Court Opinion

ID: 4200619
Source: CourtListenerOpinion
Date Created: 2017-09-01 00:01:01.771181+00
Date Added: 2024-06-11T14:14:52.087962
License: Public Domain

Case: 17-10812       Document: 00514139512       Page: 1    Date Filed: 08/31/2017

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

                                    No. 17-10812
                                                                             Fifth Circuit

                                                                           FILED
                                                                     August 31, 2017
                                                                      Lyle W. Cayce
                                                                           Clerk
In re:
DEPUY ORTHOPAEDICS, INCORPORATED;
DEPUY PRODUCTS, INCORPORATED;
DEPUY SYNTHES, INCORPORATED;
JOHNSON & JOHNSON INTERNATIONAL;
JOHNSON & JOHNSON SERVICES, INCORPORATED;
JOHNSON & JOHNSON,
                           Petitioners.

                         Petition for Writ of Mandamus to
                          the United States District Court
                         for the Northern District of Texas

Before JONES, SMITH, and COSTA, Circuit Judges.
JERRY E. SMITH, Circuit Judge:

         This petition for writ of mandamus arises from a multidistrict litigation
(“MDL”) proceeding involving more than 9,300 plaintiffs. 1 Those plaintiffs
have brought product-liability claims against petitioners for designing,

         See MDL Dkt. No. 772. Citations to “MDL Dkt.” are to In re: DePuy Orthopaedics,
         1

Inc., Pinnacle Hip Implant Prods. Liab. Litig., N.D. Tex. Case No. 3:11-md-02244-K.
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                                         No. 17-10812
manufacturing, and distributing an allegedly defective hip-implant device, the
Pinnacle Acetabular Cup System (the “Pinnacle Device”). 2 The MDL court
denied petitioners’ motions to vacate an order and dismiss certain cases for
lack of personal jurisdiction. 3

       We have reviewed the petition for writ of mandamus, the opposition
thereto, petitioners’ reply in support of the writ, the exhibits attached to those
submissions, and the applicable law. We also have heard one hour of oral argu-
ment on the petition. Despite finding serious error, a majority of this panel
denies the writ that petitioners seek to prohibit the district court from pro-
ceeding to trial on plaintiffs’ cases. 4 A different majority holds (1) that so-
called Lexecon 5 objections were not waived and that the district court abused
its discretion in finding waiver; (2) that the petitioners have shown the
required clear and indisputable right to a writ of mandamus; and (3) that the
petitioners have established that a writ of mandamus is appropriate under the

       2   See Petitioners’ Appendix (“Petitioners’ App.”) 2.
       3   Id. at 24.
       4  In anticipation of any suggestion that a court of appeals exceeds its proper role in
ruling on pending issues but nonetheless denying mandamus, we note that this court has
routinely held, sometimes in published opinions, that a district court erred, despite stopping
short of issuing a writ of mandamus. E.g., In re Dean, 527 F.3d 391 (5th Cir. 2008) (per
curiam) (holding that district court had “violated” a federal statute); In re United States,
No. 07-40629, 2007 U.S. App. LEXIS 30793 (5th Cir. July 19, 2007) (per curiam) (holding
that district court “abused its discretion”); In re U.S. Dep’t of Homeland Sec., 459 F.3d 565
(5th Cir. 2006) (holding that district court “erred in declaring that no law enforcement
privilege exists”); In re Kleberg Cty., 86 F. App’x 29 (5th Cir. 2004) (holding that district court
“impermissibly violated the County’s privilege not to reveal its confidential informants” and
ran “afoul of controlling law”); In re Avantel, S.A., 343 F.3d 311 (5th Cir. 2003) (holding that
district court erred in compelling production of allegedly privileged documents); In re Stone,
986 F.2d 898 (5th Cir. 1993) (per curiam) (holding that district court abused its discretion in
ordering who must be present at settlement conference); In re Office of Thrift Supervision,
948 F.2d 910 (5th Cir. 1991) (holding that district court erred as a matter of law in attempting
to transfer the proceeding, but noting that petitioner “has not made an adequate showing . . .
of harm that cannot be undone if the order is reversed on appeal”).
       5   See Lexecon Inc. v, Milberg Weiss Bershad Hynes & Lerach, 523 U.S. 26 (1998).
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circumstances. But in regard to the ultimate result, a majority concludes that
the petitioners have not shown that they have no other adequate means to
attain the relief they seek. A majority requests the district court to vacate its
ruling on waiver and to withdraw its order for a trial beginning September 5,
2017.

