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FOR PUBLICATION UNITED STATES COURT OF APPEALS FOR THE NINTH CIRCUIT
D.C. No. CV-03-02628-CW OPINION SUSAN CHAMBERLAN and HENRY FOK, v. FORD MOTOR COMPANY, Claudia Wilken, District Judge, Presiding Submitted March 23, 2005* Filed March 31, 2005 Before: Edward Leavy, M. Margaret McKeown, and Marsha S. Berzon, Circuit Judges. Per Curiam Opinion *The panel unanimously finds this case suitable for decision without oral argument. Fed. R. App. P. 34(a)(2). 3863 -------------------------------------------------- COUNSEL Brian C. Anderson, Matthew M. Shors, and Michael E. Stamp, O’Melveny & Myers, Washington, D.C., for the defendant-petitioner. 3865 -------------------------------------------------- Suzanne Solomon and Michael
F. Ram, Levy, Ram & Olson, San Francisco, California,
for the plaintiffs-respondents. _____________________________________________ OPINION PER CURIAM: Federal Rule of Civil
Procedure 23(f) permits a discretionary interlocutory appeal from a district court order denying or
granting a class action
certification. Although other circuits
have explored the contours
of the rule, we have not. We take
this opportunity to identify
for the first time the criteria we
will consider in evaluating
whether to permit an interlocutory
appeal under Rule 23(f).
We begin with the premise
that Rule 23(f) review should be
a rare occurrence. We adopt
the principles justifying review
that are set out in the
Advisory Committee Notes—the presence of a death knell
situation for either party absent review
and the presence of an
unsettled and fundamental issue of law
related to class
actions—along with an additional criterion,
manifest error in the
district court’s certification decision.
Employing these guidelines
in the present case, we conclude
that the application for
permission to appeal should be denied.
BACKGROUND
Plaintiffs Susan Chamberlan
and Henry Fok (“Class Plaintiffs”) filed a class action
lawsuit in state court against Ford
Motor Company ("Ford") and several John Does, alleging
that Ford
knowingly manufactured, sold, and distributed automobiles containing a
defective engine part, in violation of the
California Consumers Legal
Remedies Act (“CLRA”), California Civil Code § 1750, et
seq.
[[fn]] 1 The action was removed to
fn1.
The CLRA
makes illegal various specified “unfair methods of competition and
unfair or deceptive acts or practices undertaken by any person
in a transaction intended to result or which
results in the sale or lease of
goods or
services to any consumer.” Cal. Civ. Code § 1770(a). For example, the
CLRA proscribes “[r]epresenting that goods or services have . . .
characteristics,
ingredients, uses, benefits, or qualities which they do not
have,” Cal.
Civ. Code § 1770(a)(5), and “[r]epresenting that goods or services are a
particular standard, quality or grade . . . if they are of another.”
Cal. Civ.
Code § 1770(a)(7).
[[Emphasis added.]] 3866 --------------------------------------------------
The engine parts at issue are
plastic intake manifolds that
Ford used in some, but not all, of its automobiles. The
manifold distributes air to the
engine’s cylinders, where the air
mixes with fuel and ignites
to power the engine. The manifold
includes water crossover
tubes that distribute coolant from
one side of the engine to
the other, and then to the radiator.
Plastic manifolds,
particularly the plastic water crossover
component, are allegedly
more likely to crack and cause coolant leaks than the aluminum
intake manifolds Ford used in
some of its cars.
According to Class
Plaintiffs, as early as 1995, Ford
became aware that the
plastic manifolds were prone to cracking. [[Emphasis added.]] Ford
began an investigation of the plastic manifolds and
redesigned the part several
times, but was unable to resolve
the cracking
problem. In 1999, Ford implemented several
notification programs to
alert owners to potential problems
caused by plastic manifolds.
According to Class Plaintiffs,
these programs covered only
a fraction of the affected vehicles, and Ford concealed the defective nature of the plastic
manifolds from consumers. Ford discontinued use of plastic
manifolds in 2002.
