot be resolved for all drivers
in a single adjudication. These inquiries would create mini trials within
the larger class action, which is unsuitable. Facts will differ regarding
distance traveled, types of injury, care received, and other factors that may
go into the analysis of undue inconvenience, and proof on these issues
cannot be established without individualized evidence. Some class
members may not have required therapy. Some class members may have
received their therapy at home even while performing light-duty work in
Des Moines. Some class members may have received perfectly satisfactory
5The definition of “reasonable” is “[f]air, proper, or moderate under the
circumstances.” Reasonable, Black’s Law Dictionary (11th ed. 2019) (emphasis added).
6Iowa Code section 85.27(4) reads in pertinent part,
For purposes of this section, the employer is obliged to furnish reasonable
services and supplies to treat an injured employee, and has the right to
choose the care. . . . The treatment must be offered promptly and be
reasonably suited to treat the injury without undue inconvenience to the
employee.
15
or even superior therapy in Des Moines. Courts have routinely found that
class certification is inappropriate in such cases when the theory of
liability cannot be established with generalized evidence by the
representative on behalf of the entire class. See Flecha v. Medicredit, Inc.,
946 F.3d 762, 767–68 (5th Cir. 2020) (decertifying class action of group of
debtors who received the same allegedly threatening letter because
individual issues such as intent to sue defeated commonality for liability
under the Fair Debt Collection Practices Act); Babineau v. Fed. Express
Corp., 576 F.3d 1183, 1191–92, 1195 (11th Cir. 2009) (affirming denial of
class certification and concluding the predominance requirement was not
met by hourly employees alleging failure to pay “gap periods” because no
common proof of uncompensated time existed and individualized inquiries
would be required); Klay v. Humana, Inc., 382 F.3d 1241, 1267 (11th Cir.
2004) (holding the district court abused its discretion in certifying doctors’
breach of contract claim against health maintenance organizations when
individualized issues predominated, notwithstanding contract claims
common to the class), abrogated in part on other grounds by Bridge v.
Phoenix Bond & Indem. Co., 553 U.S. 639, 661, 128 S. Ct. 2131, 2145
(2008); In re FedEx Ground Package Sys., Inc., 662 F. Supp. 2d 1069, 1092
(N.D. Ind. 2009) (denying certification of class of delivery drivers seeking
recovery for fines illegally deducted from their wages because the issues
could not be resolved systematically but, rather, depended on each driver’s
conduct).
Freeman was a quite different case. Freeman was a nuisance case
brought by residents living near a corn wet-milling plant. 895 N.W.2d at
108–09. Liability for nuisance would be based on objective, classwide
standards. Id. at 121–22. The class-action trial involving the class
representatives would establish whether there was a nuisance as to all
16
class members, and a formula would be presented to the jury to allow
computation of damages for each class member. Id. at 124–25. In short,
the class-action trial would potentially determine liability and damages for
the class as a whole.
Here, by contrast, in the current posture, a class-action trial would
apparently only decide Roland’s individual bad-faith claim. Assume that
Roland prevailed at trial in proving bad faith. It is difficult to see how this
finding could be used to establish liability on the part of Annett Holdings
to any other actual class member without a separate trial which
considered that member’s circumstances.
We hold that the individualized issues predominate over common
questions and reverse the class-certification ruling on that ground as well.
B. The Class Members’ Failure to Exhaust Administrative
Remedies. Another reason class certification is inappropriate is that,
apart from Roland, there is no evidence that any of the class members
exhausted their administrative remedies. The workers’ compensation
commissioner has exclusive jurisdiction over alleged violations of Iowa
Code chapter 85’s requirements for alternate medical care, and the district
court lacks subject matter jurisdiction over a civil action alleging statutory
violations by an employee who failed to exhaust his administrative
remedies. See Kloster, 612 N.W.2d at 774–75; Thornton v. Am. Interstate
Ins., 897 N.W.2d 445, 472–73 (Iowa 2017) (“A district court would
ordinarily have no subject matter jurisdiction over a claim that an
employee is entitled to workers’ compensation benefits.” (quoting Kiner v.
Reliance Ins., 463 N.W.2d 9, 12 (Iowa 1990))). Allowing group adjudication
of workers’ compensation claims in district court in lieu of individual
agency adjudications flouts the Iowa legislature’s “grand bargain” creating
17
the workers’ compensation system as described in Clark v. Insurance Co.
State of Pennsylvania:
At the turn of the century, states began adopting
workers’ compensation systems to compensate workers for
workplace injuries. These workers’ compensation systems
were said to be the product of a legislatively crafted “grand
bargain” or “quid pro quo.” Workers gave up their common
law right to seek a full range of compensatory and punitive
damages available at common law and instead became eligible
for limited statutorily-based compensation. In return,
however, the employee was no longer required to show the
employer’s fault, but only needed to show that the injury arose
in the course of employment.
927 N.W.2d 180, 187 (Iowa 2019) (citations omitted) (quoting Emily A.
Spieler, (Re)assessing the Grand Bargain: Compensation for Work Injuries
in the United States, 1900–2017, 69 Rutgers L. Rev. 891, 893 & n.4 (2017)).
Chapter 85 requires employees alleging failure to provide alternative
medical care to first adjudicate their claims at the agency before going to
court. Kloster, 612 N.W.2d at 774–75. Roland did so; there is no
indication that the other class members have exhausted their
administrative remedies.
This requirement is demonstrated in Spencer v. Annett Holdings, Inc.
in which the Eighth Circuit, applying Iowa law, affirmed the summary
judgment ruling that the employee failed to exhaust his workers’
compensation claim through the administrative process before seeking
judicial review. 757 F.3d 790, 795 (8th Cir. 2014). Douglas Spencer, a
truck driver employed by Annett Holdings, sued claiming that it denied in
bad faith medical care for his knee injury. Id. The Eighth Circuit
determined the claim was actually one of “dissatisfaction with care” that
must be exhausted through the administrative process by petitioning the
workers’ compensation commissioner for alternate medical care. Id. at
795–96. The Eighth Circuit held “[t]he district court correctly ruled that
18
Iowa law required Spencer to exhaust this claim through the exclusive
administrative process.” Id. at 795.
