Source: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-alnd-2_16-cv-01986/USCOURTS-alnd-2_16-cv-01986-0/pdf.json

Nature of Suit Code: 355
Nature of Suit: Motor Vehicle Product Liability
Cause of Action: 28:1332 Diversity-Motor Vehicle Product Liability

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UNITED STATES DISTRICT COURT

FOR THE NORTHERN DISTRICT OF ALABAMA

SOUTHERN DIVISION

CHRISTINE THORNTON,

Plaintiff,

v.

BAYERISCHE MOTOREN 

WERKE AG, et al.,

Defendants.

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Civil Action Number

2:16-cv-01986-AKK

MEMORANDUM OPINION AND ORDER

This action arises from injuries Christine Thornton suffered in an automobile

collision when the driver’s side airbag deployed in her 2004 BMW 330i, which 

allegedly was manufactured and sold by Bayerische Motoren Werke 

Aktiengesellschaft (“BMW AG”), a German company, and its indirect subsidiary, 

BMW of North America, LLC (“BMW NA”). Doc. 26. After a transfer to a 

Multidistrict Litigation Panel in the Southern District of Florida, doc. 12, this case

returned to the court by a conditional remand on October 30, 2018, doc. 13. 

Thereafter, Thornton filed an Amended Complaint, doc. 26, in which she named 

BMW AG as a defendant. BMW AG has moved to dismiss under Rule 12(b)(2) of 

the Federal Rules of Civil Procedure for lack of personal jurisdiction, doc. 33. For 

the reasons explained below, particularly the absence of evidence showing that 

Thornton’s claims arise from or relate to BMW AG’s contacts with Alabama or 

FILED

 2020 Feb-13 PM 04:56

U.S. DISTRICT COURT

N.D. OF ALABAMA

Case 2:16-cv-01986-AKK Document 40 Filed 02/13/20 Page 1 of 16
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that BMW AG purposely availed itself of the privilege of doing business in 

Alabama, the motion is due to be granted.1 

I. STANDARD OF REVIEW

Federal Rule of Civil Procedure 12(b)(2) authorizes a motion to dismiss for 

lack of personal jurisdiction. “A plaintiff seeking the exercise of personal 

jurisdiction over a nonresident defendant bears the initial burden of alleging in the 

complaint sufficient facts to make out a prima facie case of jurisdiction.” United 

Techs. Corp. v. Mazer, 556 F.3d 1260, 1274 (11th Cir. 2009). The court must 

accept the plaintiff’s allegations as true unless a defendant challenges jurisdiction 

and offers evidence to contradict the plaintiff’s allegations. Louis Vuitton 

Malletier, S.A. v. Mosseri, 736 F.3d 1339, 1350 (11th Cir. 2013). If the defendant 

challenges personal jurisdiction with evidence supporting its position, “the burden 

traditionally shifts back to the plaintiff to produce evidence supporting jurisdiction 

unless [the defendant’s] affidavits contain only conclusory assertions that the 

defendant is not subject to jurisdiction.” Meier ex rel. Meier v. Sun Int'l Hotels, 

 1 Also before the court is BMW AG’s motion to extend the page limitation for its reply brief, 

doc. 37, which it filed after business hours on the deadline for its brief and in conjunction with 

the brief that exceeds the court’s page limits. To support the request for additional pages, BMW 

AG contends that Thornton raised a new purported basis for personal jurisdiction in her response 

to the motion to dismiss that she did not plead in her complaint. Doc. 37 at 1-2. Thornton’s 

response brief does raise a new issue that BMW AG could not address in its initial brief. But, 

surely BMW AG knew that well before it filed its non-conforming brief in this case, and could 

have moved for the extension in advance. By waiting until after the fact to file its motion, BMW 

AG basically opted to disregard the page limits and essentially granted itself an extension. 

Although the court will grant the motion, the court places the remaining parties on notice that it 

frowns on such tactics and will deny any subsequent motions filed on the eve of a deadline or 

after the fact.

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Ltd., 288 F.3d 1264, 1269 (11th Cir. 2002). To meet that burden, the plaintiff must 

provide sufficient evidence concerning the nonresident defendant’s contacts with 

the forum to withstand a motion for a directed verdict. Id. at 1268-69. The court 

must view all of the jurisdictional evidence in the light most favorable to the 

plaintiff. Id. at 1269.

