Case: 16-11818 Date Filed: 10/19/2017 Page: 1 of 42
[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
________________________
No. 16-11818
________________________
D.C. Docket Nos. 1:14-cv-24061-JRG,
1:14-cv-24064-JRG
1:14-cv-24061-JRG
AMAL EGHNAYEM,
MARGARITA M. DOTRES,
MANIA NUNEZ,
JUANA BETANCOURT,
Plaintiffs - Appellees,
MARGARETTE DUBOIS-JEAN,
Plaintiff,
versus
BOSTON SCIENTIFIC CORPORATION,
Defendant -
Appellant.
_________________________________________________________
1:14-cv-24064-JRG Dismissed 02/23/2017
MARGARITA M. DOTRES,
Plaintiff,
Case: 16-11818 Date Filed: 10/19/2017 Page: 2 of 42
versus
BOSTON SCIENTIFIC CORPORATION,
Defendant.
_________________________________________________________
1:14-cv-24065-JRG
MANIA NUNEZ,
Plaintiff - Appellee,
versus
BOSTON SCIENTIFIC CORPORATION,
Defendant - Appellant.
_________________________________________________________
1:14-cv-24066-JRG
JUANA BETANCOURT,
Plaintiff - Appellee,
versus
BOSTON SCIENTIFIC CORPORATION,
Defendant - Appellant.
________________________
Appeal from the United States District Court
for the Southern District of Florida
________________________
(October 19, 2017)
2
Case: 16-11818 Date Filed: 10/19/2017 Page: 3 of 42
Before HULL, MARCUS, and ROGERS,* Circuit Judges.
MARCUS, Circuit Judge:
In this products liability suit, Boston Scientific Corporation
(BSC) appeals from various orders and a final judgment in favor of the
plaintiff, Amal Eghnayem. Eghnayem alleged substantial injuries
caused by the Pinnacle Pelvic Floor Repair Kit, a transvaginal mesh
prescription medical device manufactured and sold by BSC. She
initially filed suit in the Southern District of West Virginia as part of a
transvaginal mesh Multidistrict Litigation; her suit was consolidated
with three other similar suits and transferred to the Southern District of
Florida for trial. The consolidated plaintiffs all brought the same four
claims under Florida law, arguing that BSC was both negligent and
strictly liable for the Pinnacle’s defective design, and both negligent
and strictly liable for failing to warn them of the resultant danger from
the Pinnacle. After eight days of trial, the jury found for each of the
plaintiffs on all four claims, awarding more than six million dollars to
each plaintiff. BSC now appeals from the judgment entered for
*
Honorable John M. Rogers, United States Circuit Judge for the Sixth Circuit,
sitting by designation.
3
Case: 16-11818 Date Filed: 10/19/2017 Page: 4 of 42
Eghnayem. 1
BSC argues that the district court abused its discretion in two
distinct ways: by consolidating the four plaintiffs’ suits and trying them
together, and by excluding all evidence relating to the Food and Drug
Administration’s clearance of the Pinnacle for sale through its 510(k)
“substantial equivalence” process. BSC also says that the district court
erred in denying it judgment as a matter of law because Eghnayem
failed to present sufficient evidence to prove her design defect claim;
she failed to present sufficient evidence that the Pinnacle’s warnings
were not per se adequate, and that the alleged failure to warn was the
proximate cause of her injuries; and finally, the relevant statute of
limitations barred all of her claims as a matter of law.
After thorough review, and having had the benefit of oral
argument, we can discern no error in the district court’s rulings, and
accordingly we affirm the judgment of the district court.
I.
The Pinnacle is a medical device used to remedy pelvic organ
1
BSC initially appealed from the judgment in favor of all four plaintiffs:
Eghnayem, Margarita M. Dotres, Mania Nuñez, and Juana Betancourt. Prior to oral
argument, BSC dismissed the appeal as to Dotres. BSC has since moved to dismiss the
appeal as to co-plaintiffs Nuñez and Betancourt as well. That motion is GRANTED.
4
Case: 16-11818 Date Filed: 10/19/2017 Page: 5 of 42
prolapse in a female patient. Essentially, this device is a mesh sheet
that is implanted transvaginally and works by physically preventing
pelvic organs (the bladder, uterus, or rectum) from falling through the
vagina. The mesh is made from polypropylene, a type of plastic. In
2007, the FDA cleared BSC to sell the Pinnacle pursuant to its 510(k)
process, which entailed finding that the Pinnacle was “substantially
equivalent” to another device already available on the market.
The plaintiff, Amal Eghnayem, had a Pinnacle surgically
implanted on February 28, 2008, to treat her pelvic organ prolapse. In
the months following her surgery, she began to experience bleeding and
pain during intercourse, incontinence, and pelvic pain and pressure.
She visited a doctor for these problems in October 2008, who
performed a pelvic exam and told Eghnayem that she had exposed
mesh in her vagina. The doctor performed in-office surgery to trim the
exposed mesh in an attempt to alleviate Eghnayem’s symptoms.
Unfortunately, this treatment did not resolve her problems, and in May
2012, she visited another doctor and complained of similar symptoms.
This doctor examined Eghnayem, found another mesh exposure, and
performed a second mesh-removal surgery in August 2012. Since then,
5
Case: 16-11818 Date Filed: 10/19/2017 Page: 6 of 42
Eghnayem’s pain has largely subsided, but she has lost vaginal
sensitivity.
Eghnayem and three other plaintiffs filed separate lawsuits
against BSC in MDL 2326 -- In re: Boston Scientific Corporation
Pelvic Repair System Products Liability Litigation -- in the United
States District Court for the Southern District of West Virginia. They
each sought compensatory and punitive damages based on claims for
negligent design defect, negligent failure to warn, strict-liability design
defect, and strict-liability failure to warn. The district court sua sponte
consolidated the suits for all purposes, including trial. The court
observed that, although “there will be separate evidence relating to
failure to warn and individual damages,” “the similarities in these
cases, particularly as to the claim of design defect,” outweighed the
differences and warranted consolidation.