In our view, the district court abused its discretion by certifying this
class-action circumventing each driver’s exhaustion requirement. Indeed,
the district court lacked subject matter jurisdiction over the claims of class
members who had not adjudicated their claims before the commissioner.
Iowa Rule of Civil Procedure 1.263(1)(f) obligates the court to consider
“[w]hether other means of adjudicating the claims and defenses are
impracticable or inefficient.” Rule 1.263(1)(g) requires consideration of
“[w]hether a class action offers the most appropriate means of adjudicating
the claims and defenses.” Iowa R. Civ. P. 1.263(1)(g). Finally, rule
1.263(1)(j) requires the court to consider “[w]hether it is desirable to bring
the class action in another forum.” Id. r. 1.263(1)(j). In this case, the
required forum is the workers’ compensation commission.
Other courts have held class actions are inappropriate to adjudicate
groups of workers’ compensation claims. In Davis v. Washington State
Department of Labor & Industries, the Washington Court of Appeals held
that the trial court lacked subject matter jurisdiction over a class action
of workers’ compensation claimants alleging that the department had
improperly calculated settlements to reimburse to the workers’
compensation fund. 245 P.3d 253, 254 (Wash. Ct. App. 2011). The
plaintiffs filed the lawsuit before appealing within the administrative
system and obtaining a final board decision; the Davis court held the
plaintiffs failed to invoke the district court’s appellate jurisdiction. Id. at
255.
In Brendley v. Pennsylvania Department of Labor & Industry, the
Commonwealth Court of Pennsylvania held that it lacked subject matter
jurisdiction over a former employee’s declaratory judgment action and the
19
former employee could not pursue a class-action workers’ compensation
claim petition. 926 A.2d 1276, 1277 (Pa. Commw. Ct. 2007). The state’s
workers’ compensation act is the exclusive means by which an employee
can recover against an employer for a work-related injury, and such claims
are initially assigned to a workers’ compensation judge. Id. at 1282. The
plaintiff “sought to pursue a ‘class action claim petition’ despite the fact
that neither the Act nor its attendant regulations expressly permit class
action suits.” Id.
The Brendley court acknowledged that no Pennsylvania case
specifically addresses the propriety of class actions in workers’
compensation proceedings and stated it “generally holds class actions are
unauthorized in the administrative setting.” Id. The court rejected the
class-action workers’ compensation claim because “absent express
authority permitting the filing of a ‘class action claim petition,’ [the
plaintiff] should properly file an individual claim petition” with the workers’
compensation judge. Id. at 1283.
We reach the same conclusion. Nothing in Iowa Code chapter 85 or
chapter 17A authorizes class actions for workers’ compensation claims
that require exhaustion of administrative remedies.
The district court does have subject matter jurisdiction over
Roland’s common law bad-faith tort claim. Thornton, 897 N.W.2d at 473
(“[C]ommon law bad-faith tort claims do not fall within the commissioner’s
exclusive jurisdiction.”). But for the reasons explained in division III.A,
class certification is inappropriate for the drivers’ common law bad-faith
claims because individual issues predominate over common questions.
See Spencer, 757 F.3d at 797 (affirming summary judgment dismissing
bad-faith claim because employer had a reasonable basis to require the
employee to undergo a medical examination in Des Moines).
20
IV. Disposition.
For these reasons, we vacate the decision of the court of appeals and
reverse the district court’s order certifying this class action. We remand
this case for an order decertifying the class and further proceedings
consistent with this opinion.
DECISION OF COURT OF APPEALS VACATED; DISTRICT COURT
CLASS-CERTIFICATION RULING REVERSED AND CASE REMANDED.
All justices concur except Appel, J., who dissents, and Oxley, J.,
who takes no part.
21
#18–1092, Roland v. Annett Holdings, Inc.
APPEL, Justice (dissenting).
I respectfully dissent. In this case, the majority concludes that the
four judges who previously approved the class-action certification in this
case did not recognize that certification was clearly unreasonable. That is
not impossible, of course, but it seems unlikely. If the applicable Iowa law
is applied, the decision of the district court should be affirmed given the
broad discretionary authority vested in the district court and the
availability of other safety-net remedies as the litigation progresses.
I. Factual and Procedural Background.
A. Prior Litigation over Temporary Relocation of Injured
Workers. Annett Holdings is an over-the-road trucking company with a
nationwide business. The question in this case involves a challenge to a
memorandum of understanding (MOU) that requires injured Annett
Holdings employees to relocate to Des Moines for light duty. In order to
understand this case, however, we must understand the prior history of
litigation over the issue. See Neal v. Annett Holdings, Inc., 814 N.W.2d 512
(Iowa 2012).
In 2007, Annett Holdings employee Tim Neal was injured on the job.
Id. at 516–17. Annett Holdings offered Neal a temporary light-duty job
that would require him to relocate to Des Moines. Id. at 517. Neal,
however, lived 387 miles from Des Moines and declined the temporary
employment. Id. When the injured employee declined the temporary
employment, Annett Holdings suspended his workers’ compensation
benefits. Id. The employee filed a workers compensation claim, and the
question before the deputy commissioner was whether Annett Holdings
offered Neal “suitable work” under Iowa Code section 85.33. Id. This
22
provision authorizes an employer to suspend workers’ compensation
benefits if an injured worker refuses “suitable work.” Id.
The deputy commissioner held Annett Holdings properly suspended
the temporary disability benefits because of his refusal to accept suitable
work offered by the employer. Id. On appeal, however, the commissioner
modified the deputy’s decision. According to the commissioner, Annett
Holdings “failed to offer ‘suitable work’ because the job was located a great
distance from Neal’s residence.” Id. On Annett Holdings’ appeal, the
district court reversed, concluding that the employment offered by Annett
Holdings was “suitable work” because it was “consistent with the
employee’s disability.” Id. (quoting Iowa Code § 85.33(3) (2009)).
Neal appealed the district court decision. On appeal, we concluded
that the term “suitable work” included geographic location as a factor to
be considered in determining whether an employer has offered an injured
employee suitable work. Id. at 524. Although we found that on the record
before us, a reasonable commissioner could have come to a different
conclusion, we affirmed the commissioner on the ground that the decision
was supported by substantial evidence. Id. at 524–25.