II. BRIEF FACTUAL AND PROCEDURAL BACKGROUND 

Thornton sustained injuries in a car accident in her 2004 BMW 330i when 

the driver-side front “airbag inflator exploded internally with excessive force, 

resulting in an overly aggressive deployment of the airbag.” Doc. 26 at 1, 6-7. 

Prior to the accident, BMW issued a recall for Thornton’s vehicle based on defects 

in the passenger-side front airbag, but it did not issue a recall for the driver-side 

airbag until several months after the accident. Id. at 7. Thornton asserts claims 

against BMW NA and BMW AG for negligence and wantonness based on alleged 

defects in the design and manufacturing of the frontal airbag system in her vehicle, 

a claim under the Alabama Extended Manufacturer’s Liability Doctrine, and 

claims based on an alleged failure to warn and breach of implied warranty. Id. at 

18-27. 

In the Amended Complaint, Thornton acknowledges that BMW AG “is not 

registered to do business in the State of Alabama.” Doc. 26 at 3. Nonetheless, she 

asserts that the court may assert personal jurisdiction over BMW AG for multiple 

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reasons.2 BMW AG, a German company headquartered in Germany, maintains 

that it has no contacts with the state of Alabama, does not sell vehicles to 

customers in the state of Alabama, and does not conduct any business in Alabama. 

Doc. 33-1 at 3-6. And, according to BMW AG, BMW NA, an indirect subsidiary, 

is the exclusive distributor for new vehicles in the United States. Id. Therefore, 

BMW AG has moved for dismissal based on lack of personal jurisdiction. 

III. ANALYSIS

“A federal court sitting in diversity may exercise personal jurisdiction [over 

a nonresident defendant] to the extent authorized by the law of the state in which it 

sits and to the extent allowed under the Constitution.” Meier, 288 F.3d at 1269.

Under its long-arm statute, “Alabama permits its courts to exercise jurisdiction 

over nonresidents to the fullest extent allowed under the Due Process Clause of the 

Fourteenth Amendment to the Constitution.” Ruiz de Molina v. Merritt & Furman 

Ins. Agency, Inc., 207 F.3d 1351, 1355-56 (11th Cir. 2000) (citing Martin v. 

Robbins, 628 So.2d 614, 617 (Ala. 1993)); see also Ala. R. Civ. P. 4.2(b). The 

Due Process Clause allows for two types of personal jurisdiction—“general” and 

 2 Thornton alleges that BMW AG “regularly transacted, engaged in and derived revenue from 

business operations, including the sale of automotive products and related components, in 

Alabama; [] contracted to supply automotive products and related components in Alabama; [] 

caused injuries and damages to [Thornton] due to acts and/or omissions which occurred in whole 

or in part within Alabama; and [] manufactured automotive products and components thereto, 

and placed those products and components into the stream of commerce, with actual or 

constructive knowledge that those automotive products and related components would eventually 

be found in Alabama.” Doc. 26 at 5-6.

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“specific” personal jurisdiction. See Goodyear Dunlop Tires Operations, S.A. v. 

Brown, 564 U.S. 915, 923-24 (2011). For either general or specific jurisdiction to 

comport with due process, the defendant must have certain minimum contacts with 

the state, and the “minimum contacts inquiry focuses on ‘the relationship among 

the defendant, the forum, and the litigation.’” Waite v. All Acquisition Corp., 901 

F.3d 1307, 1312 (11th Cir. 2018) (quoting Walden v. Fiore, 571 U.S. 277, 284 

(2014)). “This inquiry ensures that a defendant is haled into court in a forum state 

based on the defendant’s own affiliation with the state, rather than the ‘random, 

fortuitous, or attenuated’ contacts it makes by interacting with other persons 

affiliated with the state.” Id.

At issue here is whether the court may exercise specific jurisdiction over 

BMW AG. See doc. 36 at 6-7. Specific jurisdiction is present only if an action 

“aris[es] out of or relat[es] to the defendant’s contact with the forum.” BristolMyers Squibb Co. v. Superior Court of Calif., San Francisco Cty., 137 S.Ct. 1773, 

1780 (2017); see also Sloss Indus. Corp. v. Eurisol, 488 F.3d 922, 925 (11th Cir. 

