Court Opinion

ID: 184305
Source: CourtListenerOpinion
Date Created: 2011-02-05 00:11:35+00
Date Added: 2024-06-11T17:26:07.591686
License: Public Domain

Case: 09-41190 Document: 00511372672 Page: 1 Date Filed: 02/04/2011

           IN THE UNITED STATES COURT OF APPEALS
                    FOR THE FIFTH CIRCUIT  United States Court of Appeals
                                                    Fifth Circuit

                                                 FILED
                                                                          February 4, 2011

                                       No. 09-41190                         Lyle W. Cayce
                                                                                 Clerk

KELLY CLARK; RICHARD WAYNE CLARK, Temporary Administrator of
the Estate of Aubrey Eugene Clark,

                                                   Plaintiffs - Appellees
v.

KELLOGG BROWN & ROOT L.L.C.,

                                                   Defendant - Appellant

                   Appeal from the United States District Court
                         for the Eastern District of Texas
                              USDC No. 2:07-CV-191

Before JONES, Chief Judge, and REAVLEY and HAYNES, Circuit Judges.
HAYNES, Circuit Judge:*
       Kellogg Brown & Root, L.L.C., (“KBR”) appeals from the judgment entered
against it following a bench trial on Aubrey Clark’s Jones Act, maintenance and
cure, and unseaworthiness claims against his former employer. The district
court held KBR liable on the Jones Act personal injury theory alone, finding that
Clark was exposed to benzene while working for KBR and that this exposure
“caused” Clark’s acute myelogenous leukemia (“AML”) under that statute. KBR

       *
         Pursuant to 5TH CIR . R. 47.5, the court has determined that this opinion should not
be published and is not precedent except under the limited circumstances set forth in 5TH CIR .
R. 47.5.4.
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                                  No. 09-41190

argues on appeal that the district court applied the wrong standard for causation
and that the district court clearly erred in finding that the benzene to which
Clark was exposed while working for KBR caused his AML.
      We find no abuse of discretion in the district court’s challenged evidentiary
rulings, no clear error in its findings of fact, and no reversible error in its
conclusions of law. We therefore AFFIRM.
                         I. Facts & Procedural History
      Aubrey Clark worked for Brown & Root Marine Operators (“Brown &
Root”), a predecessor of KBR, from 1972 to 1986 as a helper, rigger, and leadman
aboard various barges owned by Brown & Root. The parties agree that Clark
was a “seaman” under the Jones Act, 46 U.S.C. § 30104. The district court found
that, while working for Brown & Root, Clark was exposed to benzene.
Specifically, the district court found that
      [d]uring the course and scope of his employment with Brown &
      Root . . . , Mr. Clark was exposed to benzene provided to him for use
      in his employment. He used benzene as a solvent to clean his tools,
      his hands, and his equipment. The benzene was contained in a
      drum stored . . . on the barge. . . . Mr. Clark used benzene, on
      average, about every other day; however, the number of times he
      used it varied from day to day and from week to week. He would
      use benzene anywhere from fifteen minutes to a couple of hours.
      Mr. Clark was close enough to the benzene to feel light-headed
      sometimes. He stopped using benzene in the late 1970s.
(record citations omitted).
      On April 10, 2006, Clark was diagnosed with AML. On May 16, 2007,
Clark filed suit in admiralty in the United States District Court for the Eastern
District of Texas. Clark alleged that his benzene exposure while working for
Brown & Root had caused his AML, and that KBR was liable to him for personal
injury under the Jones Act as well as under admiralty theories of maintenance
and cure and unseaworthiness.