In the discussion of our holding, we observed that while Neal was
an over-the-road truck driver and was thus absent from home over
extended periods of time, he ordinarily was able to spent each weekend at
home with his wife and three children and occasionally returned home
during the week. Id. at 525. We agreed with the observation of the
commissioner that “[b]eing away from the support of your wife and family,
especially while recovering from a serious work injury, is not an
insignificant matter.” Id.
We then added two observations. First, we observed that “there
[was] no evidence in the record establishing that Neal agreed as a condition
23
of employment to any relocation that Annett Holdings might require.” Id.
In support of that interpretation, we cited Serwetnyk v. USAir, Inc., 671
N.Y.S.2d 537, 538 (App. Div. 1998), which found that a claimant did
voluntarily remove himself from the labor market when the claimant was
fully aware of the relocation policy and the claimant’s reasons for refusing
relocation were unrelated to the claimant’s disability. Neal, 814 N.W.2d
at 525. Second, we cited Litzinger v. Workers’ Compensation Appeal Board
(Builders Transport), 731 A.2d 258, 262–63 (Pa. Commw. Ct. 1999), which
found that light-duty work offered to a former over-the-road trucker was
“totally unreasonable,” even with the employer offering temporary housing,
when the work was located 116 miles away from the claimant’s residence.
Neal, 814 N.W.2d at 525.
B. Litigation Arising from Alternate Medical Care Petition.
1. The modified MOU. After we decided Neal, Annett Holdings
developed a modified MOU and consent form that employees were required
to sign. The MOU mandated that Annett Holdings employees injured on
the job would have to travel to Des Moines for light-duty work if they
sustained a work-related injury. The MOU declared that Iowa law allowed
Annett Holdings to suspend workers’ compensation benefits to an injured
worker “if the injured worker fails to accept and work in the modified duty
position offered by Annett.” The MOU provided that Annett Holdings
would “coordinate the modified duty work schedule with medical
appointments to ensure the least amount of disruption between the two.”
The MOU stated that Des Moines, Iowa, has “world class facilities and
medical professional available, and is an ideal location for ongoing medical
care.”
2. Petition for alternate medical care. This case stems from a work-
related elbow injury and from subsequent related medical care. Roland
24
and his employer ultimately disagreed on medical care issues, leading
Roland to file a petition for alternate medical care. According to the order
of the deputy commissioner, Roland needed surgery on his elbow, which
was approved by the employer and performed by an authorized treating
physician on May 9, 2014. Roland was released to light-duty work on
May 20 following the surgery and returned to Des Moines. The authorized
treating physician prescribed a cooling machine to keep his arm from
swelling, but Roland could not take in on an airplane and could not use it
in an automobile because it required electricity. Annett Holdings
suggested that he simply use ice while driving to Des Moines.
In Des Moines, Roland had one physical therapy session at Work
Systems Rehab & Fitness, but the other therapy sessions took place at the
Baymont Hotel. Roland claimed that, while there was some weight
equipment at the hotel, there was no therapy equipment. When he used
a heating pad on his arm, Roland testified that he had to sit on the floor
because there were no chairs.
At the time of the hearing, Roland was in Anniston. He testified that
the physical therapy available to him there included numerous pieces of
therapy equipment. Roland testified that the therapy sessions in
Des Moines were thirty minutes long while the Anniston sessions lasted
sixty to ninety minutes. Roland testified that the treatments and
equipment in Alabama really helped him, that there was marked
improvement in what he was able to do after therapy in Anniston, and that
the swelling in his arm was reduced.
The deputy commissioner concluded, based on Roland’s testimony,
that the therapy in Alabama was superior to the therapy offered in
Des Moines. The deputy commissioner also noted that the Des Moines
treatment interfered with Roland’s ability to see his daughter who,
25
according to a divorce decree, was available for visitation at limited times
that often conflicted with his required presence in Des Moines. The deputy
commissioner further noted the distance between Anniston and
Des Moines.
Annett Holdings defended its actions by citing the MOU. During the
hearing, Roland did not dispute that he signed the MOU but stated that
he did not remember the particular document due to the volume of
documents he signed at the time. But the deputy commissioner concluded
that the MOU does “not comply with Iowa Code [s]ection 85.18[,] which
prohibits any contract to relieve the employer from any liability created by
chapter 85.”
According to the deputy commissioner, under Iowa Code section
85.27, the employer “is liable to provide reasonable treatment which must
be reasonably suited to treat the injury without undue inconvenience to
the employee.” The deputy commissioner concluded that the MOU
“appears to be an attempt to either avoid or eliminate both the ‘reasonable’
and ‘undue inconvenience’ clauses in this provision.” The deputy
commissioner wrote that any use of any device as an attempt to relieve the
employer of liability under workers’ compensation law is prohibited by
Iowa Code section 85.18.
For the above reasons, the deputy commissioner granted Roland’s
application for alternate care.
3. District court ruling on alternate medical care. Annett Holdings
appealed the deputy commissioner to the district court. The district court
first addressed the legal question of whether the MOU violated Iowa Code
section 85.18 by way of violating Iowa Code section 85.27 dealing with
alternate medical care. The district court concluded that the MOU was
26
unlawful as claimed by Roland, citing Springer v. Weeks & Leo Co., 429
N.W.2d 558, 560–61 (Iowa 1988). In that case, we stated,
We deem [Iowa Code section 85.18] to be a clear
expression that it is the public policy of this state that an
employee’s right to seek the compensation which is granted
by law for work-related injuries should not be interfered with
regardless of the terms of the contract of hire.
Id. Relying on Springer and the language of the statute, the district court
held that the deputy commissioner correctly concluded that the MOU is a
contract that illegally attempts to release the employer of liability to
provide reasonable medical care without undue inconvenience under
section 85.27.
Having found that Annett Holdings could not rely upon the MOU to
justify its actions regarding medical care, the district court then turned to
the question of whether the deputy commissioner’s ruling that Annett
Holdings violated Iowa Code section 85.27 was supported by substantial
evidence. After a “fairly intensive” review of the record, the district court
concluded that the deputy commissioner’s granting of the petition should
be affirmed.