                                                 I.
        The MDL proceeding began in 2011, when the Judicial Panel on Multi-
district Litigation ordered the transfer of all actions involving the Pinnacle
Device into the MDL court in the Northern District of Texas. 6 Later, the MDL
court issued an order allowing Pinnacle Device plaintiffs to file directly in that
district. 7

        An MDL court can conduct pretrial proceedings but cannot try a case
that it would not be able to try without its MDL status. Federal law limits an
MDL court’s jurisdiction over a transferred case to pretrial proceedings and
provides that once those are completed, the MDL court must remand the trans-
ferred case to the district from which it was transferred. 8 Cases that are dir-
ectly filed in an MDL court are treated “as if they were transferred from a
judicial district sitting in the state where the case originated.” 9 An MDL court
can try a case where venue is improper if the parties waive their objections.
Such waivers are known as “Lexecon waivers.”

        In August 2012, the MDL court entered Case Management Order 8
(“CMO 8”) directing the parties to “submit . . . a stipulated protocol for selection

        6   Petitioners’ Appendix (“Petitioners’ App.”) 3.
        7   Id.
        8   See 28 U.S.C. § 1407(a).
        See In re Yasmin & Yaz (Drospirenone) Mktg., Sales Practices & Prods. Liab. Litig.,
        9

No. 3:09-md-02100-DRH-PMF, 2011 WL 1375011, at *6 (S.D. Ill. Apr. 12, 2011).
                                                 3
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                                      No. 17-10812
and conducting of bellwether trials in this MDL proceeding” and then “file their
recommended selection of 4−6 cases to be included in an initial bellwether trial
process.” 10 Bellwether trials are meant to
    produce a sufficient number of representative verdicts and settlements
    to enable the parties and the court to determine the nature and
    strength of the claims, whether they can be fairly developed and liti-
    gated on a group basis, and what range of values the cases may have if
    resolution is attempted on a group basis.[ 11]
The parties worked with the court and the special master to develop a protocol
for bellwether trials. 12

      The special master produced a report that included a proposal, agreed to
by the parties, to try four cases from a pool of eight. 13 The report stated that
“Defendants’ Lead Counsel have already agreed that they will not raise a
venue objection (i.e., a Lexecon objection) to any cases in the MDL proceeding
being tried in the Northern District of Texas.” 14

      The process became contentious when plaintiffs proposed to consolidate
multiple cases for each bellwether trial. Petitioners objected, claiming that
they did “not agree to waive their Lexecon objections for a prejudicial, multi-
plaintiff trial.” 15 A few days later, petitioners clarified that “we have waived
the [Lexecon] restriction on . . . these cases, consistent with the report that the
special master gave to the court earlier.” 16

      10   Petitioners’ App. 4.
      11  Manual for Complex Litigation (Fourth) (2004) § 22.315; see also In re Chevron
U.S.A., Inc., 109 F.3d 1016, 1019 (5th Cir. 1997).
      12   See Petitioners’ App. 4.
      13   Id.
      14   Id.
      15   MDL Dkt. No. 341, p. 5.
      16   MDL Dkt. No. 344, p. 5.
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      The first trial, involving a single case transferred from the District of
Montana, was held in September and October 2014. 17 The jury found for
petitioners. 18

      After the first trial, the parties and the court proceeded to select a new
set of bellwether cases. 19 The special master noted again that “Defendants
have agreed they will not raise a venue objection (i.e., a Lexecon objection) to
any cases in the MDL being tried in the Northern District of Texas.” 20

      The court selected five cases, all directly filed by Texas plaintiffs, and
ordered that they be tried together in a consolidated second bellwether trial. 21
Defendants objected to the consolidation but not on grounds of venue or per-
sonal jurisdiction. 22 The trial was held in early 2016. 23 The jury returned a
$502 million verdict, which the court reduced. 24 Petitioners appealed. 25

      Petitioners moved to stay future bellwether trials pending the appeal.
In a footnote to their brief urging a stay, they claimed that “[a]lthough [they]
previously waived Lexecon for purposes of selecting prior bellwether cases, they
have never agreed to a blanket Lexecon waiver and do not waive their venue
objections with respect to forthcoming trials.” 26 The court denied a stay and
stated that petitioners had already waived their venue objections to trying

