In Cartwright, et al., v. Viking Industries, Inc., District Court certifies consumer class action claims under UCL, CLRA, fraudulent concealment and unjust enrichment theories

On September 11, 2009, the United States District Court, Eastern District of California, issued a substantial class certification opinion in Cartwright, et al. v. Viking Industries, Inc. Cartwright is a consumer class action alleging that certain Viking windows are defective, allowing water and air intrusion into homes. The suit alleged claims for Strict Products Liability, Negligence, Breach of Express Warranty, Breach of Implied Warranty, Violation of the Consumer Legal Remedies Act (“CLRA”), Violation of California’s Unfair Competition Law (“UCL”), Fraudulent Concealment, and Restitution.

The District Court ultimately certified a class for the following claims: CLRA, UCL, fraudulent concealment and unjust enrichment. The District Court denied certification of strict liability and negligence claims. In a thorough opinion that emphasizes a number of pro-consumer certification decisions, the Court certified fraudulent concealment claims by allowing a presumption of reliance. The Court's analysis is as interesting for what it does not cite as for what it does cite. Tobacco II is not mentioned. But the Court does cite Mazza v. Am. Honda Motor Co., 254 F.R.D. 610 (C.D. Cal. 2008), which is currently on appeal to the Ninth Circuit following a 23(f) Petition for Permission to Appeal, and Chamberlan v. Ford Motor Corp., 223 F.R.D. 524, 526-27 (N.D. Cal. 2004).

The Opinion also cites to some principles of federal certification that may be surprising to practitioners that rarely venture outside of California's Superior Court. For instance, the Court notes that evidence inadmissible at trial, and, in particular, expert testimony, may be considered as part of a certification decision. "'On a motion for class certification, the court may consider evidence that may not be admissible at trial.'" Order, citing Mazza, 254 F.R.D. at 616 (citing, in turn, Eisen v. Carlisle & Jacquelin, 417 U.S. 156, 178 (1974)). "'[R]obust gatekeeping of expert evidence is not required; rather, the court should ask only if expert evidence is "useful in evaluating whether class certification requirements have been met."' Ellis v. Costco Wholesale Corp., 240 F.R.D. 627, 635 (N.D. Cal. 2007)."

Now let's see if the acrobat.com embed object will display here:

If you don't see the flash object above, you can directly download the Order. Thanks to Mark Moore for the tip.

Every now and then the question "Where are the bodies buried?" turns out to be legitimate discovery

If you dig deep enough in litigation, you may get down to the real dirt.  But if your class action alleges desecration of human remains, you don't have to dig too deep to uncover the grave truth.  In Sands v. Service Corporation International, a putative class action filed September 10, 2009 in Los Angeles County Superior Court, it is alleged that Defendants:

  1. Secretly broke and opened interment vaults;
  2. Secretly dumped and desecrated human remains, including but not limited to skulls, from interment vaults that were improperly broken or opened, in order to cover up their wrongful acts;
  3. Secretly interred humans remains in locations other than the plot in which the remains were to be properly interred;
  4. Secretly plotted and sold interment plots on top of already scattered human remains, and thereafter secretly interred the recently deceased on top of those scattered human remains;
  5. Secretly “lost” the human remains of individuals without disclosing to family members or others that the deceased was not in fact interred in his or her designated plot;
  6. Secretly interred individuals in the wrong plots;
  7. Intentionally, recklessly, and/or negligently misinformed family members of the deceased as to the state and condition of interment plots, vaults, interments, and human remains; and
  8. Intentionally, recklessly, and/or negligently published, disseminated, circulated and/or placed before the public, either directly or indirectly, statements that were untrue, deceptive and/or misleading regarding the business patterns and practices at Eden Memorial Park.

Complaint.  But it gets better (or worse).  According to Fox News Los Angeles, a former cemetery worker has come forward with allegations that body parts from overcrowded gravesites were routinely discarded.  Isn't nice to see how we all pull together in tough economic times and place family at the center of our priorities?

The first class actions I ever worked on were cemetery class actions.  No other type of misconduct seems to hurt more people in a more personal way than when they learn that the remains of their loved ones were discarded with the trash.  Things like this shouldn't still be happening.