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      The district court held a three-day bench trial and entered findings of fact
and conclusions of law finding KBR liable to Clark under the Jones Act but
rejecting all other grounds of liability. Clark died shortly after trial. The district
court entered a final judgment on April 29, 2009, and, pursuant to timely
motions to alter or amend the judgment, an amended final judgment on October
22, 2009.    The amended final judgment awarded relief to Richard Clark,
administrator of Clark’s estate, (the “Clark Estate”) and against KBR.
      KBR timely appealed, asserting that the district court applied the wrong
standard of proof and made factual, legal, and evidentiary errors with respect
to the question of whether benzene exposure caused Clark’s AML.
                              II. Standard of Review
      “Our standard of review for bench trials is well established: findings of fact
are reviewed for clear error; legal issues, de novo.” Seal v. Knorpp, 957 F.2d
1230, 1234 (5th Cir. 1992). The “clear error” standard, codified in Federal Rule
of Civil Procedure 52(a), requires us to defer to the district court’s findings of fact
except where, after reviewing the entire record, we are “left with the definite and
firm conviction that a mistake has been committed.” Justiss Oil Co. v. Kerr-
McGee Ref. Corp., 75 F.3d 1057, 1062 (5th Cir. 1996) (citing United States v. U.S.
Gypsum Co., 333 U.S. 364, 395 (1948)). This standard is highly deferential to
the right of the district court to determine facts in that the
      standard plainly does not entitle a reviewing court to reverse the
      finding of the trier of fact simply because it is convinced that it
      would have decided the case differently. . . . If the district court’s
      account of the evidence is plausible in light of the record viewed in
      its entirety, the court of appeals may not reverse it even though
      convinced that had it been sitting as the trier of fact, it would have
      weighed the evidence differently. Where there are two permissible
      views of the evidence, the factfinder’s choice between them cannot
      be clearly erroneous.

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Anderson v. City of Bessemer City, 470 U.S. 564, 573–74 (1985). These standards
apply identically in admiralty cases. Tittle v. Aldacosta, 544 F.2d 752, 753 (5th
Cir. 1977).
       We review the district court’s decision to admit expert testimony for an
abuse of discretion. See, e.g., United States v. Hicks, 389 F.3d 514, 524 (5th Cir.
2004); see also Gen. Elec. Co. v. Joiner, 522 U.S. 136, 141–42 (1997). The scope
of this discretion is unquestionably “wide,” see, e.g., Watkins v. Telsmith, Inc.,
121 F.3d 984, 988 (5th Cir. 1997), and “applies as much to the trial court’s
decisions about how to determine reliability as to its ultimate conclusion,”
Kumho Tire Co. v. Carmichael, 526 U.S. 137, 152 (1999).
                                      III. Analysis
       KBR focuses its appeal on three asserted errors. First, KBR argues that
the district court improperly applied the “featherweight” causation standard to
Clark’s Jones Act claim rather than a “proximate” causation standard. Second,
KBR argues that the district court’s finding of fact that benzene was a specific
cause of Clark’s AML was clearly erroneous. This argument is closely related
to KBR’s third contention: that the court abused its discretion in allowing
Clark’s expert causation witnesses to testify. We address these arguments in
turn, treating the asserted specific causation errors together.1
A.     Standard for Causation
       The standard of proof for causation in Jones Act cases has been recited
many times in this circuit’s precedent. Our most definitive statement of the law
is found in Gautreaux v. Scurlock Marine, where the en banc court articulated
the standard as follows:

       1
        In its brief, KBR asserted a fourth error—that the district court erred in concluding
that it was liable to the Clark Estate under the Jones Act—but makes no arguments in
support of this contention other than the three asserted underlying errors described in this
paragraph. We therefore need not and do not address this argument separately.