After the case was removed
to federal court, Class Plaintiffs moved for class
certification. Ford opposed certification
on the grounds that the
facts pertaining to the causes of action
differ depending on which
vehicle the claimant owns, when
that vehicle was produced,
and what each individual buyer’s
3867 --------------------------------------------------
All consumers residing in
California who currently
own, or paid to repair or
replace the plastic intake
manifold in any of the following cars: 1996-2001
model year Mercury Grand
Marquis, 1998-2001
model year Mustangs, 2002 model year Ford
Explorers, 1996-2001 model
year Ford Crown Victorias, or 1996-2001 Lincoln
Town Cars.
Excluded from the Class are
(1) anyone to whom
Ford has provided an extended warranty for her
intake manifold;
(2) the judge to whom this case is
assigned and any member of
the judge’s immediate
family; and (3) anyone who
suffered personal injury
related to Ford’s plastic water crossover.
The district court found
that all four prerequisites of Rule
23(a) for class
certification had been met. [[fn]] 2
The district court
fn2.
Rule 23(a)
provides that “[o]ne or more members of a class may sue
or be sued
as representative parties on behalf of all only if (1) the class
is so
numerous that joinder of all members is impracticable, (2) there are
questions
of law or fact common to the class, (3) the claims or defenses
of the
representative parties are typical of the claims or defenses of the
class, and
(4) the representative parties will fairly and adequately protect
the
interests of the class.” Fed. R. Civ. P. 23(a).
3868 --------------------------------------------------
Finally, the district court
found that few potential class members could afford to
undertake individual litigation against
Ford, making a class action a superior way to resolve
these
claims.
Ford filed a timely petition asking this court to allow
an
immediate, interlocutory appeal from the district court’s certification order under Rule
23(f). Ford challenges the rigor of
the district court’s
analysis, particularly with respect to
whether common issues
predominate over individual ones.
Ford additionally faults the district court for
neglecting to
address CLRA’s elements and
affirmative defenses and for
failing to establish a trial
plan. In its supplemental brief, Ford
complains that the
certification creates tremendous pressure to
settle, even though it
believes the district court order is manifestly incorrect and likely
to be reversed or vacated.
DISCUSSION I. THE CONTOURS OF RULE 23(F)
[1] Federal Rule of Civil Procedure 23(f), which became
effective in 1998, provides
that:
[a] court of appeals may in
its discretion permit an
3869 --------------------------------------------------
appeal from an order of a district court granting or
denying class action
certification under this rule if
application is made to it
within ten days after entry
of the order. An appeal does not stay proceedings in
the district court unless
the district judge or the court
of appeals so orders.
Fed. R. Civ. P. 23(f). When,
as here, an appeal falls within the
court of appeals’
discretion, a party must file a petition for
permission to appeal. Fed. R. App. P. 5(a)(1).
The Advisory Committee’s
Notes provide a good starting
point for exploring the
contours of Rule 23(f). The drafters
intended the court of
appeals to enjoy “unfettered discretion”
to grant or deny permission
to appeal based on “any consideration that the court of
appeals finds persuasive.” Fed. R. Civ.
P. 23, Advisory Committee
Notes to 1998 Amendments, Subdivision (f). The Committee
contemplated that “[t]he courts of
appeals will develop
standards for granting review that reflect
the changing areas of
uncertainty in class litigation.” Id.
[2] Despite the wide open grant of discretion, and the
absence of any articulated
standards in the rule itself, the
drafters identified three
situations in which an appeal under
Rule 23(f) would most likely
be appropriate. The first occurs
when a denial of
certification effectively ends the litigation
for the plaintiff. A
plaintiff who is denied certification might
be left with only one path
to appellate review: proceeding to
a final judgment on the
merits of an individual claim that,
without the class, is worth
far less than the cost of litigation.
Id. The second situation arises when a grant of
certification
may “force a defendant to
settle rather than incur the costs of
defending a class action and
run the risk of potentially ruinous
liability.” Id. In
both situations, the certification “sounds the
death knell of the
litigation.” Blair v. Equifax Check Servs.,
Inc., 181 F.3d 832, 834 (7th Cir. 1999). The drafters
identified
as a third circumstance one
in which the certification decision
turns on a novel or
unsettled question of law.
3870 --------------------------------------------------
Relying on the purposes of
the rule and the guidance provided by the Advisory
Committee’s Notes, several of our sister circuits have examined
the appropriate scope of Rule
23(f). In the first decision
to thoroughly consider Rule 23(f),
the Seventh Circuit
articulated fundamental principles that
have been echoed by other
circuits. Blair, 181 F.3d at 834-35.