Brinker gets a little bit closer to the finish line

So Brinker Restaurant v. Superior Court (Hohnbaum) moves a bit closer to the light at the end of the tunnel.  After extensions were granted, the Petitioner and the Real Parties in Interest will both file their consolidated answers to amicus briefs on October 8, 2009.  But that's no small task; by my quick count, there are 22 amicus briefs filed in Brinker (view the docket).  That's twenty-two, give or take, in case you thought I double-clutched on the keyboard.  I'd say good cause exists for an extension to file consolidated answers.  Now, without having seen the amicus briefs, what do think the odds are that most of those amicus briefs (1) do nothing but repeat arguments that were in the 100+ page briefs by the parties, and/or (2) repeat other amicus briefs?  My bet is that about 90% of the amicus briefing from both sides could be run through a shredder with no loss of any argument.

Turning back to the timetable for resolution, imagine that you are a research attorney at the Supreme Court.  Imagine you have cases to review aside from Brinker.  Imagine you receive a couple of briefs in the 125-page range and around 22 amicus briefs.  Imagine they fall on you and crush your spine.  How long do you think it would take you to work up a draft opinion with a Justice?  Factor in the holidays, and I now think that my estimate of oral argument in March 2010 is a very optimistic.  I'm officially adjusting The Complex Litigator's Brinker Opinion Release Date from June 2010 to August 2010.  I should work up a graphic for this, like "Stormwatch Winter 2009" or "Firestorm!"  It will need shading and some sort of 3-D effect.

SquareSpace releases its iPhone application

And this is my first post with that new application. SquareSpace iPhone application, where have you been all my life?

Mediation advice from a mediator's perspective

Adrianos Facchetti is an Internet Defamation Attorney in Los Angeles and authors the California Defamation Law Blog. Today he interviews mediator Victoria Pynchon regarding her mediation philosophy and the ways in which attorney strategy and tactics affect the outcome of a mediation. Victoria is a mediator with ADR Services, Inc. in Century City, California, and an arbitrator on the AAA’s Expedited Commercial Panel. Victoria blogs on negotiation at http://negotiationlawblog.com and on IP ADR at http://ipadrblog.com . Before commencing her mediation practice, Victoria litigated and tried commercial disputes for 25 years. What is you philosophy on mediation? I’m a “roll your sleeves up and work it anyway that works” mediator. I am, by turns, facilitative (assisting the parties negotiate); evaluative (kicking the tires of each side’s case; looking under the hood; and, trying to reach a fair value for the thing); and “transformative” (assisting the parties in coming to terms with the emotional aspects present in every litigation). I don’t give speeches about how expensive and protracted litigation is. Nor do I talk in generalities about the uncertainties of trial. The lawyers and the parties already know these facts all too well. I generally commence mediations in joint session for the sole purpose of introducing myself briefly to the parties and explaining confidentiality, as well as providing a forecast of what the day will likely look like. Then we break into separate caucus where I begin by asking counsel (and sometimes the parties) diagnostic questions.
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September 9, 2009 actions by the California Supreme Court

With no conference last week, September 9, 2009 was an active day for the California Supreme Court.  Some notable actions include:

  • A Petition for Review was granted in Loeffler v. Target Corporation [standing to sue for recovery of sales tax]
  • After the lead case of Arias was resolved, Deleon v. Verizon Wireless was dismissed to the Second Appellate District, Division Three
  • A Petition for Review was denied in Chau v. Starbucks Corporation [concerned judgment on discrete tip pooling issue]

In Rutti v. Lojack Corporation, Inc., a divided Ninth Circuit panel examines compensability of pre and post-workday activities

The whole business of "preliminary" and "postliminary" is a bit perplexing.  Under the Fair Labor Standards Act, 29 U.S.C. §§ 201-19 ("FLSA"), employers need not pay for "activities which are preliminary to or postliminary to said principal activity or activities, which occur either prior to the time on any particular workday at which such employee commences, or subsequent to the time on any particular workday at which he ceases, such principal activity or activities."  29 U.S.C. § 254(a)(2).  In Rutti v. Lojack Corporation, Inc. (August 21, 2009), the Ninth Circuit examined this admittedly "ambiguous" language in an attempt to discern whether "preliminary" and "postliminary" work by Lojack technicians was compensable.