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      A seaman is entitled to recovery under the Jones Act . . . if his
      employer’s negligence is the cause, in whole or in part, of his injury.
      In their earlier articulations of [this standard of] liability, courts
      had replaced the phrase “in whole or in part” with the adjective
      “slightest.” In Rogers v. Missouri Pacific R. Co., 352 U.S. 500, 506
      (1957), the Supreme Court used the term “slightest” to describe the
      reduced standard of causation between the employer’s negligence
      and the employee’s injury in [Federal Employers’ Liability Act
      (“FELA”)] cases. In Ferguson v. Moore-McCormack Lines, Inc., 352
U.S. 521, 523 (1957), the Court applied the same standard to a
      Jones Act case, writing, “‘Under this statute the test of a jury case
      is simply whether the proofs justify with reason the conclusion that
      employer negligence played any part, even the slightest, in
      producing the injury or death for which damages are sought.’”
      (quoting Rogers, 352 U.S. at 506).
107 F.3d 331, 335 (5th Cir. 1997) (en banc).        We have explained that the
standard is one of “producing cause” rather than “proximate cause” and that the
burden of proof is “featherweight.” Chisholm v. Sabine Towing & Transp. Co.,
679 F.2d 60, 62 (5th Cir. 1982). Thus, two concepts come into play here – the
type of causation that must be shown (producing) and the plaintiff’s burden to
show that cause (featherweight).
      KBR argues that the court’s precedents reflect a misapprehension of the
statute and contends that Justice Souter’s concurring opinion in Norfolk
Southern Railway v. Sorrell rejects the producing cause standard in favor of the
usual proximate cause requirement. See 549 U.S. 158, 173 & n.* (2007) (Souter,
J., concurring). The concurrence, while suggestive of the direction that the
Court might head in the future, is not the law we must follow; the opinion of the
Court in Sorrell declined to reach the standard-of-causation issue, see id. at
163–65 (noting that the Court had not granted certiorari on the question of the
standard for causation), 171–72 (“The question presented in this case is a narrow
one, and we see no need to do more than answer that question in today’s

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decision.”),2 and we are bound to follow our circuit’s clear precedent on this
question absent a contrary holding from the Supreme Court or this court sitting
en banc.3
       We are therefore obliged to hold that the district court committed no error
of law in identifying the standard and burden of proof of causation applicable to
this case.4
B.     Proof of Specific Causation
       KBR next contends that the district court erred in finding that Clark had
proved specific causation in this case, that is, that Clark’s benzene exposure
while working at KBR caused his AML.5 It also argues the district court abused

       2
         Similarly, our decision in Johnson v. Cenac Towing Inc., 544 F.3d 296, 302 n.4 (5th
Cir. 2008), does no more than note the content of Justice Souter’s concurrence; it does not
adopt it or change the circuit’s law, nor, under the rule of orderliness, could it.
       3
         After oral argument, KBR filed a letter pursuant to Federal Rule of Appellate
Procedure 28(j) alerting us to the Supreme Court’s recent grant of certiorari in McBride v. CSX
Transportation, Inc., 598 F.3d 388 (7th Cir. 2010), cert. granted, No. 10-235 (U.S. Nov. 29,
2010). The Court’s statement of the question presented directly addresses the issue left open
in Sorrell: “Whether [FELA] requires proof of proximate causation.” As discussed above, the
standard of proof under the Jones Act is the same as the standard under FELA. See Ferguson,
352 U.S. at 523. Nevertheless, “[a]bsent an intervening Supreme Court case overruling prior
precedent, we remain bound to follow our precedent even when the Supreme Court grants
certiorari on an issue.” United States v. Lopez-Velasquez, 526 F.3d 804, 808 n.1 (5th Cir.
2008). We therefore continue to apply Gautreaux and Chisholm to the present case.
       4
        We thus disagree with KBR’s assertion that the district court’s finding of “no
proximate cause” requires reversal in view of our discussion of the causation standard for
Jones Act negligence cases.
       5
         “General causation is whether a substance is capable of causing a particular injury
or condition in the general population, while specific causation is whether a substance caused
a particular individual’s injury.” Knight v. Kirby Inland Marine Inc., 482 F.3d 347, 351 (5th
Cir. 2007) (quoting Merrell Dow Pharms. v. Havner, 953 S.W.2d 706, 714 (Tex. 1997) (Owen,
J.)). KBR does not appeal the district court’s finding of general causation. In this respect, this
case differs markedly from the recent case of LeBlanc v. Chevron USA, Inc., No. 09-31149,
2010 U.S. App. LEXIS 19778 (5th Cir. Sept. 23, 2010) (unpublished), where the expert
evidence did not support a conclusion that benzene was the general cause of the different
disease there at issue.