      17   Petitioners’ App. 6.
      18   Id.
      19   Id.
      20   Id.
      21   Id. at 6–7.
      22   Id. at 7.
      23   Id.
      24   Id.
      25   Id.
      26   MDL Dkt. No. 657-1, p. 2 n.1.
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cases in the MDL court. 27

       In June 2016, the MDL court selected six cases, all directly filed by Cali-
fornia plaintiffs, for a third bellwether trial. 28            Petitioners unsuccessfully
moved to dismiss for want of personal jurisdiction and reiterated their claim
that they had waived their venue objections only with respect to the first two
bellwether trials. 29 The trial was held in September and October 2016, and
the jury returned a $1.04 billion verdict, which the court reduced. 30 Petitioners
appealed. 31

       In November 2016, the MDL court issued an order selecting ten cases
with New York plaintiffs for a fourth bellwether trial. 32 Petitioners moved to
vacate the order and dismiss the claims for lack of personal jurisdiction, reiter-
ating their assertions about waiver. 33 In June 2017, the court denied both
motions, finding that petitioners had “clearly and unequivocally represented
to this Court on multiple occasions that they waived any objections based on
venue to trying any of the cases in the MDL in the Northern District of
Texas.” 34 The MDL court intends to try some of the New York cases in a fourth
bellwether trial scheduled to begin on September 5, 2017. 35 Petitioners natur-
ally ask this court to rule before then.

       27   See MDL Dkt. No. 665, pp. 8–9, 11.
       28   See Petitioners’ App. 8.
       29   Id.
       30   Id. at 9.
       31   See Fifth Cir. No. 17-10828.
       32   See Petitioners’ App. 9.
       33   Id. at 9–10.
       34   Id. at 19–20, 24.
       35 On August 25, 2017, the day after this panel heard oral argument on the mandamus
petition, the district court entered a two-paragraph order stating, in relevant part, as follows:
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                                                 II.
       A writ of mandamus is “a drastic and extraordinary remedy reserved for
really extraordinary causes.” 36 It “is not a substitute for an appeal.” 37 Only a
showing of “exceptional circumstances amounting to a judicial usurpation of
power” or “a clear abuse of discretion” will justify granting a mandamus
petition. 38 Mandamus is appropriate where (1) the petitioner has shown a
“clear and indisputable” right to the writ; (2) the court is “satisfied that the
writ is appropriate under the circumstances”; and (3) the petitioner has “no
other adequate means to attain the relief [it] desires. 39

                                                 A.
       First, petitioners must show that they have a “clear and indisputable”
right to mandamus relief. 40 That “require[s] more than showing that the court
misinterpreted the law, misapplied it to the facts, or otherwise engaged in an
abuse of discretion.” 41 Where a matter is committed to a district court’s discre-
tion, “we review only for clear abuses of discretion that produce patently
erroneous results.” 42 Some courts have decided that waiver determinations

       [T]he Court notifies the parties that the following cases, which were selected to
    be prepared for jury trial beginning September 5, 2017 . . ., will be the final bell-
    wether cases tried in the Dallas Division of the Northern District of Texas pursuant
    to Plaintiffs’ and Defendants’ Lexecon waivers: [listing eight cases from New York].
        Cheney v. U.S. Dist. Court for D.C., 542 U.S. 367, 380 (2004) (internal quotation
       36

marks omitted).
       37   In re Chesson, 897 F.2d 156, 159 (5th Cir. 1990) (per curiam).
       38   Cheney, 542 U.S. at 380 (citations and internal quotation marks omitted).
       39In re Lloyd’s Register N. Am., Inc., 780 F.3d 283, 288 (5th Cir.) (quoting Cheney,
542 U.S. at 380–81), cert. denied, 136 S. Ct. 64 (2015).
       40   Cheney, 542 U.S. at 381 (quoting Kerr, 426 U.S. at 403).
       41   Lloyd’s Register, 780 F.3d at 290.
       42   Volkswagen, 545 F.3d at 312.
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are committed to a district court’s discretion. 43

         Section 1407 provides that transferred actions “shall be remanded . . . at
or before the conclusion of such pretrial proceedings.” 44 This mandatory lan-
guage creates a powerful presumption in favor of remand, one that cannot
easily be overcome. 45 The result is a statutory right to remand following an
MDL proceeding, analogous to the statutory right to removal under 28 U.S.C.
§ 1441. A party cannot waive its removal rights through a forum-selection
clause unless the waiver is “clear and unambiguous.” 46 Likewise, we hold that
a Lexecon waiver must be “clear and unambiguous.” 47