The Court summarized the essential facts:

Rutti was employed by Lojack as one of its over 450 nationwide technicians who install and repair vehicle recovery systems in vehicles. Most, if not all of the installations and repairs are done at the clients’ locations. Rutti was employed to install and repair vehicle recovery systems in Orange County, and required to travel to the job sites in a company-owned vehicle. Rutti was paid by Lojack on an hourly basis for the time period beginning when he arrived at his first job location and ending when he completed his final job installation of the day.

In addition to the time spent commuting, Rutti sought compensation for certain “off-the-clock” activities he performed before he left for the first job in the morning and after he returned home following the completion of the last job. Rutti asserted that Lojack required technicians to be “on call” from 8:00 a.m. until 6:00 p.m. Monday through Friday, and from 8:00 a.m. until 5:00 p.m. on Saturdays. During this time, the technicians were required to keep their mobile phones on and answer requests from dispatch to perform additional jobs, but they were permitted to decline the jobs.  Rutti also alleged that he spent time in the morning receiving assignments for the day, mapping his routes to the assignments, and prioritizing the jobs. This included time spent logging on to a handheld computer device provided by Lojack that informed him of his jobs for the day.  In addition, it appears that Rutti may have completed some minimal paperwork at home before he left for his first job.

Slip op., at 11455.  The district court disposed of all federal claims through a motion for partial summary judgment.  The district court subsequently issued an order dismissing the remaining state law claims for lack of subject matter jurisdiction.

The majority first dealt with the claim for commuting time compensation, applying the Employee Commuting Flexibility Act ("ECFA"), 29 U.S.C. § 254(a)(2):

The ECFA’s language states that where the use of the vehicle “is subject to an agreement on the part of the employer and the employee,” it is not part of the employee’s principal activities and thus not compensable.

Slip op., at 11459.  Evidently, all an employer needs to do is narrowly define principal duties, and the rest is gravy.  The Court then rejected Rutti's contention that the heavy restriction on the use of the Lojack vehicle transformed the use of the vehicle from "incidental" to "integral."

The Court reached the same conclusion under California law.  Despite the more flexible "control" standard set forth in Morillion v. Royal Packing Co., 22 Cal. 4th 575 (2000).  The Court concluded that the use of the Lojack vehicle was more like a commute to a mandatory departure point than restricted time in an employer-controlled vehicle.

The Court then spent considerable time discussing the imprecise de minimis rule as it applied to Rutti's morning and evening activities.  The Court determined that Rutti had not supplied evidence that his morning activities consumed more than a couple of minutes or involved anything other than commute preparation, which was noncompensable.

The evening data transmission time was not so easily relegated to the de minimis woodshed.  Based on the evidence supplied in the District Court, the Ninth Circuit concluded that summary judgment was inappropriate.  The Court noted that the Ninth Circuit had no fixed time standard under the rule:  "Furthermore, we have not adopted a ten or fifteen minute de minimis rule."  Slip op., at 11474.  The evidence was also sufficient to overcome summary judgment:

Rutti asserts that the transmissions take about 15 minutes a day. This is over an hour a week. For many employees, this is a significant amount of time and money. Also, the transmissions must be made at the end of every work day, and appear to be a requirement of a technician’s employment. This suggests that the transmission “are performed as part of the regular work of the employees in the ordinary course of business,” Dunlop, 527 F.2d at 401, and accordingly, unless the amount of time approaches what the Supreme Court termed “split-second absurdities,” the technician should be compensated. See Anderson, 328 U.S. at 692.

Slip op., at 11476.

Circuit Judge Hall would have gone further, finding the postliminary data transmission by Rutti to be de minimis as well, despite the conflicting evidence.  Slip op., at 11479.