BSC moved the district court to sever the suits after discovery,
arguing that the similarities in the plaintiffs’ suits did not predominate
and that consolidation would lead to jury confusion and prejudice. It
pointed out that each plaintiff had different complaints, different
medical histories, and different treating doctors; was prescribed the
6
Case: 16-11818 Date Filed: 10/19/2017 Page: 7 of 42
Pinnacle at different times for different conditions; and claimed to
suffer different injuries, after different lengths of exposure, resulting in
different treatment courses. But the district court was “unpersuaded
that the barriers suggested by defendants in a consolidated trial [were]
insurmountable or [would] result in [ ] prejudice” and so denied BSC’s
motion.
The consolidated case was transferred to the United States
District Court for the Southern District of Florida. Prior to trial, the
district court excluded all evidence relating to the Food and Drug
Administration’s (“FDA”) regulatory scheme and clearance of the
Pinnacle for sale pursuant to the 510(k) “substantial equivalence”
process. The court excluded the evidence under both Federal Rule of
Evidence 402, which provides that “[i]rrelevant evidence is not
admissible,” and Federal Rule of Evidence 403, which provides that
relevant evidence may be excluded “if its probative value is
substantially outweighed by a danger of . . . unfair prejudice, confusing
the issues, misleading the jury, undue delay, [or] wasting time.”
Trial began in the Southern District of Florida on November 3,
2014, and continued over eight days. The plaintiffs offered twenty-five
7
Case: 16-11818 Date Filed: 10/19/2017 Page: 8 of 42
witnesses, including themselves and their implanting physicians. The
witnesses, mostly doctors, testified regarding the plaintiffs’ medical
conditions, implantation processes, and injuries; BSC’s structure and
policies; the Pinnacle’s development process; and the Pinnacle’s and
polypropylene mesh’s chemical characteristics, design features, uses,
and potential dangers. BSC contested all four of the plaintiffs’ claims
on the merits and also asserted Florida’s four-year statute of limitations
for products liability claims as an affirmative defense against
Eghnayem’s claims in particular. At the conclusion of the plaintiffs’
case, and again after the conclusion of their own case, BSC moved for
judgment as a matter of law on all claims; the district court deferred
ruling. The jury returned a verdict in favor of each of the plaintiffs on
all claims except for punitive damages, and rejected BSC’s statute of
limitations defense, awarding $6,722,222 in damages to Eghnayem,
$6,533,333 to Nuñez, $6,766,666 to Dotres, and $6,722,222 to
Betancourt.
BSC renewed its motion for judgment as a matter of law on all of
the plaintiffs’ claims. BSC argued, among other things, that Eghnayem
failed to present sufficient evidence on her design defect claim; that the
8
Case: 16-11818 Date Filed: 10/19/2017 Page: 9 of 42
Pinnacle’s warnings were adequate as a matter of law, and that
regardless Eghnayem failed to show that the alleged failure to warn was
the proximate cause of her injuries; and, finally, that the evidence
indisputably showed that Eghnayem’s claims had accrued more than
four years before she filed suit. The district court rejected all of these
arguments, concluding that Eghnayem had provided sufficient evidence
to support her claims and thus they were all properly reserved for the
jury.
BSC also moved in the alternative for a new trial on the grounds
that it was substantially prejudiced by the wrongful exclusion of the
510(k) evidence, and that consolidation confused the jury and also
prejudiced BSC. Again, the district court rejected these arguments,
based largely on the same reasoning it had provided in the initial
consolidation and exclusion orders.
BSC now appeals the denial of these post-trial motions.
II.
We review a district court’s decision whether to consolidate
multiple actions only for a “clear abuse of discretion.” Hendrix v.
Raybestos-Manhattan, Inc., 776 F.2d 1492, 1495 (11th Cir. 1985). We
9
Case: 16-11818 Date Filed: 10/19/2017 Page: 10 of 42
also review the evidentiary rulings of a trial court “only for a clear
abuse of discretion.” United States v. Brannan, 562 F.3d 1300, 1306
(11th Cir. 2009). “[W]e must affirm unless we find that the district
court has made a clear error of judgment, or has applied the wrong
legal standard.” Id. (quoting United States v. Frazier, 387 F.3d 1244,
1259 (11th Cir. 2004) (en banc)). Finally, we review the district court’s
ruling on a motion for judgment as a matter of law de novo,
considering the evidence and the reasonable inferences drawn from it in
the light most favorable to the nonmoving party. Middlebrooks v.
Hillcrest Foods, Inc., 256 F.3d 1241, 1246 (11th Cir. 2001). Thus,
we’ve explained, “[j]udgment as a matter of law is appropriate only if
the evidence is so overwhelmingly in favor of the moving party that a
reasonable jury could not arrive at a contrary verdict.” Id.
III.
BSC first contends that the district court abused its discretion by
consolidating the plaintiffs’ suits, because individual issues
predominated and the consolidation yielded unacceptable prejudice.
BSC also argues that the district court abused its discretion by
excluding evidence relating to the Pinnacle’s clearance through the
10
Case: 16-11818 Date Filed: 10/19/2017 Page: 11 of 42
FDA’s 510(k) regulatory process, because this evidence was relevant to
the Pinnacle’s safety. Neither claim succeeds.
A.
The district court acted well within its discretion in consolidating
each of these four lawsuits. Under Federal Rule of Civil Procedure
42(a), a district court may consolidate multiple actions that “involve a
common question of law or fact.” A district court’s decision whether to
consolidate is “purely discretionary.” Hendrix, 776 F.2d at 1495. In
exercising its considerable discretion, the trial court is obliged to
consider:
Whether the specific risks of prejudice and possible confusion are
overborne by the risk of inconsistent adjudications of common
factual and legal issues, the burden on parties, witnesses and
available judicial resources posed by multiple lawsuits, the length
of time required to conclude multiple suits as against a single
one, and the relative expense to all concerned of the single-trial,
multiple-trial alternatives.
Id. (quotation omitted and alterations adopted). Moreover, “[t]he court
must also bear in mind the extent to which the risks of prejudice and
confusion that might attend a consolidated trial can be alleviated by
utilizing cautionary instructions to the jury during the trial and
controlling the manner in which the plaintiffs’ claims (including the
11
Case: 16-11818 Date Filed: 10/19/2017 Page: 12 of 42
defenses thereto) are submitted to the jury for deliberation.” Id. “A
joint trial is appropriate where there is clearly substantial overlap in the
issues, facts, evidence, and witnesses required for claims against
multiple defendants.” Allstate Ins. Co. v. Vizcay, 826 F.3d 1326, 1333
(11th Cir. 2016) (quotation omitted and alteration adopted). But
“[w]here prejudice to rights of the parties obviously results from the
order of consolidation, the action of the trial judge has been held
reversible error.” Dupont v. S. Pac. Co., 366 F.2d 193, 196 (5th Cir.