In Blair, the Seventh
Circuit rejected the adoption of a
bright-line rule for
granting review and instead identified
three general categories of
cases in which appellate review
under Rule 23(f) would be
appropriate. These categories
essentially mirror the three
situations identified in the Committee Notes. First are
those cases where “denial of class status sounds the death knell
of the litigation, because the
representative plaintiff’s
claim is too small to justify the
expense of litigation.” Id.
at 834. Second are cases where a
grant of certification
sounds the death knell of the litigation
for the defendant because
the grant “can put considerable
pressure on the defendant to
settle” independent of the merits
of the plaintiffs’ claims. Id.
Third are cases in which an interlocutory appeal
“may facilitate the development of the law”
of class actions because
such actions often settle or are
resolved without clear
resolution of procedural matters. Id. at
835. Although some circuits
have elaborated on the three categories listed in Blair,
each of the circuits that has considered
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The most notable
modification of the Blair trilogy has been
the development of a fourth
category of cases in which review
is warranted: when the
district court’s decision is manifestly
erroneous. The Eleventh
Circuit initiated the evolution of the
manifest error factor by
noting that when the certification
decision is obviously wrong,
Rule 23(f) review “may be warranted even if none of the
other factors supports granting the
Rule 23(f) petition.” Prado-Steiman,
221 F.3d at 1275. Other
circuits have subsequently
announced that interlocutory
review of a certification
decision is appropriate based solely
on a manifest error. In
re Lorazepam, 289 F.3d at 105; Newton, 259 F.3d at 164; Lienhart, 255 F.3d at 145.
Some circuits also have
modified the third Blair category—
unsettled questions of
law—in order to limit the filing of
meritless Rule 23(f)
petitions. The First Circuit was concerned that the unsettled
law situation would foster too many
fruitless Rule 23(f)
applications because “a creative lawyer
almost always will be able
to argue that deciding her case
would clarify some
‘fundamental’ issue.” Mowbray, 208 F.3d
at 294. To limit review of
cases in which a novel legal issue
is claimed, Mowbray restricted
review to issues that are both
important to the particular
litigation and likely to escape
effective review after the
conclusion of the trial. Id. Other circuits have followed suit by
confining the third category to
novel legal questions that
are important to class action law
and likely to evade
effective review after the completion of
--------------------------------------------------
The Committee Notes provide
the essential guidelines for
determining when
interlocutory appellate review is appropriate under Rule 23(f).
Although Rule 23(f) expands opportunities to appeal
certification decisions, the drafters intended
interlocutory appeal to be the exception rather than the rule.
“The note reflects, on
balance, a reluctance to depart from the
traditional procedure in
which claimed errors” are reviewed
only after a final judgment.
In re Lorazepam, 289 F.3d at 104-
05. Interlocutory appeals
are generally disfavored because
they are “disruptive, time-consuming,
and expensive.” Mowbray, 208 F.3d at 294. These appeals add to the heavy
workload of the appellate
courts, require consideration of issues
that may become moot, and
undermine the district court’s
ability to manage the class
action. Prado-Steiman, 221 F.3d
at 1276-77.
Like other circuits that
have considered the issue, we are of
the view that petitions for
Rule 23(f) review should be granted
sparingly. We nonetheless
recognize that there are rare cases
in which interlocutory
review is preferable to end-of-the-case
review.
[3] Bearing in mind that many class certification
decisions
“present familiar and almost
routine issues that are no more
worthy of immediate appeal than many other interlocutory
rulings,” Fed. R. Civ. P.
23(f), Advisory Committee Notes to
1998 Amendments, we adopt
the following guidelines for
consideration of Rule 23(f)
petitions. Review of class certification decisions will be
most appropriate when: (1) there is a
death-knell situation for
either the plaintiff or defendant that
is independent of the merits
of the underlying claims, coupled
with a class certification
decision by the district court that is
questionable; (2) the
certification decision presents an unsettled and fundamental issue
of law relating to class actions,
important both to the
specific litigation and generally, that is
--------------------------------------------------
[4] Unlike the courts in Mowbray and Blair,
we view interlocutory review as warranted
when the district court’s decision is manifestly
erroneous—even absent a showing of
another factor. We see no
reason for a party to endure the
costs of litigation when a
certification is erroneous and inevitably will be overturned.