2007). To determine whether the exercise of specific jurisdiction comports with 

the Due Process Clause, this court must apply a three-part test examining whether: 

(1) “the plaintiff[] ha[s] established that [her] claims ‘arise out of or relate to’ at 

least one of the defendant’s contacts with the forum;” (2) “the plaintiff[] [has] 

demonstrated that the defendant ‘purposefully availed’ itself of the privilege of 

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conducting activities within the forum state;” and (3) “the defendant has ‘made a 

compelling case that the exercise of jurisdiction would violate traditional notions 

of fair play and substantial justice.’” Waite, 901 F.3d at 1313 (quoting Louis 

Vuitton Malletier, S.A. v. Mosseri, 736 F.3d 1339, 1355 (11th Cir. 2013)) 

(alteration in original omitted). 

The first prong of the analysis requires the court to focus on the contacts 

“the defendant [itself] creates with the forum State” and “not the plaintiff[’s] 

contacts with the forum or even the defendant’s contacts with the plaintiff[].”

Waite, 901 F.3d at 1316 (citing Walden, 571 U.S. at 284). In other words, the 

court’s “inquiry must focus on the direct causal relationship among ‘the defendant,

the forum, and the litigation.’” Fraser v. Smith, 594 F.3d 842, 850 (11th Cir. 

2010) (quoting Helicopteros Nacionales de Colombia, S. A. v. Hall, 466 U.S. 408, 

414 (1984)). And, in this Circuit, “a tort ‘arise[s] out of or relate[s] to’ the 

defendant’s activity in a state only if the activity is a ‘but-for’ cause of the tort.” 

Waite, 901 F.3d at 1314 (quoting Oldfield v. Pueblo De Bahia Lora, S.A., 558 F.3d

1210, 1222-23 (11th Cir. 2009)) (alterations in original).3

 3 The Eleventh Circuit noted that although the Supreme Court has “imposed no explicit but-for 

causation requirement in either Walden or Bristol-Myers Squibb,” the Court has also not 

“reject[ed] such a requirement.” Waite, 901 F.3d at 1315. Consequently, the Circuit held that it 

cannot disregard binding case law that is “closely on point and has been only weakened, rather 

than directly overruled, by the Supreme Court.” Id. (emphasis in original). See Walden v. Fiore, 

571 U.S. 277, 278 (2014) (noting that the “proper question [for specific jurisdiction] is whether 

the defendant’s conduct connects him to the forum in a meaningful way”); Bristol-Myers Squibb 

Co., 137 S. Ct. at 1776 (finding that non-California residents failed to allege specific jurisdiction 

Case 2:16-cv-01986-AKK Document 40 Filed 02/13/20 Page 6 of 16
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To satisfy the second prong, a plaintiff must show that the defendant 

“‘purposefully availed’ itself of the privilege of conducting activities—that is, 

purposefully establishing contacts—in the forum state and there must be a 

sufficient nexus between those contacts and the litigation.” Diamond Crystal 

Brands, 593 F.3d at 1267. The plaintiff may establish purposeful availment by 

demonstrating facts sufficient to show that the defendant “deliberately engaged in 

significant activities within [the forum state] or created continuing obligations with 

residents of that forum.” Id. at 1268. “[P]urposeful availment may be 

demonstrated if the defendant who placed [an] item into the stream of commerce 

engaged in additional conduct, such as designing the product for the forum state; 

advertising or marketing in that state; or establishing channels for providing advice 

to that state’s residents.” Avendano-Bautista v. Kimbell Gin Machinery Co., 2017 

WL 6003080, at *2 (S.D. Ga. Dec. 4, 2017) (citing Asahi Metal Indus. Co. v. 

Superior Court of California, 480 U.S. 102, 112 (1987) (plurality op.)). In other 

words, the defendant’s contacts with the forum state “cannot merely be random, 

fortuitous, or attenuated.” Rowe v. Gary, Williams, Parteni, Watson & Gary, 

P.L.L.C., 723 F. App’x 871, 875 (11th Cir. 2018) (internal citations omitted). 

Finally, if the plaintiff satisfies the first two prongs, then in the third prong’s 

due process analysis, the court examines the “burden on [the defendant], the 

 

over a company because the company did not develop, create a marketing strategy, manufacture, 

or work on regulatory approval for the drug in California). 

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interests of the forum state, and [the plaintiff’s] interest in obtaining relief.” 