4. Court of appeals ruling on alternate medical care. Annett
Holdings appealed the decision of the district court. We transferred the
case to the court of appeals. The court of appeals affirmed the district
court. On the question of whether the MOU violated Iowa Code section
85.18, the court of appeals concluded, “As applied in this case, we, like
the district court, conclude the agency did not err in concluding the
memorandum of understanding violated section 85.18.” Annett Holdings,
Inc. v. Roland, No. 15-0043, 2016 WL 541265, at *6 (Iowa Ct. App. Feb. 10,
2016).
27
C. Roland Bad-Faith and Class-Action Petition.
1. Allegations in amended petition. After the decision of the court of
appeals in the alternate medical care matter, Roland filed a petition in
district court which was subsequently amended. In the amended petition,
Roland recited the history of his alternate medical care proceeding. He
alleged that after Judge Gamble ruled in his favor, Annett Holdings “still
compelled Plaintiff to travel to Des Moines, Iowa to perform light-duty work
and receive medical care for his work-related injury.”
Roland claimed that the MOU deprived him, as well as other
similarly situated persons, “of healing period benefits, permanent partial
disability benefits, medical benefits, and/or reasonable and necessary
medical care.” Roland further alleged that he, along with other similarly
situated persons, suffered pain and suffering and harm by loss of time
traveling to and from their homes to Des Moines. Based on the alleged
facts, Roland contended that Annett Holdings lacked a reasonable basis
for denying or delaying benefits and acted in bad faith, thereby justifying
an award of punitive damages.
In addition to his individual claim, Roland sought certification of a
class. Roland asserted that, notwithstanding Iowa Code section 85.18,
Annett Holdings continues “to enforce the MOU against all of its employees
who had been compelled to sign it.” In support of its request that the court
certify a class action, Roland alleged (1) a common interest amongst all
members of the class; (2) members of the class are so numerous as to
justify a class action; (3) adjudication of separate actions by or against
individual members of the class would create a risk of inconsistent or
varying judgments; (4) separate adjudications as a practical matter may
or would be dispositive of the interests of other members; (5) common
questions of law and fact predominate over any questions affecting only
28
individual members; (6) any other means of adjudicating the claims of each
member of the class would be impractical and/or inefficient; (7) class
action offers the most appropriate means of adjudicating the claims and
defenses of class members and the defendant; (8) the action has not been
subject to a prior class action; (9) the district court is the best forum for
this class action and management of the class does not pose any unusual
difficulties; (10) there are no conflicts of law problems that would preclude
the case from being certified; and (11) plaintiff, as a representative party,
will fairly, capably, and adequately protect the interest of the class.
Roland asked that the court certify the class; award plaintiff and all
similarly situated members of the class fair, just, reasonable, and
adequate compensation; award punitive and/or exemplary damages; and
order such other and further relief as the court deems just and equitable.
2. District court proceedings. In November 2017, Roland filed a
motion to compel discovery. Annett Holdings responded with a combined
motion to resist Roland’s motion to compel, to limit discovery pending
class certification, and to decertify any class action.
After a hearing, the district court entered an order providing that the
matter would be certified as a class action after Roland filed certain
documentation. After Roland filed the necessary documentation, the
district court entered an order certifying the matter as a class action.
Annett Holdings appealed.
3. Ruling of the court of appeals. We transferred the appeal to the
court of appeals. The court of appeals unanimously affirmed the class–
action certification of the district court. The court of appeals reviewed our
cases, noting that “[o]ur class-action rules are remedial in nature and
should be liberally construed to favor the maintenance of class actions.”
Roland v. Annett Holdings, Inc., No. 18-1092, 2019 WL 3317353, at *2
29
(Iowa Ct. App. July 24, 2019) (quoting Comes v. Microsoft Corp., 696
N.W.2d 318, 320 (Iowa 2005)). The court of appeals noted that the district
court ruling on class certification should be affirmed “if the district court
‘weigh[ed] and consider[ed] the factors and [came] to a reasoned
conclusion as to whether a class action should be permitted for a fair
adjudication of the controversy.’ ” Id. (alterations in original) (quoting
Freeman v. Grain Processing Corp., 895 N.W.2d 105, 113–14 (Iowa 2017)).
At this stage, the court of appeals emphasized that the burden on Roland
was “light” in establishing the elements of class certifications. Id. (quoting
Freeman, 895 N.W.2d at 114).
The court of appeals noted that Annett Holdings challenged the
second requirement of a class action under Iowa Rule of Civil Procedure
1.262, namely, whether a class action would promote a fair and efficient
adjudication of the controversy. Id. at *3. In order to determine whether
a class action would promote a fair and efficient adjudication of the
controversy, the court of appeals noted that rule 1.263 provides thirteen
factors to consider. Id. The court of appeals noted that Annett Holdings
disputes just one of the thirteen factors: “[w]hether common questions of
law or fact predominate over any questions affecting only individual
members.” Id. (quoting Iowa R. Civ. P. 1.263(1)(e)).
The court of appeals addressed Annett Holdings argument that
Roland did not identity a common question of law or fact. The court of
appeals noted that the district court reasoned that “[t]he determination of
whether the MOU violated statutory rights is common to all proposed class
members.” Id. The court of appeals, citing Freeman, recognized that the
nature and amount of damages may vary among class members, but that
the plaintiff’s theory presents a common nucleus of operative fact
sufficient to support a class action. Id. at *5.
30
The court of appeals declared that Roland had identified a legal
grievance shared by the members of the prospective class––the company’s
use of the MOU to deny benefits to injured workers in violation of Iowa
Code section 85.18. Id. at *6. The court of appeals noted that the push of
Annett Holdings to show not all members of the class suffered the same
injury “takes us down the wrong path.” Id. at *5. According to the court
of appeals, in looking for common questions of law and fact, the courts
rarely inquire into the merits of individual claims. Id. (citing Vignaroli v.
Blue Cross of Iowa, 360 N.W.2d 741, 745 (Iowa 1985) (“It is not necessary
that the individual claims be carbon copies of each other.”)). The court of
appeals thus found that there was a common question of law or fact among
all members of the purported class.
