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Nature of Suit Code: 365
Nature of Suit: Personal Injury - Product Liability
Cause of Action: 

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NOT PRECEDENTIAL

UNITED STATES COURT OF APPEALS

FOR THE THIRD CIRCUIT

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No. 12-4491

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IN RE: DIET DRUGS (PHENTERMINE/FENFLURAMINE/DEXFENFLURAMINE)

PRODUCTS LIABILITY LITIGATION

 Sydney Davis,

 Appellant 

On Appeal from the United States District Court

for the Eastern District of Pennsylvania

(D.C. No. 99-cv-20593; MDL No. 2-16-md-1203)

District Judges: Hon. Harvey Bartle, III

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Submitted Under Third Circuit LAR 34.1(a)

December 19, 2013

Before: JORDAN, VANASKIE and GREENBERG, Circuit Judges.

(Filed: January 6, 2014)

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OPINION OF THE COURT

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JORDAN, Circuit Judge.

Sydney Davis appeals an order of the United States District Court for the Eastern District 

of Pennsylvania denying her recovery under the terms of the Diet Drug Nationwide Class Action 

Settlement Agreement (“Settlement Agreement”). We will affirm.

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I. Background

This appeal relates to the settlement of multi-district products liability litigation 

regarding the diet drugs Pondimin and Redux, previously sold by American Home 

Products (“AHP”). See In re Diet Drugs Prods. Liab. Litig., 543 F.3d 179, 181 (3d Cir. 

2008). In November 1999, Wyeth, the successor-in-interest to AHP, joined plaintiffs’ 

representatives in the Settlement Agreement, which the District Court approved in 

August 2000. See id. at 181. Under the terms of the Settlement Agreement, Wyeth was 

required to contribute funds for the payment of claims. See id. at 180. The AHP 

Settlement Trust (the “Trust”), acting through its trustees and claims administrator, 

administers and reviews claims to determine the benefits, if any, that a class member is 

qualified to receive under the terms defined in the Settlement Agreement. See id.1

Davis, a class member, sought compensation benefits under the Settlement 

Agreement. She based her claim on an echocardiogram performed in 2002 after she had 

ingested Pondimin for six months. Having reviewed the echocardiogram, her 

cardiologist, Dr. Mark Burton, diagnosed her with an ejection fraction of 60%. Under the 

Settlement Agreement, that percentage is the upper limit of what is considered a reduced 

ejection fraction – meaning that the heart does not optimally pump blood with each beat –

and is one of the qualifying medical conditions for compensation benefits under the 

 

1

In our prior decisions, we have provided a detailed description of the Diet Drugs 

litigation. See, e.g., In re Briscoe, 448 F.3d 201, 206-08 (3d Cir. 2006); In re Diet Drugs

Prods. Liab. Litig., 401 F.3d 143, 147-48 (3d Cir. 2005); In re Diet Drugs Prods. Liab. 

Litig., 385 F.3d 386, 389-92 (3d Cir. 2004); In re Diet Drugs Prods. Liab. Litig., 282 

F.3d 220, 225-29 (3d Cir. 2002). We will therefore limit our discussion to the essential 

facts of the instant appeal. 

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Settlement Agreement.

2 On one of her application forms, her attesting physician, Dr. 

Gregory Boxberger, confirmed that she had a reduced ejection fraction in the range of 50 

to 60%. Upon review, the Trust’s auditing cardiologist concluded that there was no 

“reasonable medical basis”

3

for Dr. Boxberger’s finding that Davis suffered a reduced 

ejection fraction in that range and instead determined the ejection fraction to be 

“qualitatively more than 65%.” (App. at A1636.) Accordingly, the Trust denied Davis’s 

claim. 

Davis, disagreeing with that determination, submitted a Notice of Contest of Post 

Audit Determination, pursuant to Audit Rule 18 of the Settlement Agreement. She 

attached a supplemental affidavit from Dr. Boxberger as well as affidavits from three

additional cardiologists, all attesting that they had interpreted the echocardiogram and 

agreed with Dr. Boxberger’s finding that she had an ejection fraction of 50-60%. After 

reviewing these additional materials and comparing them to the auditing cardiologist’s 

findings, the Trust reaffirmed its decision to deny Davis compensation benefits in a Final 

Post Audit Determination.

 

2 Davis was also diagnosed with “moderate mitral regurgitation” and “pulmonary 

hypertension secondary to moderate or greater mitral regurgitation”. The District Court 

disagreed with the former diagnosis, which determination Davis did not appeal, but did 

not reach the latter as the Trust did not contest that diagnosis. Therefore, the only 

medical issue on appeal is whether Davis suffered a reduced ejection fraction.

3 Under the Settlement Agreement Audit Rules, a “reasonable medical basis” is 

the standard that an auditing cardiologist applies in determining the validity of a medical 

diagnosis serving as the basis for a claim. (App. at A1582.) See, e.g., In re Diet Drugs

Prods. Liab. Litig., 543 F.3d at 183-84. 