1966).2 “District court judges in this circuit have been urged to make
good use of Rule 42(a) in order to expedite the trial and eliminate
unnecessary repetition and confusion.” Young v. City of Augusta, 59
F.3d 1160, 1169 (11th Cir. 1995) (quotation omitted and alterations
adopted).
The district court did not abuse its discretion in concluding that
the considerations surrounding consolidation weighed in favor of
joining these suits for trial. The plaintiffs all brought the same claims
based largely on the same facts: BSC’s Pinnacle device was
2
Former Fifth Circuit cases decided before October 1, 1981 are binding precedent
in the Eleventh Circuit. See Bonner v. City of Prichard, 661 F.2d 1206, 1209 (11th
Cir. 1981).
12
Case: 16-11818 Date Filed: 10/19/2017 Page: 13 of 42
unreasonably dangerous by design, and BSC failed to include sufficient
warnings with the device to alert physicians to that danger. Although
each plaintiff’s proof of causation was necessarily different, generally
differences in causation are not enough, standing alone, to bar
consolidation of products liability claims. And any danger of prejudice
arising from the consolidation was reduced in this case, because the
district court explained the consolidated nature of the trial to the jury
and expressly instructed it to consider each plaintiff’s claims
separately. Notably, this is not the first time we have affirmed the
consolidation of products liability claims that require individual
evidence of causation. Thus, for example, in Hendrix v. Raybestos-
Manhattan, Inc., we affirmed a district court’s decision to consolidate
four products liability cases that all alleged that asbestos exposure
caused them to contract an asbestos-related disease, notwithstanding
the presentation of different bodies of proof on causation. 776 F.2d at
1495–96.
BSC nonetheless contends that consolidation was improper
because the plaintiffs’ evidence was presented in a confusing and
disjointed manner, but this argument is largely beside the point.
13
Case: 16-11818 Date Filed: 10/19/2017 Page: 14 of 42
Confusing or not, most of the evidence went toward the common
claims among the plaintiffs: (1) whether the Pinnacle was a defective
medical device and (2) whether the Pinnacle’s warnings were
sufficient. The only evidence that went to the individual claims came
from the more-easily-distinguishable doctors who did each plaintiff’s
implantation, and concerned comparatively straightforward questions:
(1) did the Pinnacle’s design cause that plaintiff’s injuries, and (2) did
the lack of sufficient warnings influence that doctor’s decision to
implant the Pinnacle. BSC has not shown that this individual evidence
made the suit so confusing that it was obviously prejudiced and thus
has failed to tie the confusion to the consolidation order.
BSC also suggests that the plaintiffs’ similar damages awards in
the amounts of $6,766,666, $6,722,222, $6,722,222, and $6,533,333,
respectively, show that the jury was confused by the consolidated suits.
The district court rejected this argument too because BSC failed to
point to any direct source of the jury’s alleged confusion, and instead
effectively “work[ed] backwards, speculating as to the reason for the
compensatory awards based on the end result.” The district court was
correct. Nearly identical or identical damages awards, without more,
14
Case: 16-11818 Date Filed: 10/19/2017 Page: 15 of 42
simply are not sufficient evidence of juror confusion. The plaintiffs
suffered similar injuries caused by the same product, and so might
reasonably be due similar relief. And notably, the awards were not all
identical; the fact that two were the same and two were different
strongly suggests that the jury considered each plaintiff individually.
BSC fails to point us to any evidence that the jury’s decision to award
similar damages to each plaintiff was improper. This allegation of
confusion is far from enough to show that the district court abused its
discretion.
BSC also says that consolidating the four plaintiffs for trial led
the jury to believe that their claims were more likely to be true, but this
argument fails. For starters, the district court instructed the jury that
“[y]ou may not even consider the fact that there’s more than one case
being brought,” an instruction that the jury presumably followed. See
United States v. Stone, 9 F.3d 934, 938 (11th Cir. 1993) (“Few tenets
are more fundamental to our jury trial system than the presumption that
juries obey the court’s instructions.”). And even had the cases not been
consolidated, the plaintiffs would likely have been able to submit
evidence of other patients with similar injuries to show the dangerous
15
Case: 16-11818 Date Filed: 10/19/2017 Page: 16 of 42
character of the Pinnacle. See, e.g., Jones v. Otis Elevator Co., 861
F.2d 655, 661 (11th Cir. 1988) (“We have held that evidence of similar
accidents might be relevant to the defendant’s notice, magnitude of the
danger involved, the defendant’s ability to correct a known defect, the
lack of safety for intended uses, strength of a product, the standard of
care, and causation.”) (quotation omitted). Moreover, consolidation of
products liability cases will always implicate this concern, and this
Court has affirmed consolidation in these kinds of cases before. See,
e.g., Hendrix, 776 F.2d at 1495–96.
BSC’s final argument is that, due to the differences in the
plaintiffs’ claims, consolidation allowed evidence into trial that would
have been individually inadmissible for some of the plaintiffs. This
claim fails as well. As an initial matter, BSC failed to request limiting
instructions for any of the challenged evidence. The failure to
contemporaneously raise the issue denied the district court the chance
to address the problem by issuing limiting instructions, and it deprives
this Court of the benefit of the district court’s decisions. See Access
Now, Inc. v. Sw. Airlines Co., 385 F.3d 1324, 1331 (11th Cir. 2004)
(“[A]s a court of appeals, we review claims of judicial error in the trial
16
Case: 16-11818 Date Filed: 10/19/2017 Page: 17 of 42
courts. If we were to regularly address questions -- particularly fact-
bound issues -- that [the district court] never had a chance to examine,
we would not only waste our resources, but also deviate from the
essential nature, purpose, and competence of an appellate court.”); see
also Fisher v. Ciba Specialty Chems. Corp., 245 F.R.D. 539, 543 n.7
(S.D. Ala. 2007) (noting that “appropriate limiting instructions” can be
used to cabin “evidence relevant to the claims of one plaintiff but not to
others”); United States v. Miranda, 197 F.3d 1357, 1360 (11th Cir.