The error in the district court’s decision must be significant;
bare assertions of error will not
suffice. Any error must be
truly “manifest,” meaning easily
ascertainable from the
petition itself. If it is not, then consideration of the petition will
devolve into a time consuming
consideration of the merits,
and that delay could detract from
planning for the trial in
the district court.
The kind of error most
likely to warrant interlocutory
review will be one of law,
as opposed to an incorrect application of law to facts. A
manifest error of law will be more
obvious and susceptible to
review at an early stage than an
error that must be evaluated
based on a well developed factual
record. Prado-Steiman,
221 F.3d at 1275 & n.9.
The parties have urged us to
adopt a “sliding scale”
approach to reviewing Rule
23(f) petitions, in which a particularly weak district court
decision would reduce the showing
required for other factors. See,
e.g., Lienhart, 255 F.3d at 145-46. We decline to adopt such
an approach. Instead, we simply
set forth factors for
consideration and do not circumscribe the
court’s evaluation of the strength
of showing required for any
individual factor.
The three categories we
outline do not constitute an
exhaustive list of factors
and are not intended to circumscribe
the broad discretion granted
the courts of appeal by Rule
--------------------------------------------------
When considering whether to
allow interlocutory appeals, we
will avoid “both
micromanagement of complex class actions
as they evolve in the
district court and inhibition of the district
court’s willingness to revise
the class certification for fear of
triggering another round of
appellate review.” In re Lorazepam, 289 F.3d at 105. We underscore that the
decision to permit interlocutory appeal is, at bottom, a discretionary one. We
acknowledge the possibility
that a petition that does not fit
within any of the foregoing
situations may be worthy of interlocutory appeal.
Ordinarily, however, a case warranting
review pursuant to Rule
23(f) must come within one or more
of the specified categories.
II. APPLICATION OF THE CRITERIA TO FORD’S PETITION
Ford attempts to fit this case into the death knell
category
by complaining that the
class certification creates immense
pressure to settle. Ford claims that it is being forced into the
prospect of an “all or
nothing” class trial in which well over
one hundred thousand class
members will be collectively
seeking an award approaching
or exceeding one hundred million dollars in damages and
attorneys’ fees.
[5] When evaluating whether the certification would end
the litigation for Ford, we consider whether Ford
has sufficiently demonstrated “that
the damages claimed would force
a company of its size to
settle without relation to the merits
of the class’s claims.” In
re Lorazepam, 289 F.3d at 108. Ford
has made no showing that it
lacks the resources to defend this
case to a conclusion and appeal if necessary or that doing so
would “run the risk of
ruinous liability.” Fed. R. Civ. P. 23,
Advisory Committee Notes to
1998 Amendments, Subdivision (f). Significantly, Ford’s claims are conclusory and are
--------------------------------------------------
We acknowledge that the
potential recovery here may be
“unpleasant to a behemoth”
company, Mowbray, 208 F.3d at
294, but it is hardly
terminal. Although the instant lawsuit is
definitely more than a mere
unpleasantry, the impact of the
class certification alone
does not support an appeal. Further,
the district court did not
abuse its discretion in finding that,
absent a class action, Class
Plaintiffs would have no meaningful redress against Ford.
[6] In connection with the death knell factor, we
normally
would look for error in the
certification order. See Blair, 181
F.3d at 835 (recognizing the
futility in granting review of a
class certification decision
that is “impervious to revision,”
even if the decision
effectively terminates the litigation). Ford
has not, however,
sufficiently demonstrated that the class certification will be the death
of this litigation, so we do not
address whether the order is
erroneous under this factor.
[7] Ford next attempts to place its petition under the unsettled question of law
umbrella by arguing that it is unclear
whether Hanlon v.
Chrysler Corp., 150 F.3d 1011 (9th Cir.
1998), overrules Valentino
v. Carter-Wallace, Inc., 97 F.3d
1227 (9th Cir. 1996). Ford’s argument boils down to a contention that Hanlon permits
a cursory analysis of class certification whereas Valentino requires
rigorous review. Ford
misreads the two cases by
overlooking the factual differences
between them. The cases are
not in conflict, nor do they indicate that there is an
unsettled question of law.