The court of appeals next addressed the question of whether the
class action should be defeated because individual questions predominate
over those common to the class. Id. The court of appeals noted at the
outset that even if Annett Holding is correct in its assertion that the
predominance factor weights against certification, that does not preclude
affirming the certification is other factors weigh heavily in favor in support
of allowing the class action to go forward. Id. at *5 n.6.
In any event, the court of appeals noted that the legality of the MOU
is central to each class member’s claim and amounts to “the elephant in
the room.” Id. at *6. In addition, with respect to Roland’s bad-faith claim,
the court of appeals reasoned that all the evidence funnels into the
common bad-faith elements that Annett Holdings was using the MOU to
deny workers compensation benefits without a reasonable basis. Id.
The court of appeals also considered the applicability of Vos v. Farm
Bureau Life Insurance, 667 N.W.2d 36 (Iowa 2003). Roland, 2019
WL 3317353, at *6. In Vos, plaintiff policyholders claimed that Farm
31
Bureau agents engaged in a pattern of deceptive practices. 667 N.W.2d at
38. After two years of discovery, however, the district court decertified the
class. Id. at 41, 44. We upheld the class decertification, finding no claims
of companywide deception and, without a universal practice, the
individual issues would predominate over those common to the group. Id.
at 54–55.
In this case, however, the court of appeals observed that Roland has
a generally applicable theory––namely, the illegal use of the MOU to
attempt to defeat workers’ compensation rights. Roland, 2019 WL
3317353, at *6. Further, the court of appeals noted that in Vos, the district
court decertified the class. Id. The Vos court’s decertification was subject
to review for abuse of discretion. Id. Here, at this early stage of the
litigation, there is no district court order decertifying the class subject to
highly deferential review on appeal.
In sum, the court of appeals concluded that the district court did
not abuse its discretion in certifying the class in this case. Id. at *7.
II. Iowa Class-Actions Framework.
A. Iowa Departs from the Federal Model. At the outset, it is
critically important to recognize that the Iowa rules related to class actions
depart materially from the Federal Rules. Therefore, federal caselaw is of
limited utility in considering state class actions. Here is the backstory.
“Prior to July 1, 1980, the Iowa rule regarding class actions was
essentially the same as the old Rule 23(a) of the Federal Rules of Civil
Procedure,” before the “substantial revision in 1966 to the federal rule.”
American Bar Association Survey of State Class Action Law: Iowa Westlaw
SSCLASSACT IA (database updated Feb. 2020). “In 1980, Iowa adopted
the provisions of the Uniform Class Actions Act [(UCAA)], which had been
32
approved in 1976 by the National Conference of Commissioners of Uniform
State Laws.” Id.
University of Iowa Professor Allen D. Vestal chaired the committee
that was appointed to draft the UCAA. Allen D. Vestal et al., Uniform Class
Actions, 63 A.B.A. J. 837, 838 (1977) [hereinafter Vestal]. The project was
prompted by United States Supreme Court decisions that limited the
availability of class actions in federal court. See generally Eisen v. Carlisle
& Jacquelin, 417 U.S. 156, 94 S. Ct. 2140 (1974) (finding that common
interests must predominate over individual interests in class actions and
creating more stringent requirements regarding notice to members of
class); Zahn v. Int’l Paper Co., 414 U.S. 291, 94 S. Ct. 505 (1973) (requiring
each class member in a diversity action to satisfy the jurisdictional amount
for federal diversity actions). According to the prefatory note to the UCAA,
“[m]ore classes with claims will be seeking redress in state court because
the federal courts have severely restricted the availability of class actions
in their forum.” Model Class Actions Act, Prefatory Note, 12 U.L.A. 94
(2008). 7 Professor Vestal himself stated that the UCAA was a response to
Zahn and Eisen which “severely limited the availability of class actions in
federal court.” Vestal, 63 A.B.A. J. at 837. As noted by a contemporary
observer, although the UCAA has many similarities to the federal rule, “its
most outstanding features are its differences from the federal rule.” Irving
Scher, Opening State Courts to Class Actions: The Uniform Class Actions
Act, 32 Bus. Law. 75, 75 (1976).
For instance, while Federal Rule 23(a)(3) requires “typicality,” a
requirement that led a number for court to apply Rule 23 more
restrictively, no such requirement is contained in the UCAA. See Richard
7The Uniform Class Actions Act was officially changed to a Model Act in 1987.
Model Class Actions Act, Historical Note, 12 U.L.A. at 93.
33
Alpert, The Uniform Class Actions Act: Some Promise and Some Problems,
16 Harv. J. on Legis. 583, 593 & n.63 (1979).
The elimination of the typicality requirement was
contemporaneously praised as eliminating a barrier to class actions. As
noted by Professor Alpert,
Requiring class interests to be more closely aligned could
easily inhibit broad equitable relief; particularly in civil rights
class actions in which the same claims often are presented in
varying factual circumstances, requiring near identity of
interests would virtually foreclose bringing of the suit.
Id. at 595. For example, Federal Rule 23(b)(3) states that a class action is
prohibited unless the court finds it is “superior to other methods for the
fair and efficient adjudication of the controversy.” Fed. R. Civ. P. 23(b)(3).
On the other hand, the UCAA allows the court to certify a class action
when it appears to provide a “fair and efficient adjudication of the
controversy.” Model Class Actions Act § 2(b), 12 U.L.A. at 98.
The UCAA departed from Federal Rule 23(b)(3)’s requirement that a
class action may not be certified unless the court finds that common
questions of law or fact “predominate” over questions affecting only
individual members. Fed. R. Civ. P. 23(b)(3). Under the UCAA, this
requirement is reduced to being only one of thirteen criteria for the court
to determine a class action. Model Class Actions Act § 3(a)(5), 12 U.L.A.
at 100.
All this does not mean that federal authorities may not present
persuasive reasoning, particularly where Federal Rule 23 is closely parallel
to the Iowa class-actions rules. Vos, 667 N.W.2d at 44 (“Iowa Rules of Civil
Procedure 1.261 to 1.263, the rules regarding class actions, closely
resemble Federal Rule of Civil Procedure 23. . . . Therefore, we may rely
on federal authorities construing similar provisions of Federal Rule of Civil
34
Procedure 23.”) On the other hand, the differences between the applicable
Iowa Rules of Civil Procedure and Federal Rule of Civil Procedure 23
represent deliberate choices that must be honored as well.