1999) (“The failure to give a limiting instruction is error only when
such an instruction is requested.”). BSC’s failure severely weakens its
argument.
Moreover, it’s far from clear that the complained-of evidence
would have been excludable even if each of the plaintiffs had tried their
cases alone. BSC identifies three pieces of evidence that may have
been inadmissible in individual trials: graphic images and testimony
regarding one plaintiff’s removed mesh; information about another
plaintiff’s future scheduled surgery; and evidence relating to BSC’s
practices and the Pinnacle’s safety that post-dated some but not all of
the plaintiffs’ implantations. As for the first, BSC generally objected to
17
Case: 16-11818 Date Filed: 10/19/2017 Page: 18 of 42
the graphic images and testimony under Rule 403, arguing that the
possibility of prejudice substantially outweighed any probative value.
The court overruled that objection, and that decision was not an abuse
of discretion. Graphic medical photos and testimony, while potentially
disturbing, might also be particularly helpful in allowing a jury to better
understand a medical device and the allegedly related injuries. See
Aycock v. R.J. Reynolds Tobacco Co., 769 F.3d 1063, 1069 (11th Cir.
2014) (“[A] district court’s discretion to exclude evidence under Rule
403 is narrowly circumscribed.”) (quotation omitted); Gen. Elec. Co. v.
Joiner, 522 U.S. 136, 141 (1997) (“[A]buse of discretion is the proper
standard of review of a district court’s evidentiary rulings.”). In this
case, the very feature that made the images graphic -- the tissue that
was removed along with the mesh -- is what made them relevant to the
plaintiffs’ claim that the very nature of the Pinnacle’s design prevented
the removal of the mesh without removing tissue. BSC has not
convinced us that this evidence would have been any less relevant, or
any more prejudicial, in individual trials. See Hahn v. Sterling Drug,
Inc., 805 F.2d 1480, 1483 (11th Cir. 1986) (noting that evidence of
prior incidents that might be relevant to “the magnitude of danger,”
18
Case: 16-11818 Date Filed: 10/19/2017 Page: 19 of 42
“the lack of safety,” or “causation” “should not be excluded”).
As for the second challenged piece of evidence, BSC did not
object at all to the two mentions of one plaintiff’s future scheduled
surgery, and further has not suggested that this evidence would be
excludable in individual trials under any rule of evidence except
perhaps Rule 403. We fail to see how the danger of unfair prejudice
from the mere mention of future surgery warrants invoking the strong
medicine of Rule 403 exclusion. See United States v. Dodds, 347 F.3d
893, 897 (11th Cir. 2003) (“[W]e have [ ] recognized that Rule 403 is
an extraordinary remedy which the district court should invoke
sparingly, and the balance should be struck in favor of admissibility.”)
(quotation omitted and alteration adopted). Once again, BSC has not
shown that this evidence would have been inadmissible for some of the
plaintiffs individually.
Finally, as for the third challenged set of evidence, BSC fails to
show that the evidence post-dating some of the
implantations -- including admissions from BSC employees tending to
show a pattern of insufficient research for other medical devices, and
information suggesting a high erosion rate for the Pinnacle -- would not
19
Case: 16-11818 Date Filed: 10/19/2017 Page: 20 of 42
be admissible for at least some purposes in each individual trial. A
pattern of insufficient research might be probative evidence as to
whether BSC designs products without due care, and the Pinnacle’s
high erosion rate is surely probative of whether BSC was strictly liable
for a defective product. BSC is of course correct that this evidence
could not have been used to show BSC’s knowledge of the risks
associated with the Pinnacle for those plaintiffs whose implantations
predated the evidence. But when evidence is relevant for some
purposes and not others, limiting instructions -- not exclusion -- are
generally the best way to handle the issue. See, e.g., Fisher, 245 F.R.D.
at 543 n.7. BSC’s failure to request limiting instructions here dooms
this argument.
Quite simply, BSC cannot establish that it was prejudiced by the
consolidation of the plaintiffs’ suits. The district court did not abuse its
discretion in ordering the consolidation and denying BSC a new trial.
B.
The district court also did not abuse its discretion when it
excluded BSC’s 510(k) evidence. The 510(k) review process
originates from the Medical Device Amendments of 1976 (MDA) to
20
Case: 16-11818 Date Filed: 10/19/2017 Page: 21 of 42
the Federal Food, Drug, and Cosmetic Act. The MDA was enacted in
order to “impose[ ] a regime of detailed federal oversight” of medical
devices. Riegel v. Medtronic, Inc., 552 U.S. 312, 316 (2008). Under
the MDA, certain devices must complete a thorough premarket
approval (PMA) process with the FDA before they may be marketed,
including all devices that cannot “provide reasonable assurance of
the[ir] safety and effectiveness” under less stringent scrutiny, and that
are “purported or represented to be for a use in supporting or sustaining
human life or for a use which is of substantial importance in preventing
impairment of human health” or “present[ ] a potential unreasonable
risk of illness or injury.” Id. at 317; 21 U.S.C. § 360c(a)(1)(C). The
PMA process requires the applicant to demonstrate a “reasonable
assurance” that the device is both “safe . . . [and] effective under the
conditions of use prescribed, recommended, or suggested in the
proposed labeling thereof.” Buckman Co. v. Plaintiffs’ Legal Comm.,
531 U.S. 341, 344 (2001); 21 U.S.C. § 360e(d)(2)(A), (B).
An exemption to the PMA requirement exists for medical devices
that were already on the market prior to the MDA’s enactment in 1976;
these devices are allowed to remain on the market until the FDA
21
Case: 16-11818 Date Filed: 10/19/2017 Page: 22 of 42
initiates and completes PMA review for them. See 21 U.S.C.
§ 360e(b)(1)(A); Buckman, 531 U.S. at 345. In order to ameliorate the
monopolistic consequences of this exemption, the MDA also allows
other manufacturers to market devices that are shown to be
“substantially equivalent” to pre-1976 devices that are exempt from the
PMA requirement. Buckman, 531 U.S. at 345 (citing § 360e(b)(1)(B)).