World–Wide Volkswagen v. Woodson, 444 U.S. 286, 292 (1980); see also 

Diamond Crystal Brands, Inc. v. Food Movers Int’l, Inc., 593 F.3d 1249, 1267

(11th Cir. 2010) (citing Burger King Corp. v. Rudzewicz, 471 U.S. 462, 477 

(1985)). 

With these principles in mind, the court turns to the parties’ respective 

contentions regarding BMW AG’s contacts with the forum. 

A. Whether Thornton Established that her Claims Arise from or 

Relate to BMW AG’s Contacts with Alabama and that BMW AG 

Purposely Availed Itself of the Privilege of Conducting Business in 

Alabama

BMW AG asserts that it “has no contacts whatsoever with Alabama,” and, 

therefore, Thornton cannot establish that her claims arise out of or relate to a 

contact between it and Alabama or that it purposely availed itself of the privilege 

of doing business in the state. Doc. 33 at 13-23. To support its position, BMW 

AG submitted a declaration from two of its in-house counsel stating that BMW AG 

is a German company that designs and manufactures vehicles, including the 

subject model 2004 BMW 330i series, “principally in Germany, and does not 

engage in such activities in the State of Alabama . . . [or] design vehicles 

specifically for consumers in Alabama.” Doc. 33-1 at 3. The declaration also 

establishes that BMW AG is an indirect parent company of BMW NA, a Delaware 

company with its principal place of business in New Jersey. Id. at 3-4. According 

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to BMW AG, “BMW NA is the exclusive United States distributor for new BMW 

brand vehicles to the public in the United States,” and “BMW AG does not control 

the distribution of BMW vehicles in the United States, including in the State of 

Alabama.” Id. at 4. And, “[o]nce BMW NA purchased the subject vehicle from 

BMW AG in Germany, BMW AG no longer had any ownership or control over the 

vehicle.” Id. Finally, the declaration states that BMW AG does not make direct 

sales of BMW vehicles in Alabama or distribute BMW vehicles to dealers or 

individuals in Alabama, and that BMW AG does not maintain a sales force in 

Alabama or solicit business in Alabama. Id. at 5. 

This evidence directly contradicts Thornton’s jurisdictional allegations, see 

doc. 26 at 5-6, and shifts the burden to Thornton to produce evidence supporting 

jurisdiction, Meier, 288 F.3d at 1269. For her part, Thornton contends in part that 

BMW AG does business in the United States, including Alabama, as BMW Group, 

and that BMW Group “has placed vehicles that it designs, tests, and manufactures 

into the ‘stream of commerce’ in Alabama through its relationship with its five 

BMW dealers in Alabama,” and has marketed and sold vehicles in Alabama. Doc. 

36 at 1-5, 7-8. But, “‘foreseeability’ alone has never been a sufficient benchmark 

for personal jurisdiction under the Due Process Clause.” Woodson, 444 U.S. at 

295. In that respect, Thornton’s contention that BMW AG placed vehicles in the 

stream of commerce knowing that they “would eventually be found in Alabama,”

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doc. 26 at 5-6, is unavailing. After all, “[t]he placement of a product into the 

stream of commerce, without more, is not an act of the defendant purposefully 

directed toward the forum state.” Asahi Metal Indus. Co., 480 U.S. at 112

(plurality op.). 

As for Thornton’s contention that BMW AG does business in the United 

States as BMW Group, the evidence Thornton cites does not establish this alleged 

fact. While Thornton correctly points out that the Chairman of the Board of 

Management of BMW AG also holds himself out as the Chairman of the 

Supervisory Board for BMW Group, see docs. 36-1 at 2; 36-3 at 5; 36-8 at 2, 

holding the same title for these two entities does not establish that BMW AG 

actually does business as BMW Group. Moreover, Thornton’s evidence does not 

indicate that BMW Group is a separate legal entity, but suggests that BMW Group 

is a name used for the group of companies affiliated with BMW AG and its BMW, 

Rolls-Royce, and MINI brands, including BMW AG’s subsidiaries. See docs. 36-3 

at 17-24; 36-4 at 3; 36-6 at 8 (noting that BMW NA, an indirect subsidiary of 

BMW AG, is a “BMW Group Company”). 