Further, it is important to recognize that trends in federal caselaw
have tended to narrow the availability of class actions. These
developments have been thoroughly catalogued by Dean Robert Klonoff.
See Robert H. Klonoff, The Decline of Class Actions, 90 Wash. U. L. Rev.
729, 731 (2013) (outlining generally the trend in courts historically to limit
the ability of plaintiffs to bring class actions). But see Robert H. Klonoff,
Class Actions Part II: A Respite from the Decline, 92 N.Y.U. L. Rev. 971, 971
(2017) (finding more recently, however, that the Supreme Court and
federal circuit courts have begun to relax their previously harsher stance
towards plaintiffs bringing class actions). As Arthur Miller, who was there
at the creation of Federal Rule 23, has observed, “[T]he Supreme Court
and several courts of appeals have rendered decisions that oblige district
courts to require ‘rigorous’ adherence to each of the Rule 23 prerequisites,”
which some would say demonstrates a tendency of federal courts to go
“out of their way to intensify [the class-action requirements] and create
new ones.” Arthur R. Miller, The Preservation and Rejuvenation of
Aggregate Litigation: A Systemic Imperative, 64 Emory L.J. 293, 296 & n.15
(2014). We are by no means bound to accept the departure of federal
courts from earlier class-action precedent unless we deliberately choose to
do so based upon our independent analysis of law.
B. Specific Provisions of Iowa Class-Actions Rules. The Iowa
class-actions rules are presented in Iowa Rules of Civil Procedure 1.261–
.279. The three general requirements are under Iowa Rule of Civil
Procedure 1.261 and rule 1.262. Rule 1.261(1) provides that a class action
is appropriate if “[t]he class is so numerous or so constituted that joinder
35
of all members . . . is impracticable.” Iowa R. Civ. P. 1.261(1). Rule
1.261(2) requires the presence of “a question of law or fact common to the
class.” Id. r. 1.261(2). Notably, rule 1.261(2) does not require that
common questions of law or fact predominate, but only that they are
present.
Rule 1.262(2) allows the district court to certify a class action if it
finds that (a) both the provisions of rule 1.261 have been met, (b) “[a] class
action should be permitted for the fair and efficient adjudication of the
controversy[,]” and (c) “[t]he representative parties fairly and adequately
will protect the interests of the class.” Id. r. 1.262(2)(a)–(c).
Rule 1.263 provides criteria for the district court to use “[i]n
determining whether the class action should be permitted for the fair and
efficient adjudication of the controversy.” Id. r. 1.263. The district court
is directed to “consider and give appropriate weight” to the thirteen listed
factors 8 and “other relevant factors.” Id. The rule does not provide that
any of the thirteen factors are entitled to more or less weight.
8Under rule 1.263, the court spells out in greater detail the specifically
enumerated criteria, which are
a. Whether a joint or common interest exists among members of
the class.
b. Whether the prosecution of separate actions by or against
individual members of the class would create a risk of inconsistent or
varying adjudications with respect to individual members of the class that
would establish incompatible standards of conduct for a party opposing
the class.
c. Whether adjudications with respect to individual members of
the class as a practical matter would be dispositive of the interests of other
members not parties to the adjudication or substantially impair or impede
their ability to protect their interests.
d. Whether a party opposing the class has acted or refused to act
on grounds generally applicable to the class, thereby making final
injunctive relief or corresponding declaratory relief appropriate with
respect to the class as a whole.
36
C. Caselaw Under Iowa Class-Actions Rules. We have repeatedly
stated that “our class-action rules are remedial in nature and should be
liberally construed to favor the maintenance of class actions.” Anderson
Contracting, Inc. v. DSM Copolymers, Inc., 776 N.W.2d 846, 848 (Iowa 2009)
(quoting Comes, 696 N.W.2d at 320).
In this case, Annett Holding claims the Iowa Rule of Civil Procedure
1.262(2)(b) requirement that the action will promote “fair and efficient”
administration of justice is not present in this case. The rule directs the
district court to consider thirteen criteria in determining whether a class
action will promote the fair and efficient administration of justice. In
determining what weight to assign to the thirteen criteria, the trial court
is vested with wide discretion in assessing what weight, if any, is to be
e. Whether common questions of law or fact predominate over any
questions affecting only individual members.
f. Whether other means of adjudicating the claims and defenses
are impracticable or inefficient.
g. Whether a class action offers the most appropriate means of
adjudicating the claims and defenses.
h. Whether members who are not representative parties have a
substantial interest in individually controlling the prosecution or defense
of separate actions.
i. Whether the class action involves a claim that is or has been the
subject of a class action, a government action, or other proceeding.
j. Whether it is desirable to bring the class action in another
forum.
k. Whether management of the class action poses unusual
difficulties.
l. Whether any conflict of laws issues involved pose unusual
difficulties.
m. Whether the claims of individual class members are insufficient
in the amounts or interests involved, in view of the complexities of the
issues and the expenses of the litigation, to afford significant relief to the
members of the class.
Iowa R. Civ. P. 1.263(1)(a)–(m).
37
afforded class-certification criteria. Martin v. Amana Refrigeration, Inc.,
435 N.W.2d 364, 367 (Iowa 1989).
There is no preordained hierarchy in the factors; the district court
is charged with determining “what weight, if any, to give to each of the
listed factors.” Anderson Contracting, Inc., 776 N.W.2d at 848–49.
Rule 1.263 “does not require any particular factor be weighted more
heavily than any other.” Id. at 851. Even if a number of factors weigh
against certification, “that does not preclude the [district] court from
certifying the class if, in its opinion, those factors are outweighed by other
factors supporting certification.” Comes, 696 N.W.2d at 322 (quoting
Howe v. Microsoft Corp., 656 N.W.2d 285, 289 (N.D. 2003)). Further, the
district court is not required to assign weight to any of the criteria listed
or to make written findings as to each factor. Vos, 667 N.W.2d at 45.