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Davis formally disputed the Trust’s Final Post Audit Determination, and the Trust 

subsequently applied to the District Court to require Davis to show cause why her claim 

should be paid. The District Court issued a show-cause order to Davis and referred 

Davis’s claim to a Special Master, who in turn appointed a Technical Advisor to review 

Davis’s claim. The Technical Advisor issued a Technical Advisor Report, as required by 

the Settlement Agreement, on October 2, 2007. In the report, the Technical Advisor 

agreed with the auditing cardiologist and concluded that there was no reasonable medical 

basis for Dr. Boxberger’s finding of a reduced ejection fraction. The show-cause record, 

including that report and the parties’ statements of the case, was then submitted to the 

District Court. After reviewing the record, the District Court determined that Davis had 

failed to meet her burden of proving that a reasonable medical basis existed to support 

her claim. The District Court thus affirmed the Trust’s denial of her claim. Davis timely 

appealed. 

II. Discussion4

On appeal, Davis contends that the District Court erred in improperly relying on 

the opinion of the Technical Advisor to affirm the Trust’s denial of her claim5and in

 

4

The District Court had original jurisdiction over all terms of the Settlement 

Agreement under 28 U.S.C. §§ 1332 and 1407. We exercise jurisdiction over a final 

order of the District Court pursuant to 28 U.S.C. § 1291. “We review a District Court’s 

exercise of its equitable authority to administer and implement a class action settlement 

for abuse of discretion.” In re Diet Drugs Prods. Liab. Litig., 543 F.3d at 184 n.10. An 

abuse of discretion may be found if the District Court’s decision “rest[s] on a clearly 

erroneous finding of fact, an errant conclusion of law or an improper application of law to 

fact.” Id. (citation omitted) (internal quotation marks omitted).

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determining that she had failed to meet her burden of demonstrating a reasonable medical 

basis for the attesting physician’s finding of a reduced ejection fraction. We disagree 

with both of those contentions. 

The Settlement Agreement Audit Rules permit a Special Master to assign a 

Technical Advisor to review the record and to prepare a report to the District Court 

“setting forth his/her opinions regarding the issue(s) in dispute in the audit.” (App. at 

1524.) The Technical Advisor also “act[s] as a sounding board for the judge – helping 

the jurist to educate himself in the jargon and theory disclosed by the testimony and to 

think through the critical technical problems.” Reilly v. United States, 863 F.2d 149, 158

(1st Cir. 1988). A review of the District Court’s Memorandum Opinion and the showcause record demonstrates that the Court carefully considered the entire record, not just 

what the Technical Advisor said. Nothing here indicates a simple “rubber stamping” of 

the Technical Advisor’s opinion.6(Appellant’s Opening Br. at 12; App. at A3-A13.) 

 

5

The Trust contends that Davis waived this argument by not challenging the 

procedure for appointing a technical advisor and obtaining and relying on a technical 

advisor’s opinion at the formation of the Settlement Agreement. Davis did not waive this 

argument, however, as she challenges the District Court’s application of the procedures 

set forth in the Settlement Agreement Audit Rules and not the procedures themselves. 

6 Davis argues that the District Court “merely rubber stamped the Technical 

Advisor’s finding that there was no ‘reasonable medical basis’” for her diagnosis. 

(Appellant’s Opening Br. at 12.) The “evidence” that Davis proffers in support of her 

contention is the fact that the District Court has previously adopted a technical advisor’s 

findings concerning claims arising under the Settlement Agreement 169 out of 170 times. 

That lone contention highlights the problem in her argument – she cannot point to 

anything in the record suggesting that the Court improperly relied on the Technical 

Advisor in this case. 

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The District Court’s determination was also not clearly erroneous. “The test is not 

what this court would have done under the same circumstances; that is not enough. The 

Court must feel that only one order could have been entered on the facts.” In re 

Orthopedic Bone Screw Prods. Liab. Litig., 246 F.3d 315, 320 (3d Cir. 2001) (quotation 

marks omitted) (quoting In re Gypsum Antitrust Cases, 565 F.2d 1123, 1128 (9th Cir. 

1977)). Davis fails to show that the only conclusion that could be drawn from her 

echocardiogram is that she suffered from a reduced ejection fraction. As the District 

Court noted, she failed to rebut the opinions of the auditing cardiologist and the 

Technical Advisor that she did not have a reduced ejection fraction. She merely stood on 

her own cardiologists’ affirmations, which only disagree with those findings. But 

disagreement, without more, does not foreclose contrary conclusions. Because Davis 

cannot demonstrate that the District Court’s determination was clearly erroneous, her 

argument that she met her burden to show a reasonable medical basis for her condition 

must fail.7

 

7 Davis proffers two additional arguments to undermine the conclusions of the 

auditing cardiologist and the Technical Advisor, neither of which are persuasive. First, 

she contends that “inter-reader variability” expands the range of measurements required 

to qualify for matrix benefits, although she makes that argument only in a passing 

reference in her opening brief and fails to develop it. (Appellant’s Opening Br. at 19.) 

The District Court rightly concluded that, if the argument were accepted, it “would allow 

a claimant to recover Matrix benefits with an ejection fraction as high as 79%. This 

result would render meaningless this critical provision of the Settlement Agreement.” 

(App. at A12.) Second, she argues that the Technical Advisor failed to utilize any one of 

three “generally accepted” methods of calculating ejection fractions. But she points to no 

support for her argument that one method should be preferred over another – indeed, she 

concedes that the Settlement Agreement does not recommend or prefer a specific method 

in determining ejection fractions. Furthermore, she proffers no evidence that “a different 

result would obtain had [her preferred method] been used.” (App. at A11.) 

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III. Conclusion

For the foregoing reasons, we will affirm. 

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