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its discretion in considering the testimony of Clark’s expert causation witnesses,
which provided the evidentiary support for the district court’s conclusion.
      These two arguments are, taken together, an attack on Clark’s chain of
proof of his exposure to benzene. It is perhaps simplest to identify KBR’s points
of contention by first following the district court’s logic in concluding that Clark
had adequately proved specific causation.
      As an initial matter, the district court found as fact that Clark was
exposed to benzene while working on KBR’s barges. In so finding, the district
court expressly credited the testimony of Clark himself and of Robert Biddle, a
coworker of Clark’s. Clark testified that he used benzene as a solvent to clean
his tools, hands, and equipment, and Biddle corroborated that benzene was
present on KBR’s barges and was used regularly as a cleaning solvent. Biddle
did not, however, testify that he ever observed Clark using benzene. Clark’s
doctor, Dr. Deborah Thomas, also testified that Clark told her that he had been
exposed to benzene while giving his medical history and before he saw a lawyer.
KBR put on contrary witnesses who testified that there was no benzene on the
company’s barges, but the district court concluded that Clark’s three fact
witnesses were more credible and expressly credited their testimony as true. To
the extent that KBR attempts to challenge the district court’s decision to credit
Clark’s, Biddle’s, and Thomas’s testimony, we reject that challenge; under the
already deferential clear error standard, the district court’s “[f]indings based on
the credibility of witnesses demand even greater deference.” See Tokio Marine
& Fire Ins. Co. v. FLORA M/V, 235 F.3d 963, 970 (5th Cir. 2001). The district
court’s determination that Clark, Biddle, and Thomas testified truthfully is
“plausible in light of the record viewed in its entirety” and surely a “permissible
view of the evidence,” and we therefore are obliged to treat it as conclusive. See
Anderson, 470 U.S. at 573–74.

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       Next, the district court looked to the parties’ respective expert testimony
interpreting the fact witnesses’ statements concerning Clark’s exposure to
benzene. Clark presented four expert witnesses: John Martonik, an industrial
hygienist; Peter Infante, D.D.S., D.P.H., an epidemiologist; Frank Gardner,
M.D., a hematologist and oncologist; and Frank Parker, an industrial hygienist.
Martonik died between discovery and trial and so did not personally testify, but
his pre-trial work was considered as evidence.               KBR also presented the
testimony of Robert Schumacher, an industrial hygienist.
       Martonik reviewed Clark’s deposition testimony and spoke with him on
one occasion, then prepared a report attempting to identify the frequency,
extent, and duration of Clark’s exposures to benzene. Martonik’s report can be
said to serve two related but distinct purposes: first, it summarized Clark’s
various exposures to benzene, and, second, it attempted to convert those
exposures from Clark’s descriptions into quantifiable parts-per-million (“ppm”)
exposure levels based on literature describing what exposure levels translate to
particular reportable effects.6      While disagreeing with the precise resulting
calculations, KBR’s expert, Schumacher, testified that Martonik’s approach was
an “acceptable” and “generally accepted” means of determining an exposure level
from self-reported information.
       Infante, Clark’s witness, and Schumacher, KBR’s witness, then attempted
to extrapolate Clark’s total benzene exposure level from Martonik’s calculations.
Each witness presented what the district court termed different “scenarios” for
Clark’s total exposure based on different assumptions and readings of the
evidence regarding the frequency, duration, and strength of Clark’s exposures
to benzene. At the high end, Infante testified in his deposition that Clark’s

       6
        For example, Martonik’s report explained that “[t]he odor recognition threshold for
benzene is 97 ppm”; therefore, it concluded that, whenever Clark was exposed to benzene that
he could smell, he was exposed to no less a concentration than 97 ppm.