With respect to one of the thirteen criteria, predominance of common
issues, the question is “fairly complex.” Vignaroli, 360 N.W.2d at 744. We
have characterized the inquiry as qualitative, not quantitative. Freeman,
895 N.W.2d at 118. In Comes, we specifically rejected a contention that
this criteria was a prerequisite for class certification, noting that it was
only one of thirteen criteria to be considered. 696 N.W.2d at 322. We have
stated that
[w]hen common questions represent a significant aspect of the
case and they can be resolved for all members of the class in
a single adjudication, there is a clear justification for handling
the dispute on a representative rather than an individual
basis.
Luttenegger v. Conseco Fin. Servicing Corp., 671 N.W.2d 425, 437 (Iowa
2003) (emphasis omitted) (quoting 7A Charles Alan Wright et al., Federal
Practice and Procedure § 1778, at 528–33 (1986)). The claim that a course
of conduct amounted to a statutory violation is clearly a legal question,
38
which is a classic issue that is considered common to the class. Martin,
435 N.W.2d at 368.
In evaluating whether to certify the class, it is not necessary that
each plaintiff be a “carbon copies” of each other. Vignaroli, 360 N.W.2d at
745. Further, “the fact that a potential class action involves individual
damages does not preclude certification when liability issues are common
to the class.” Id.
Further, it is not necessary that every class member have suffered
actual injury from the alleged illegal conduct. We addressed that question
in Martin, 435 N.W.2d 364. In Martin, the plaintiff claimed Amana sold
furnaces and water heaters with certain defects that amounted to a breach
of warranty. Id. at 365. Amana sought to defeat decertification on the
ground that many members of the class did not experience actual injury
and that, as a result, at least half of the members of the class had no
cognizable claim. Id. at 367–38.
We rejected Amana’s argument. We declared that Amana’s focus “is
misplaced for a class-action certification proceeding. The appropriate
inquiry is not the strength of each class member’s personal claim, but
rather, whether they, as a class have common complaints.” Id. at 367.
In giving the trial court broad discretion in class certification, we
have noted that “a safety net is provided for cases in which certification is
improvidently granted; the court may decertify the class at a later time.”
Comes, 696 N.W.2d at 324. If and when a district court elects to decertify
the class at a later time, that decision, like the original decision to certify,
is then subject to review only for an abuse of discretion. Vos, 667 N.W.2d
at 54–55.
39
In addition, the district court may consider bifurcating the issues of
liability and damages. See Hammer v. Branstad, 463 N.W.2d 86, 88 (Iowa
1990). As we have noted,
If defendant’s activities present a “common course of conduct”
so that the issue of statutory liability is common to the class,
the fact that damages . . . may vary for each party does not
require that the class action be terminated.
Legg v. W. Bank, 873 N.W.2d 756, 759–60 (Iowa 2016) (quoting
Luttenegger, 671 N.W.2d at 437). As we have previously stated, “Reversal
is appropriate only when the record reveals that the court’s decision was
based on clearly untenable or unreasonable grounds.” City of Dubuque v.
Iowa Tr., 519 N.W.2d 786, 791 (Iowa 1994); see also Anderson Contracting
Inc., 776 N.W.2d at 848. In considering whether there is clearly an abuse,
we must recognize the availability of decertification as the case develops
and the possibility of bifurcation of damages and liability issues. We have
characterized the initial burden on a proponent of a class action as “light.”
City of Dubuque, 519 N.W.2d at 791.
III. Iowa Workers’ Compensation Act Related to Medical Care
of Injured Employees.
Iowa Code chapter 85 establishes a workers’ compensation program
in Iowa. See Iowa Code ch. 85 (2017). Chapter 85 generally provides that
workers injured on the job are entitled to workers’ compensation benefits.
See id. § 85.3. In addition to establishing benefits, chapter 85 provides a
procedure for administering workers’ compensation claims. See id. ch. 85.
In order to fund potential liabilities, chapter 85 provides that employers
must either adequately self-insure or obtain workers’ compensation
insurance. Id. § 85.3.
Iowa Code section 85.27(4) provides that the employer is obligated
“to furnish reasonable services and supplies to treat an injured employee.”
40
The treatment “must be offered promptly and be reasonably suited to treat
the injury without undue inconvenience to the employee.” Id. An
employee dissatisfied with the care may file a petition for alternate care
and have the matter decided in a contested case hearing. Id. The workers’
compensation commissioner is required to issue a decision within ten
working days of the hearing. Id.
Iowa Code section 85.18 relates to contracts to relieve the employer
of its statutory obligations. It provides that “[n]o contract, rule, or device
whatsoever shall operate to relive the employer, in whole or in part, from
any liability created by this chapter except as herein provided.” Id.
§ 85.18.
IV. Discussion.
A. Class-Action Certification. In light of the above, I now turn to
consideration of whether the district court clearly acted unreasonably in
this case and thus, whether class certification amounted to an abuse of
discretion. I find no such abuse.
First, it is clear that there are two common issues in this case. The
plaintiff here attacks the MOU on its face as a violation of Iowa Code
sections 85.18 and 85.27. In other words, the plaintiff’s class seeks a
judicial determination that, in no setting––none whatsoever––may the
MOU be used by Annett Holdings to preempt or otherwise dilute rights
under chapter 85. The plaintiff’s theory is that as a result of Iowa Code
section 85.18, Annett Holdings cannot lawfully attempt to force an
employee to waive those rights under Iowa Code section 85.27, ever, under
any circumstances, period. This is a facial challenge on the legal validly
of the MOU as much as the warranty claim in Martin presented a theory
that affected all members of the class. See Martin, 435 N.W. 2d at 368;
see also DL v. District of Columbia, 713 F.3d 120, 131 (D.C. Cir. 2013)
41
(Edwards, J., concurring) (“An illegal policy or practice affecting all class
members would provide the “glue” necessary to litigate otherwise
individual claims as a class.”); Brinker Rest. Corp. v. Super. Ct., 273 P.3d
513, 531 (Cal. 2012) (“Claims alleging that a uniform policy consistently
applied to a group of [plaintiffs] is in violation of the wage and hour laws
are of the sort routinely, and properly, found suitable for class
treatment.”). The observation of the court of appeals that the lawfulness
of the MOU was “the elephant in the room” is apt.