The 510(k) process is the method by which a manufacturer
demonstrates substantial equivalence. Id.
Notably, the PMA and 510(k) processes have distinct
requirements and different goals. PMA “is federal safety review,”
Riegel, 552 U.S. at 323, whereas “the 510(k) process is focused on
equivalence, not safety,” Medtronic, Inc. v. Lohr, 518 U.S. 470, 493
(1996) (quotation omitted and alteration adopted). Indeed, “devices
that enter the market through § 510(k) have never been formally
reviewed . . . for safety or efficacy.” Riegel, 552 U.S. at 323 (quotation
omitted). Rather, the 510(k) exemption is “intended merely to give
manufacturers the freedom to compete, to a limited degree, with and on
the same terms as manufacturers of medical devices that existed prior
to 1976.” Lohr, 518 U.S. at 494.
22
Case: 16-11818 Date Filed: 10/19/2017 Page: 23 of 42
These differences are reflected in the intensity of review: “[I]n
contrast to the 1,200 hours necessary to complete a PMA review, the
§ 510(k) review is completed in an average of only 20 hours.” Id. at
479; see also Goodlin v. Medtronic, Inc., 167 F.3d 1367, 1369 n.1
(11th Cir. 1999) (“[T]he FDA completes the average 510k review
within 20 hours, and the agency considers only whether the device is
indeed the equivalent of a preexisting device -- regardless of how
unsafe or ineffective the grandfathered device happens to be.”). The
two processes are “by no means comparable.” Lohr, 518 U.S. at 478.
Based on the arguments properly presented in this appeal,3 it is
clear that the district court did not abuse its discretion when it
concluded that the 510(k) review process is not relevant to a product’s
safety. As the district court explained, “[i]f 510(k) does not go to a
product’s safety and efficacy -- the very subjects of the plaintiffs’
3
In its reply brief, BSC argues for the first time that because the FDA determined
the Pinnacle to be substantially equivalent to a post-1976 Class II device that may have
undergone formal safety review, as opposed to a pre-1976 Class III device which had
not, BSC’s 510(k) evidence could be relevant to the Pinnacle’s safety in a way that
distinguishes this case from Lohr and Riegel. Because BSC failed to raise this
argument in the district court, or even on appeal prior to its reply brief, we will not
consider it. See Access Now, Inc., 385 F.3d at 1331 (explaining that “an issue not
raised in the district court . . . will not be considered by this [C]ourt”) (quotation
omitted); Lovett v. Ray, 327 F.3d 1181, 1183 (concluding that an argument raised for
the first time in a reply brief is not properly before this Court).
23
Case: 16-11818 Date Filed: 10/19/2017 Page: 24 of 42
products liability claims -- then evidence of BSC’s compliance with
510(k) has no relevance to the state law claims in this case.” This
evidence was properly excluded under Rule 402.
BSC’s arguments to the contrary do not undermine this
conclusion. BSC claims that the evidence is relevant because the
plaintiffs based much of their case on the theory that BSC didn’t
perform sufficient safety testing, and because Florida has established a
rebuttable presumption that a product is not defective if it complies
with applicable safety regulations. But these points simply beg the
question; because 510(k) is not a safety regulation, approval under that
process cannot show that BSC performed sufficient testing or complied
with applicable safety regulations. BSC also argues that the district
court’s conclusion misapplied Lohr and Riegel because those cases
dealt with 510(k)’s relevance to safety in the context of preemption of
state-law claims, not evidence admissibility. But the district court
simply applied the Supreme Court’s reasoning from those cases to
reach a related, though technically distinct, conclusion -- a basic and
entirely proper form of judicial analysis.
But even if the 510(k) evidence were relevant, the district court
24
Case: 16-11818 Date Filed: 10/19/2017 Page: 25 of 42
still did not abuse its discretion when it excluded it under Rule 403. As
the district court noted, the evidence “might have provoked the parties
to engage in a time-consuming mini-trial on whether BSC in fact
complied with [FDA] regulations.” And the apparent significance of
federal regulatory schemes very well might have misled the jury into
thinking that general federal regulatory compliance, not state tort
liability, was the core issue. These concerns of prejudice and confusion
substantially outweighed the probative value of the evidence,
which -- divorced as it was from any clear showing of safety review for
the Pinnacle or a substantially similar device -- was low at best.
Although BSC argues that any possibility of prejudice could have been
“resolved with an appropriate instruction” to the jury, that option does
not come close to tipping the scale in their favor. Weighing all these
considerations, the court acted within its discretion by excluding the
510(k) evidence.
We are not the only circuit court to have approved exclusion of
510(k) evidence under Rule 403. The Fourth Circuit, in In re C.R.
Bard, Inc., MDL No. 2187, Pelvic Repair System Products Liability
Litigation, 810 F.3d 913 (4th Cir. 2016) -- reviewing another order
25
Case: 16-11818 Date Filed: 10/19/2017 Page: 26 of 42
excluding 510(k) evidence for a vaginal mesh device -- explained that,
even “[a]ssuming without deciding that the 510(k) compliance
evidence is relevant,” the evidence had diminished probative value
because 510(k) “operate[s] to exempt devices from rigorous safety
review procedures.” Id. at 920. The court held that the district court
did not abuse its discretion when it concluded that the possibility of
“mini-trials” on the 510(k) process -- which would have included a
“battle of experts” -- presented “the very substantial dangers of
misleading the jury and confusing the issues.” Id. at 921–22 (quotation
omitted). The Fourth Circuit explained the issue this way:
While 510(k) clearance might, at least tangentially, say
something about the safety of the cleared product, it does not say
very much that is specific. The vast majority of courts have said
so, and having been thoroughly briefed not only by the parties but
by several amici, we say so again today. As such, the district
court did not abuse its discretion when it determined that
allowing the 510(k) evidence in on the question of design defect
would be substantially more prejudicial than probative.
Id. at 922.
IV.