But, even if BMW AG does business as BMW Group, Thornton has not 

offered evidence showing that BMW Group or BMW AG specifically targets

Alabama for business, or deliberately engaged in significant activities within the 

state. Indeed, none of the documents Thornton offered even mention Alabama, 

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other than to state that information regarding the airbag recall would be mailed to 

customers in the state, doc. 36-6 at 2. See docs. 36-1; 36-2; 36-3; 36-4; 36-5; 36-6; 

36-7; 36-8. And, while Thornton has offered evidence that BMW AG targets the 

United States market for sales of its vehicles, see docs. 36-1 at 3-8; 36-2 at 6; 36-8 

at 6, that is not sufficient to demonstrate minimum contacts with Alabama, or to 

show that BMW AG purposely availed itself of the privilege of doing business in 

Alabama, see J. McIntyre Machinery, Ltd. v. Nicastro, 564 U.S. 873, 885-86 

(2011) (plurality op). Perhaps in recognition of this fact, Thornton contends also 

that BMW AG, as BMW Group, specifically targets the state of Alabama because 

it “has established relationships with at least five BMW dealerships.” Doc. 36 at 3, 

7-8. This contention is conclusory, however, because Thornton has not cited any 

evidence to support it or provided any specific facts about the nature and extent of 

the alleged relationships. See id. Thus, in light of BMW AG’s evidence that it 

does not maintain a sales force in Alabama or distribute BMW vehicles to dealers 

in Alabama, doc. 33-1 at 5, Thornton’s unsupported and conclusory contention

fails to establish minimum contacts between BMW AG and Alabama or purposeful 

availment.

As her final basis to show jurisdiction, Thornton contends that BMW AG 

exerts complete control over BMW NA, “made the decision as to how and when to 

issue a recall on the Subject Vehicle, thus exerting continued control over all of the 

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vehicles subject to the recall in the State of Alabama.” Doc. 36 at 7 (emphasis in 

original omitted). This contention also does not establish that Thornton’s claims 

arise out of or relate to any contact between BMW AG and Alabama. Indeed, as 

this court recently found, “a ‘duty to warn’ cannot be a basis for specific 

jurisdiction because ‘such a result would impermissibly allow the plaintiffs’ 

choices—rather than defendant’s contacts to drive the jurisdictional analysis.’” 

Tomas v. Bayerische Motoren Werke AG, Case No. 5:17-cv-01664-AKK, 2018 

WL 6181172, at *3 (N.D. Ala. Nov. 27, 2018) (quoting Waite, 901 F.3d at 1316). 

To summarize, “BMW AG’s target of the broader United States market, the 

notices of recall it sent [to customers in Alabama], and [Thornton’s] unilateral 

decision to purchase the vehicle in Alabama fail to demonstrate BMW AG’s 

connection to Alabama in a ‘meaningful way.’” Tomas, 2018 WL 6181172, at *3 

(citing Walden, 571 U.S. at 278). Therefore, in the absence of evidence that 

Thornton’s injuries occurred as a result of BMW AG’s contacts with Alabama or 

that BMW AG purposely availed itself of the privilege of doing business in 

Alabama, Thornton fails to satisfy the first and second prongs of the constitutional 

inquiry for specific jurisdiction. As a result, BMW AG is not subject to specific 

jurisdiction in Alabama. See Tomas, 2018 WL 6181172, at *4. 

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B. Whether the Court can Exercise Personal Jurisdiction Over 

BMW AG by Piercing the Corporate Veil

Even in the absence of the necessary contacts, Thornton contends that the 

court may still exercise personal jurisdiction over BMW AG because it is the alter 

ego of BMW NA. Doc. 36 at 4-5, 10-13.4

 The Eleventh Circuit recognizes that 

personal jurisdiction may be based on an alter-ego theory when a subsidiary’s 

“separate corporate status is formal only” and has no “semblance of individual

identity.” Meier, 288 F.3d at 1272; see also Consolidated Dev. Corp. v. Sherritt, 

Inc., 216 F.3d 1286, 1293-94 (11th Cir. 2000). However, courts do not exercise 

the power to pierce the corporate veil lightly. Continental Motors, Inc. v. Jewell 

Aircraft, Inc., 882 F. Supp. 2d 1296, 1304 (S.D. Ala. 2012) (citing Gilbert v. James 

Russell Motors, Inc., 812 So. 2d 1269, 1273 (Ala. Civ. App. 2001)). And, “courts 

are reluctant to impute the activities of the subsidiary to the parent when some 

semblance of independence has been maintained.” Kozial v. Bombarider-Rotax 

GMBH, 129 F. App’x 543, 547 (11th Cir. 2005) (citing Consolidated Dev. Corp., 

216 F.3d at 1293-94).

5

 4 Thornton did not plead this alter-ego theory of personal jurisdiction in her complaint, see doc. 

26, and cannot amend her pleadings through argument in a brief, see Miccosukee Tribe of 

Indians of Fla. v. United States, 716 F.3d 535, 559 (11th Cir. 2013) (citation omitted). Still, 

because the court must “freely give leave” to amend “when justice so requires,” Fed. R. Civ. P. 