In addition, the plaintiff presents a bad-faith theory that is common
to all class members. The bad-faith theory is that, in light of the clear
language of Iowa Code section 85.18, there was no reasonable basis for
Annett Holdings to believe it could force employees to sign the MOU as a
term and condition of employment. This claim would be proved by
generalized evidence: no particularized showing is required. The bad-faith
issue is another common issues affecting class members.
Second, the test for predominance is a pragmatic one. The issues
characterized as predominant need not, of course, be dispositive.
Luttenegger, 671 N.W.2d at 437. The legal issues in this case are
predominant in that they are the centerpiece of the litigation. As the court
of appeals characterized it, the legal validity of the MOU is “the elephant
in the room.” Roland, 2019 WL 3317353, at *6.
Third, it may be true that individual members of the class who were
forced to sign the allegedly unlawful MOU and suffered workplace injuries
did not suffer actual damages. But that point was raised and rejected as
a basis for refusing to certify a class in Martin. 435 N.W.2d at 367–68. I
would reject it here as well.
Fourth, the fact that there may be a need for individualized
determination of damages is not decisive. The better view is that
42
individualized damages does not defeat class certification. See Leyva v.
Medline Indus., Inc., 716 F.3d 510, 514–16 (9th Cir. 2013); Brinker Rest.
Corp., 273 P.3d at 546 (“Indeed, to decertify a class on the issue of
damages or restitution may well be effectively to sound the death-knell of
the class action device.” (quoting B.W.I. Custom Kitchen v. Owens–Ill., Inc.,
235 Cal. Rptr. 228, 236 (Cal. Ct. App. 1987))). This is particularly true in
an “upstream” case like this where “the harm is alleged to be some uniform
course of conduct by the defendant, from which everything else follows.”
Samuel Issacharoff, Class Action Conflicts, 30 U.C. Davis L. Rev. 805, 831–
32 (1997).
Fifth, we are at a very early stage of this litigation. It may well be as
the litigation proceeds that the district court will come to a different
conclusion on the issue of class certification. It is possible that discovery
will lead to further class definition. Further, it may be desirable to
bifurcate the trial on the merits from the damages issues. See Engle v.
Liggett Grp., Inc., 945 So. 2d 1246, 1269 (Fla. 2006) (permitting class
members “to initiate individual damages actions” with findings made
during trial of liability issues to have res judicata effect). Or, it may be
that a claims process of some kind needs to be established. See In re
Whirlpool Corp. Front-Loading Washer Prod. Liab. Litig., No. 1:08-WP-
65000, 2010 WL 2756947, at *3 (N.D. Ohio July 12, 2010) (“[T]he presence
of a single common question is enough for certification––as long as
resolution of that question will advance the litigation.”), aff’d, 678 F.3d
409 (6th Cir. 2012), judgment vacated and remanded sub nom. Whirlpool
Corp. v. Glazer, 569 U.S. 901, 133 S. Ct. 1722, aff’d, 722 F.3d 838 (6th
Cir. 2013), and modified in part, 302 F.R.D. 448 (N.D. Ohio 2014); Ouellette
v. Wal-Mart Stores, Inc., 888 So. 2d 90, 91 (Fla. Dist. Ct. App. 2004)
(cataloguing possible approaches to management of claims but
43
emphasizing that “the individual nature of damages claims should not bar
certification of the class”). These issues, however, are premature and not
before the court today.
Sixth, we largely defer to the district court in balancing the thirteen
factors under Iowa Rule of Civil Procedure 1.263. Our caselaw expects our
district courts to be managers of class-action litigation with minimal
interference on appeal. Given the above discussion, the district court’s
class certification cannot be fairly characterized as unreasonable. Among
the thirteen factors, the district court found in a thoughtful ten-page
analysis that there was a joint or common interest among class members,
consistent with the requirements of rule 1.263(1)(a); the prosecution of
separate actions threatened inconsistent or varying adjudications that
would establish incompatible standards, consistent with the requirements
of rule 1.263(1)(b); common questions of law or fact predominate over any
questions affecting only individual interests, consistent with the
requirements of rule 1.263(1)(e); and a class action offers the most
appropriate means to decide the issues, consistent with the requirements
of rule 1.263(1)(g). The district court found that the remaining factors are
of little relevance to the case. In my view, there is no basis for
extraordinary, and indeed, unprecedented, appellate court intervention in
this case.
B. Exhaustion of Administrative Remedies. The majority injects
an issue not raised by the parties, namely, whether the class should not
be certified because members of the class must exhaust administrative
remedies under Iowa Code chapter 85. This argument was not presented
to the district court or to this court on appeal.
The majority suggests that the question of exhaustion of
administrative remedies raises a question of subject matter jurisdiction. If
44
so, the parties could not waive the issue, and it could be raised by this
court sua sponte.
The majority is wrong, however, when it declares that the failure to
exhaust administrative remedies raises an issue of subject matter
jurisdiction. Instead, it gives rise to a question of authority to resolve the
case. The key case in that regard is Keokuk County v. H.B., 593 N.W.2d
118, 122 (Iowa 1999). There, we distinguished between subject matter
jurisdiction and authority to decide the case. Id. We declared that the
failure to exhaust administrative remedies gives rise not to a problem of
subject matter jurisdiction but authority to decide the case. Id. Unlike
questions of subject matter jurisdiction, a party can waive the question of
authority to decide the case. Id.; see also Alliant Energy-Interstate Power
& Light Co. v. Duckett, 732 N.W.2d 869, 874–75 (Iowa 2007).
The majority cites Kloster v. Hormel Foods Corp., 612 N.W.2d 772,
775 (Iowa 2000), in support of its position that failure to exhaust
administrative remedies in the context of chapter 85 claims raises a
question of subject matter jurisdiction. The case does not say that.
Consistent with Keokuk County, the case states that where an employer
asserts that an employee seeking to press a claim under chapter 85 fails
to exhaust administrative remedies, the district court “lacked authority to
entertain the action.” Id. at 775.
The issue of failure to exhaust administrative remedies has not been
asserted in this appeal. As a result, the question is not before us. Further,
as correctly noted by the majority, the question of exhaustion of
administrative remedies would have no impact on the bad-faith claim. In
any event, I think the proper approach on appeal is not to consider the
issue not raised in an appellate brief by either party.
45
V. Conclusion.
For the above reasons, I would affirm the order of the district court
on class certification.