Even setting aside the issues of consolidation and exclusion of
the 510(k) evidence, BSC argues that the district court should have
26
Case: 16-11818 Date Filed: 10/19/2017 Page: 27 of 42
granted it judgment as a matter of law on Eghnayem’s design defect
and failure to warn claims, because she didn’t present enough evidence
to establish debatable questions of fact and because her claims were
untimely. After thoroughly reviewing this record, we are satisfied that
Eghnayem provided sufficient evidence in her favor, so her claims were
properly reserved for the jury. The district court did not err by
declining to overturn the jury’s verdict.
A.
The district court did not err by denying judgment as a matter of
law to BSC on Eghnayem’s design defect claims. We are Erie-bound
in diversity cases to apply the tort law of Florida. Erie R. Co. v.
Tompkins, 304 U.S. 64, 78 (1938). In Florida, “a product is defectively
designed if the plaintiff proves that the design of the product
proximately caused the plaintiff’s injuries and the defendant fails to
prove that on balance, the benefits of the design outweigh the risk of
danger inherent in the design.” Force v. Ford Motor Co., 879 So. 2d
103, 106 (Fla. Dist. Ct. App. 2004). This test, known as the “risk-
utility” test, is one of two ways to show that a design is defective under
the strict products liability standard laid out in the Second Restatement
27
Case: 16-11818 Date Filed: 10/19/2017 Page: 28 of 42
of Torts. Jennings v. BIC Corp., 181 F.3d 1250, 1255 (11th Cir. 1999).
We have acknowledged that Florida has adopted this standard. Id.
(citing West v. Caterpillar Tractor Co., 336 So. 2d 80, 87 (Fla. 1976)).
In this case, the jury was instructed on only the risk-utility test.
Eghnayem presented expert testimony of two specific defects in
the Pinnacle: the polypropylene material may experience oxidative
degradation, which causes it to lose its physical and mechanical
properties in a way that causes injury; and the crosshatched design of
the mesh makes it very difficult, if not impossible, to remove if there is
a problem with the mesh.
Regarding polypropylene degradation, Eghnayem presented
expert testimony from Dr. Mays (qualified as an expert in the field of
polymer science) that polypropylene reacts with oxygen, and “[w]hen
that oxidative process progresses enough, the material erodes away.”
When this happens, the polypropylene “stiffen[s]” and “lose[s] [its]
mechanical properties,” which “is relevant to the proper or improper
use of polypropylene in a medical device.” Mays further explained that
“if you increase the surface area of the material, . . . [y]ou’re going to
increase the rate at which that material undergoes degradation,” and
28
Case: 16-11818 Date Filed: 10/19/2017 Page: 29 of 42
that for polypropylene fibers -- a category that the Pinnacle falls
into -- “physical properties deteriorate more rapidly upon oxidation.”
Finally, Mays noted that degradation occurs in the body “much more
readily than it does in many other environments,” and once it occurs the
material “can no longer move with the body.” Mays testified that there
is evidence that polypropylene degrades “when implanted in the female
pelvis,” and that such degradation may result in stiffness and ultimately
“a sawing effect” that Mays believed “caus[ed] some of the problems
with the mesh.” Another expert, Dr. Walmsley (qualified as an expert
in the field of urology), testified that when treating pelvic organ
prolapse with polypropylene mesh, there are “mesh-specific risks” of
pelvic pain, erosion, painful activity, and permanent tissue damage,
along with a significant risk of subsequent surgery as compared to other
prolapse surgical repairs -- approximately a “threefold” increase.
As for the difficulty surrounding the removal of the
polypropylene mesh, Dr. Margolis (qualified as an expert in the fields
of obstetrics and gynecology) opined that the implantation of the mesh,
which has a “crosshatched” or “window screen[ ]” pattern of holes, was
“irreversible” because “[s]car tissue, what are called fibroblasts, scar
29
Case: 16-11818 Date Filed: 10/19/2017 Page: 30 of 42
cells, move into the [holes in the] mesh and they cement the mesh into
place.” Margolis explained that this aspect of the mesh implantation
makes it very difficult to treat mesh injuries, complications, and
erosions.
When taken in concert, this expert testimony provided a
sufficient foundation for a reasonable jury to conclude that the design
of the mesh increased both the potential for degradation and the
difficulty of removal. The ultimate question whether these risks
outweighed the Pinnacle’s benefits was for a jury to decide. The
district court correctly did not second-guess the jury’s verdict.
BSC’s arguments to the contrary are unavailing. BSC claims that
the “purported design defect is a matter not of kind (like the presence of
polypropylene) but of degree (the surface area of polypropylene),” and
thus that Eghnayem was required to establish “the minimum threshold
beyond which the product is defective.” But this argument is a red
herring. This type of analysis is used in toxic tort cases, where some
exposure to a toxic substance may be acceptable, but past a certain
threshold exposure becomes harmful. See, e.g., McClain v. Metabolife
Int’l, Inc., 401 F.3d 1233, 1241 (11th Cir. 2005) (“In toxic tort cases,
30
Case: 16-11818 Date Filed: 10/19/2017 Page: 31 of 42
scientific knowledge of the harmful level of exposure to a chemical
plus knowledge that plaintiff was exposed to such quantities are
minimal facts necessary to sustain the plaintiff’s burden.”) (quotation
omitted and alteration adopted). But in this case, there is no question of
threshold; the Pinnacle was either harmful or not.
BSC also argues that Eghnayem’s implanting physician testified
that polypropylene was safe and effective, and that this somehow
defeats her claim of a design defect. But any testimony from her
experts that tended to weaken her design defect claim is irrelevant to
judgment as a matter of law; the weighing of conflicting evidence is
properly for the jury. See Pensacola Motor Sales Inc. v. E. Shore
Toyota, LLC, 684 F.3d 1211, 1226 (11th Cir. 2012) (explaining that, in
reviewing the denial of a motion for judgment as a matter of law, “we
must disregard all evidence favorable to the moving party that the jury
is not required to believe”) (quotation omitted).
Taking the evidence in the light most favorable to Eghnayem,
there was sufficient evidence for a reasonable jury to find that the
Pinnacle had a design defect. Accordingly, the district court correctly
denied BSC’s motion for judgment as a matter of law.
31
Case: 16-11818 Date Filed: 10/19/2017 Page: 32 of 42
B.