In a decision that pre-dates
both Valentino and Hanlon, the
Supreme Court emphasized
that classes may be certified only
“if the trial court is
satisfied, after a rigorous analysis, that the
prerequisites of Rule 23(a)
have been satisfied.” Gen. Tel. Co.
of the S.W. v. Falcon, 457 U.S. 147, 161 (1982). In the same
decision, the Court
acknowledged that “[s]ometimes the
--------------------------------------------------
The Supreme Court thus
recognized over twenty years ago
that a rigorous analysis
does not always result in a lengthy
explanation or in-depth
review of the record.
Hanlon was a case in which
the issues were so plain and the
analytical framework so
clear that the record provided a sufficient basis for the
appellate court to make a decision, even
though the district court’s
findings were conclusory. Hanlon,
150 F.3d at 1023. The court
noted that “[t]here is no value to
be served in remanding this
case for the entry of further self-evident findings.” Id.
Valentino was a different kind of case, one that required
deeper probing. In Valentino,
the issues were not apparent
from the face of the record.
97 F.3d at 1234 (“It is not clear
that Plaintiffs have met
either the typicality or adequacy of
representation requirement”)
(emphasis added). Superficial
recitation of the factors
was not enough; thus, in Valentino,
the case was remanded so
that the district court could provide
the details necessary to
evaluate the certification decision.
Hanlon and Valentino resulted in different outcomes,
not
because they are in conflict
with one another, but because
they rest on different
facts. It has long been established that
some cases simply require
more explication than others. See
Falcon, 457 U.S. at 16. We therefore decline Ford’s invitation
to identify an intra-circuit
split where none exists. [[fn]] 4
fn4.
We decline Ford’s suggestion that the district court’s failure
to adopt
a trial
plan or to articulate how the class action would be tried was an
abuse of
discretion. Valentino does not stand for this proposition. Notably,
Valentino
was decided in
1996, before Rule 23(f) became effective. Nothing in the
Advisory Committee Notes suggests grafting a requirement for
a trial
plan onto the rule. In any event, we note that the Class Plaintiffs in
this case
did submit a trial plan, which was among the pleadings considered by the
district court.
--------------------------------------------------
When an error is alleged, we
generally will permit an interlocutory appeal
only when the certification decision is manifestly erroneous and
virtually certain to be reversed on appeal
from the final judgment. It
is difficult to show that a class certification order is
manifestly erroneous unless the district
court applies an incorrect
Rule 23 standard or ignores a
directly controlling case. Prado-Steiman,
221 F.3d at 1275 &
n.9. Class certification
decisions rarely will involve legal
errors, however, simply
because class actions typically
involve complex facts that
are unlikely to be on all fours with
existing precedent. Id.
[8] The district court’s decision in this case is typical
in that
it presents no error of law
and is not manifestly erroneous.
Although the district court
was succinct, it provided detailed,
substantive examples of the
common issues: (1) whether the
design of the plastic intake
manifold was defective; (2)
whether Ford
was aware of alleged design defects; (3)
whether Ford
had a duty to disclose its knowledge; (4)
whether it failed to do so;
(5) whether the facts that Ford
allegedly failed to disclose
were material; and (6) whether the
alleged failure to disclose
violated the CLRA. The common
issues here are plain enough
that no further explanation is
required to justify the
district court’s decision. See Hanlon,
150 F.3d at 1023 (although
the district court was almost conclusory, the issues were
plain and the analysis clear, making
--------------------------------------------------
Ford seeks to identify an error of law by pointing out
that
the district court did not
cite Valentino. But the district court
had no reason to cite Valentino
because that case is not a
directly controlling
precedent. In Valentino, the district court
merely restated the requirements
for class certification without reciting any facts or
reasons that the requirements had
been met. 97 F.3d at
1234-35. In contrast, the district court
here was far from silent. It
affirmatively found that a common
nucleus of facts and
potential legal remedies dominate this litigation, such as whether Ford was aware of alleged design
defects and whether Ford had a duty to disclose its knowledge
and failed to do so. That
the district court provided cogent, if
brief, reasoning
differentiates this case from Valentino. The
district court’s failure to
cite Valentino can hardly be classified as any error, let alone
manifest error.
[9] The application for permission to appeal
the district
court order granting class
certification is DENIED. [[Emphasis added by the Court.]]
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