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benzene exposure range could be between 1436 and 1532 ppm-years, and, at the
low end, Schumacher testified to a benzene exposure level of 230 ppm-years. At
trial, Infante revised his estimate downward to between 350 and 500 ppm-years.
All of these various numbers were based, at bottom, on Clark’s testimony, which
the district court credited fully, as bolstered by the testimony given by Biddle
and Thomas. After trial, the district court accepted Infante’s findings in part,
apparently rejecting only the contention “that benzene was present in the
workplace to the extent the plaintiffs’ third party exposure witnesses suggested
it was.”   The court expressly did accept Clark’s own testimony about “the
frequency and manner of” his exposure to benzene.
      Next, Gardner testified that his review of Clark’s testimony and the
exposure data led him to conclude that Clark’s exposure to benzene while
working for KBR caused his AML. Gardner also relied on undisputed literature
that benzene is a known general cause of AML.            Clark’s expert witnesses
testified that the increase in relative risk of AML from benzene exposure was
statistically significant at levels of exposure in the single digits of ppm-years; at
the 230 ppm-years level calculated by KBR’s expert, Schumacher, Infante
testified that the relative risk of AML was twenty-seven times higher than in the
unexposed population. KBR did not rebut this quantification of risk. Thus, even
using the most conservative numbers supported by the factual evidence the
district court credited, the exposure numbers at issue in this case are very high.
The court accepted Clark’s testimony that he used benzene every other day from
somewhere between fifteen minutes and a few hours from 1972 until sometime
the late 1970s.    The court accepted Clark’s testimony that he did not use
protective equipment when working with benzene and occasionally felt light-
headed from exposure.       Taking that evidence together with the experts’
testimony correlating symptoms with particular exposure levels and identifying
the relatively low exposure levels known to be hazardous, the district court

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found that “it is more likely than not that Mr. Clark was exposed to benzene at
hazardous levels.” That finding is eminently “plausible in light of the record
viewed in its entirety,” and we therefore must uphold it. See Anderson, 470 U.S.
at 573–74.
      KBR’s contrary argument, citing to our decision in Allen v. Pennsylvania
Engineering Corp., 102 F.3d 194, 199 (5th Cir. 1996), is essentially that Gardner
was required to quantify precisely the dosage of benzene that is hazardous and
the dosage of benzene to which Clark was exposed before he could lawfully be
permitted to testify, and similarly that the district court was required to make
those same determinations before it could find specific causation. Because
Gardner did not do so, KBR reasoned, admission of his testimony was an abuse
of discretion and there was no evidence upon which the district court could
permissibly rely in finding specific causation.     Our precedent has no such
requirement. In Allen, we stated the uncontroversial principle that “[s]cientific
knowledge of the harmful level of exposure to a chemical, plus knowledge that
the plaintiff was exposed to such quantities, are minimal facts necessary to
sustain the plaintiffs’ burden in a toxic tort case.” Id. Here, Clark did meet this
burden: Gardner and other witnesses testified to the toxic levels of benzene
exposure, and both Gardner and the court had sufficient factual evidence to
conclude that Clark was exposed to some level of benzene high enough to cause
AML. While the district court did not credit that Clark was exposed to as much
benzene as Infante concluded, even a much lower number, well supported by the
evidence the district court did credit, was acknowledged by the experts to be
sufficient to have caused Clark’s AML.        Gardner’s methodology remained
“reliable,” and his testimony remained useful to “assist the trier of fact to
understand the evidence.” See F ED. R. E VID. 702. Assisted by the testimony that
Gardner gave, the district court could evaluate the exposure evidence and
conclude, without committing clear error, that, even if he was exposed to

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somewhat less benzene than Infante originally suggested, Clark was exposed to
a level of benzene known to the scientific community to substantially and
significantly increase the risk of AML.
       We find no abuse of discretion in the district court’s decision to admit
Clark’s expert witnesses’ testimony—notwithstanding its refusal to wholly credit
their assessment of the extent of Clark’s benzene exposure—and no clear error
in the district court’s finding of specific causation.7
                                      IV. Conclusion
       For the foregoing reasons, the judgment of the district court is
AFFIRMED.

EDITH H. JONES, Chief Judge, specially concurring:
       Based on the facts as they were presented to the trial court and as
represented in Judge Haynes’s careful opinion, I concur in the judgment. I
emphasize, though, that the district court assessed liability only under the
“featherweight” causation standard that this court uses in Jones Act cases and
explicitly denied liability premised upon “proximate” causation.

       7
        As Justice Stevens emphasized in his partial dissent in General Electric Co. v. Joiner,
522 U.S. 136, 155 (1997), our conclusion that the district court did not abuse its discretion in
admitting expert testimony should not be read as suggesting that the district court would have
abused its discretion in excluding the same evidence.

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