The district court did not err by denying judgment as a matter of
law to BSC on Eghnayem’s failure to warn claims either. Under
Florida law, to succeed on a failure to warn claim a plaintiff must show
(1) that the product warning was inadequate; (2) that the inadequacy
proximately caused her injury; and (3) that she in fact suffered an
injury from using the product. Hoffmann-La Roche Inc. v. Mason, 27
So. 3d 75, 77 (Fla. Dist. Ct. App. 2009). For medical products like the
Pinnacle, “the duty to warn is directed to physicians rather than patients
under the ‘learned intermediary’ doctrine.” Id. This is so because the
prescribing physician acts as an intermediary between the manufacturer
and the consumer, weighing the potential benefits of a device against
the dangers in deciding whether to recommend it to meet the patient’s
needs. Felix v. Hoffmann-LaRoche, Inc., 540 So. 2d 102, 104 (Fla.
1989). Consequently, to satisfy the causation element, a plaintiff must
show that her treating physician would not have used the product had
adequate warnings been provided. See id. at 105 (explaining that “the
drug manufacturer could not be penalized for the failure of the doctor
to impart knowledge concerning the dangers of the drug of which the
32
Case: 16-11818 Date Filed: 10/19/2017 Page: 33 of 42
doctor had been warned and was aware”).
“While in many instances the adequacy of warnings . . . is a
question of fact,” the Florida Supreme Court has held that “it can
become a question of law where the warning is accurate, clear, and
unambiguous.” Felix, 540 So. 2d at 105. “[T]he adequacy or
inadequacy of the warning to inform a physician must, except in the
more obvious situations, be proved by expert testimony.” Upjohn Co.
v. MacMurdo, 562 So. 2d 680, 683 (Fla. 1990). “To warn adequately,
the [warning] label must make apparent the potential harmful
consequences.” Farias v. Mr. Heater, Inc., 684 F.3d 1231, 1233 (11th
Cir. 2012) (quoting Scheman-Gonzalez v. Saber Mfg. Co., 816 So. 2d
1133, 1139 (Fla. Dist. Ct. App. 2002)). Generally, “[t]he warning must
be of such intensity as to cause a reasonable man to exercise for his
own safety caution commensurate with the potential danger.” Id.
(quoting Scheman-Gonzalez, 816 So. 2d at 1139). But “[w]hen a
warning is designed to inform a ‘learned intermediary,’ it is somewhat
easier to establish the adequacy of the warning because it will be read
and considered by a trained expert.” Hayes v. Spartan Chem. Co., 622
So. 2d 1352, 1354 (Fla. Dist. Ct. App. 1993).
33
Case: 16-11818 Date Filed: 10/19/2017 Page: 34 of 42
The Florida Supreme Court has ruled at least twice in notable
cases that warnings were adequate as a matter of law. In Felix, the
court considered a label warning that explained “[b]ecause
teratogenicity has been observed in animals given [the drug], patients
who are pregnant or intend to become pregnant” should not use it, and
female patients “should be fully counseled on the potential risks to the
fetus should they become pregnant while undergoing treatment.” Felix,
540 So. 2d at 103. The court noted that the prescribing doctor testified
that he understood the warnings, and ultimately ruled that these
warnings were adequate as a matter of law to alert physicians to the
possible risk of birth defects from the drug. Id. at 105. In Upjohn, the
Florida Supreme Court considered a warning that mentioned the
following potential adverse reactions: breakthrough bleeding, spotting,
and change in menstrual flow. Upjohn, 562 So. 2d at 682. The court
observed that “no medical expert testified that the package insert was
insufficient to put a doctor on notice” that the medication could cause
the plaintiff’s “excessive and continuous menstrual bleeding,” and
concluded that, as “the insert warned of the possibility of abnormal
bleeding outside of the menstrual period,” “[i]t would be unreasonable
34
Case: 16-11818 Date Filed: 10/19/2017 Page: 35 of 42
to hold Upjohn liable for not characterizing the bleeding as excessive,
continuous, or prolonged.” Id. at 683.
At trial Eghnayem argued that BSC failed to warn doctors that, in
the event of a problem with the Pinnacle, it could be difficult or even
impossible to remove. The Pinnacle’s directions for use contained the
following warnings:
Hysterectomy may be needed in the future; Use of mesh may
make future hysterectomies more difficult due to tissue in-growth
and scarring.
In the event that infection presents post procedure, the entire
mesh many have to be removed or revised.
Tissue responses to the implant could include local irritation at
the wound site, vaginal erosion or exposure through the urethra
or other surrounding tissue, migration of the device from the
desired location, fistula formation, foreign body reaction, and
inflammation. The occurrence of these responses may require
removal or revision of the mesh.
Eghnayem offered expert testimony from Dr. Margolis that these
warnings failed to inform doctors that “a patient may need multiple
operative procedures to remove the mesh”; that “when you remove
portions of the mesh, part of the normal tissue has to come out with it,”
so that “you can[not] just take the mesh out and everything is fine”; and
that mesh implantation ultimately may be “irreversible.”
35
Case: 16-11818 Date Filed: 10/19/2017 Page: 36 of 42
Eghnayem carried her burden here. While the Pinnacle’s
warnings may have been sufficient to notify doctors that multiple
procedures might be needed to remove the mesh, the warnings do not
even remotely suggest that removal might be impossible. Indeed, the
repeated warnings that removal might be necessary suggest just the
opposite. And the warnings also failed to notify doctors that removal
of the mesh might require removal of healthy tissue as well. The
closest they come is by warning that “future hysterectomies [may be]
more difficult due to tissue in-growth and scarring,” but that warning is
not so unambiguous that it would be unreasonable for a jury to hold
BSC liable for failure to warn.
BSC argues, nevertheless, that the Pinnacle’s warnings were
sufficiently clear that they merited judgment as a matter of law under
Upjohn. But the district court was correct to conclude that “the
difference between Upjohn and the case at bar is one of degree -- the
injuries experienced by the plaintiff in Upjohn were a minor departure
from the risks warned of in the package insert, but the same cannot be
said here.” Because the Pinnacle warnings did not explain that the
complications they warned of could be “permanent, irreversible, and
36
Case: 16-11818 Date Filed: 10/19/2017 Page: 37 of 42
untreatable,” the departure was not so minor that the entry of judgment
as a matter of law was warranted.