15(a)(2), the court addresses the alter-ego theory to determine if it would be futile for Thornton 

to amend her complaint to plead the theory.

5 Under Alabama law, a plaintiff must show the following three elements to justify piercing the 

corporate veil under the alter ego theory:

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The record here establishes that BMW AG and BMW NA are separate legal 

entities that maintain distinct policies and procedures for their respective 

operations, four intermediate companies separate BMW AG and BMW NA, and 

BMW AG does not directly own any BMW NA stock. Doc. 33-1 at 3-4. Thornton 

does not directly dispute this evidence. See doc. 36. Nevertheless, Thornton 

argues that BMW NA is the alter ego of BMW AG because BMW AG conducts 

business as the BMW Group, and “[t]he conduct of such business requires the 

exercise of significant control over its subsidiaries in the United States, including 

[BMW NA] . . . .” Id. at 12. As discussed above, however, the evidence submitted 

by Thornton does not establish that BMW AG does business as BMW Group, 

much less that by purportedly doing so, BMW AG has complete control and 

domination over BMW NA’s finances, policies, and business practices. See pp. 

10-11, supra. 

 

1) The dominant party must have complete control and domination of the 

subservient corporation’s finances, policy and business practices so that at the 

time of the attacked transaction the subservient corporation had no separate 

mind, will or existence of its own; 

2) The control must have been misused by the dominant party. Although fraud 

or the violation of a statutory or other positive legal duty is misuse of the 

control, when it is necessary to prevent injustice or inequitable circumstances, 

misuse of control will be presumed;

3) The misuse of this control proximately cause[d] the harm or unjust loss 

complained of.

First Health, Inc. v. Blanton, 585 So. 2d 1331, 1334-35 (Ala. 1991).

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To support her alter ego theory, Thornton also points to public statements 

from BMW AG’s directors, which purportedly disregard the corporate form of 

BMW NA and discuss the business of BMW NA “as if it is merely a part of [the] 

business of BMW Group, which is BMW AG itself,” and BMW AG’s financial 

interest in BMW NA. Doc. 36 at 12-13. This contention overlooks that, “mere 

control and dominion does not suffice to trigger alter ego status.” Continental 

Motors, Inc., 882 F. Supp. 2d at 1304; see also Messick v. Moring, 514 So. 2d 892, 

895 (Ala. 1987). In fact, “Alabama law is clear that the corporate veil cannot be 

pierced unless the dominant corporation (a) misused that control, and (b) 

proximately caused harm to the plaintiff through such misuse.” Continental 

Motors, Inc., 882 F. Supp. 2d at 1304 (citing Heisz v. Galt Indus., Inc., 93 So. 3d 

918, 930 (Ala. 2012); Kwick Set Components, Inc. v. Davidson Indus., Inc., 411 

So. 2d 134, 137 (Ala. 1982)). There is no evidence before the court to suggest that 

BMW AG misused its purported control over BMW NA. See doc. 36. As a result, 

Thornton has not presented sufficient evidence to justify piercing the corporate veil 

between BMW AG and BMW NA.

IV. CONCLUSION 

Thornton has not established that her claims arise from or relate to a contact 

between BMW AG and Alabama, that BMW AG purposely availed itself of the 

privilege of conducting business in Alabama, or that BMW NA is the alter ego of 

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BMW AG. Thus, Thornton has not established that the court may exercise 

personal jurisdiction over BMW AG. As a result, BMW AG’s motion to dismiss, 

doc. 33, is GRANTED. BMW AG’s motion to extend, doc. 37, is GRANTED. 

The claims against BMW AG are DISMISSED WITHOUT PREJUDICE. 

DONE the 13th day of February, 2020.

 

_________________________________

ABDUL K. KALLON

UNITED STATES DISTRICT JUDGE

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