Circuit Judge Silverman dissented with the majority analysis of whether Rutti was controlled by his employer during his commute:

The majority attempts to distinguish Morillion by summarily concluding that “Rutti’s use of Lojack’s automobile to commute to and from his job sites is more analogous to the ‘home to departure points’ transportation in Morillion than to the employees’ transportation on the employer’s buses.” Aside from the lack of factual analysis to support this ipse dixit, the majority also utterly ignores the relevant question under California law, which is whether Rutti was “subject to the control of an employer” during his mandatory travel time. A straightforward application of Morillion easily answers that question in the affirmative. Rutti was required not only to drive the Lojack vehicle to the job site, but was forbidden
from attending to any personal business along the way. Because he was obviously under the employer’s control in these circumstances he was, under California law, entitled to be paid.

Slip op., at 11483.

As an aside, I've noticed that when Ninth Circuit Judges dissent, they really dissent.  No punches pulled.  It just confirms that the Ninth Circuit is far from the monolith it supposedly presents.

New tools added to posts on The Complex Litigator

Below each post on The Complex Litigator you will now find three new tools: an e-mail article link, a print article link, and a permalink.  The print artile link is perhaps the most useful; it generates a page that contains nothing but the text of the post, for a clean printing page.

I hope you find these additions useful.

Good things sometimes come to those who wait (or wait and work at it)

Next week is the beginning of a new chapter in my legal career.  I will begin work at Spiro Moss LLP, a boutique class action firm in West Los Angeles.  I have known about Spiro Moss for many years.  Their reputation as skilled and ethical attorneys is unquestioned.  Both sides of the bar speak highly of them.  They've made their presence known at the appellate level for many years as well, with decisions such as Ramirez v. Yosemite Water Co., Inc., 20 Cal. 4th 785 (1999) and, more recently, a collection of cases pending before the California Supreme Court.

I thank them for their vote of confidence, and I am looking forward to the opportunity to continue my prefessional development at a firm where all of the attorneys are highly experienced litigators (and some are regular readers of this blog - I suppose this means that they'll want breaking news first).

New study concludes that low-income workers are routinely the victims of unlawful employment practices

Anecdotally, it seems that wage & hour class actions are a subject of incresingly polarized views, both in and out of court.  Proponents of wage & hour class actions champion the need for private enforcement of wage & hour laws to protect workers.  Opponents decry the burdens they impose on businesses, describing wage & hour class actions as an "epidemic."  (I'm working on a detailed analysis of the "epidemic" charge and will have more to say on that subject at a later date.)  But a newly released study of wage-law violations in major U.S. cities provides fresh ammunition to the advocates of employee rights.

Broken Laws, Unprotected Workers, a report by the UCLA Institute for Research on Labor and Employment, the National Employment Law Project and the Center for Urban Economic Development, summarizes findings of a 2008 study in which 4,387 workers in low-wage industries in the three largest U.S. cities — Chicago, Los Angeles, and New York City — were surveyed to identify wage & hour violations.  The survey found that:

Finding 1: Workplace Violations Are Severe and Widespread in Low-Wage Labor Markets

We found that many employment and labor laws are regularly and systematically violated, impacting a significant part of the low-wage labor force in the nation’s largest cities. The framework of worker protections that was established over the last 75 years is not working.

Finding 2: Job and Employer Characteristics Are Key to Understanding Workplace Violations

Workplace violations are ultimately the result of decisions made by employers—whether to pay the minimum wage or overtime, whether to give workers meal breaks, and how to respond to complaints about working conditions. We found that workplace violations are profoundly shaped by job and employer characteristics.

Finding 3: All Workers Are at Risk of Workplace Violations

Workplace violations are not limited to immigrant workers or other vulnerable groups in the labor force — everyone is at risk, although to different degrees.

Report (excerpts from Executive Overview), at 2-5.  The New York Times ran one of the earliest articles about this Study, but since they couldn't be bothered to give me timely permission to quote any portion of their article, I can't be bothered to link to it.  The study's authors discovered what has been known by plaintiffs' attorneys in the wage & hour field for years - violations of wage & hour laws are at pandemic levels:

We found that there are significant, pervasive violations of core workplace laws in many low-wage industries. Workers are being paid less than the minimum wage and not receiving overtime pay. They are working off the clock without pay, and not getting meal breaks. When injured, they are not receiving workers’ compensation. And they are retaliated against when they try to assert their rights or attempt to organize.

Report (Introduction), at 9.