Eghnayem also proffered sufficient evidence that BSC’s failure
to warn caused her injuries. BSC argues that she failed to show that the
inadequate warnings affected her doctor’s decision to use the Pinnacle,
but her doctor testified that he would have liked to know the risk of
mesh contracture, acute and permanent inflammation, and chronic pain,
and that had he known he would have had “concerns about [ ] using
[the Pinnacle] in a patient” and would have discussed those concerns
with Eghnayem. This testimony does not “point so overwhelmingly in
favor of” BSC that no reasonable jury could find that the failure to
warn proximately caused Eghnayem’s injuries. Slicker v. Jackson, 215
F.3d 1225, 1229 (11th Cir. 2000) (quotation omitted).
C.
Finally, the district court did not err by denying judgment as a
matter of law to BSC on its argument that Eghnayem’s claims were
time barred. It was not unreasonable for the jury to find that
Eghnayem’s claims accrued after April 11, 2009 -- the cut-off point for
the state’s four-year statute of limitations.
37
Case: 16-11818 Date Filed: 10/19/2017 Page: 38 of 42
Under Florida law, plaintiffs have four years to bring a products
liability action. Fla. Stat. §§ 95.11(3)(e), 95.031. Accrual for these
actions is governed by the discovery rule, according to which the
statute of limitations period does not begin to run until “the date that
the facts giving rise to the cause of action were discovered, or should
have been discovered with the exercise of due diligence.” Id. §
95.031(2)(b). The Florida Supreme Court has explained that the
knowledge required to commence the running of the limitations period
under the discovery rule need “not rise to that of legal certainty.” Univ.
of Miami v. Bogorff, 583 So. 2d 1000, 1004 (Fla. 1991), holding
modified on other grounds by Tanner v. Hartog, 618 So. 2d 177 (Fla.
1993). Rather, “[p]laintiffs need only have notice, through the exercise
of reasonable diligence, of the possible invasion of their legal rights.”
Id. Notice, in turn, “ha[s] two essential ingredients: an injury distinct in
some way from conditions naturally to be expected from the plaintiff’s
condition, and . . . exposure to the product in question.” Babush v. Am.
Home Prods. Corp., 589 So. 2d 1379, 1381 (Fla. Dist. Ct. App. 1991)
(emphasis omitted). “Use of the conjunction ‘and’ in this equation
necessarily implies that the connection must be to some extent causal.”
38
Case: 16-11818 Date Filed: 10/19/2017 Page: 39 of 42
Id.
Florida precedent sheds considerable light on what it takes for an
injury to meet this notice standard. In Bogorff, the Florida Supreme
Court concluded that a three-year-old’s symptoms of slurred speech,
impaired motor skills, convulsions, coma, and resultant paralysis and
brain damage, which coincided in time with the introduction of a
particular leukemia medication, were sufficiently dramatic to provide
notice to his parents. 583 So. 2d at 1001, 1004. In Norsworthy v.
Holmes Reg’l Med. Ctr., Inc., on the other hand, a Florida appellate
court held -- in the highly analogous medical malpractice context -- that
a child’s difficulty breathing following an invasive medical procedure
was not so obviously unusual that it put his parents on notice of their
malpractice claim. 598 So. 2d 105, 108 (Fla. Dist. Ct. App. 1992). The
court explained that when “there is nothing about an injury that would
communicate to a reasonable lay person that the injury is more likely a
result of some failure of medical care than a natural occurrence that can
arise in the absence of medical negligence, the knowledge of the injury
itself does not necessarily trigger the running of the statute of
limitations.” Id. at 107. Because even “medical treatment competently
39
Case: 16-11818 Date Filed: 10/19/2017 Page: 40 of 42
performed” might cause new unpleasant symptoms, an injury must
stand out from the norm to start the statutory clock. Id. at 108.
Thus, to merit judgment as a matter of law for BSC, the evidence
must have been clear that Eghnayem was aware of a “dramatic change
in [her] condition,” and further that she knew of the possible
involvement of the Pinnacle in that change, by April 11, 2009 -- four
years before she filed suit. See Bogorff, 583 So. 2d at 1004;
Middlebrooks, 256 F.3d at 1246. The evidence was not that clear.
While Eghnayem did exhibit one new symptom in 2008 -- urinary
incontinence -- that could have been associated with a defect in the
Pinnacle, that symptom was not so obviously unusual as to indisputably
put Eghnayem on notice about her claim. Incontinence is a more
dramatic symptom than some, but judgment as a matter of law is a high
standard, and it was not “patently clear” or “obvious” that Eghnayem’s
incontinence was a sufficiently distinct symptom from what might be
expected after vaginal surgery to put her on notice of her cause of
action against BSC. See United States v. Groessel, 440 F.2d 602, 606
(5th Cir. 1971).
BSC argues that Eghnayem’s testimony that, after consulting
40
Case: 16-11818 Date Filed: 10/19/2017 Page: 41 of 42
with her doctor in October 2008, she believed this new symptom
“w[as] related to the mesh repair” showed she was on notice at that
time. But “mesh repair” could refer to the implantation surgery, along
with any complications, as opposed to the Pinnacle device itself.
BSC’s protestation to the contrary -- that “[n]o rational juror could
conclude that Eghnayem testified the implant surgery, rather than the
mesh itself, was ‘related’ to her ‘problems’” because “[s]he never
blamed her surgeon, and she presented no evidence that her ‘problems’
were caused by surgical technique” -- misses the point. The question is
not whether a reasonable jury could conclude that her injuries were
caused by the surgery, but rather whether the jury could conclude that
Eghnayem reasonably believed that her incontinence was a result of the
surgery instead of the Pinnacle. Ultimately, a jury could have
reasonably concluded that Eghnayem’s injury was not so “distinct . . .
from conditions naturally to be expected from [her post-surgical]
condition,” and so the timeliness of Eghnayem’s action was properly a
question of fact for the jury. Babush, 589 So. 2d at 1381.
The long and short of it is that the district court properly
41
Case: 16-11818 Date Filed: 10/19/2017 Page: 42 of 42
exercised its broad discretion in consolidating these actions and
refusing to admit FDA evidence, and the contested fact questions were
properly presented to the jury.
AFFIRMED.
42