         Petitioners’ waivers all included, or referred to, limiting language. The
MDL court’s notion, 48 echoed by plaintiffs, that petitioners are trying to limit
their waivers retroactively, is not borne out by the facts. We hold that peti-
tioners limited their venue waivers to the first two bellwether trials and that
the MDL court erred by declaring that they had globally and permanently
waived their objections to venue and personal jurisdiction. That was grave
error: At most, petitioners’ waivers included ambiguous language that did not

          See, e.g., Lechoslaw v. Bank of Am., N.A., 618 F.3d 49, 55–56 (1st Cir. 2010) (“A
         43

determination as to ‘waiver [of personal jurisdiction is] within the discretion of the trial court,
consistent with its broad duties in managing the conduct of cases pending before it.’”) (quoting
United States v. Ziegler Bolt & Parts Co., 111 F.3d 878, 882 (Fed. Cir. 1997)). We need not
decide that standard-of-review question here, because a majority concludes that the abuse-
of-discretion is met anyway.
         44   28 U.S.C. § 1407 (emphasis added).
         45   See Lexecon, 523 U.S. at 35.
         46   City of New Orleans v. Mun. Admin. Servs., Inc., 376 F.3d 501, 505–06 (5th Cir.
2004).
          This is an issue of first impression. The only other circuit to have addressed the
         47

question, the Seventh Circuit, also held that a strong showing is needed to effect a Lexecon
waiver. See Armstrong v. LaSalle Bank Nat’l Ass’n, 552 F.3d 613, 615–19 (7th Cir. 2009)
(finding that the plaintiffs had not waived their right to remand under § 1407 by partici-
pating in pretrial proceedings and agreeing to specific trial dates).
         48   See Petitioners’ App. 7.
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indicate a clear intent to waive all Lexecon objections to trials before the MDL
court.

         Plaintiffs highlight the broad language in the special master’s first
report, which states that petitioners’ lead counsel agreed not to raise a venue
objection “to any cases in the MDL proceeding being tried in the [Forum].” 49
But that report was issued pursuant to CMO 8, 50 which refers to “an initial
bellwether trial process” and focuses on the first bellwether trial. 51 Given that
context, that waiver is unequivocally limited to the first bellwether trial.

         Plaintiffs point to the status conference in September 2013 in which
petitioners appeared to walk back an earlier claim that they did “not agree to
waive their Lexecon objections for a prejudicial, multi-plaintiff trial.” But dur-
ing the status conference, petitioners’ counsel noted that “we have waived the
[Lexecon] restriction on these—these cases, consistent with the report that the
special master gave to the court earlier.” 52 The part of the sentence after the
em-dash limits the waiver to “these cases,” an apparent reference to the first
batch of bellwether cases. One of those cases was the subject of the first bell-
wether trial; the MDL court removed the others from its trial pool after that
trial. 53

         In December 2014, after the first bellwether trial, the special master
asked petitioners’ counsel to “confirm DePuy is willing to waive Lexecon for all
MDL cases to be tried in Dallas.” 54 Petitioners’ counsel responded “Confirmed.

         49   Respondents’ Appendix 9.
         50   Id.
         51   MDL Dkt. No. 190, p. 2.
         52   MDL Dkt. No. 344, p. 5.
         53   See Petitioners’ App. 6.
         54   Id. at 25.
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In order to allow the Court to select the next round of bellwether cases from a
broader pool of cases that can be tried in Dallas, defendants have agreed to
waive Lexecon objections to cases in the MDL proceeding being tried there.” 55
Plaintiffs portray that email as an unequivocal Lexecon waiver. But, again,
note the limiting language: “the next round of bellwether cases.” The special
master’s subsequent report, in which he declared that petitioners had effected
a Lexecon waiver for “any cases in the MDL being tried in the [Forum],” 56 must
be read in light of those earlier remarks. Accordingly, there is no “clear and
unequivocal” waiver; a plain reading is much to the contrary. We hold that the
MDL court clearly abused any discretion it might have had and, in doing so,
reached a “patently erroneous” result.

                                           B.
      Second, granting a mandamus petition must be “appropriate under the
circumstances.” 57 Mandamus relief is “particularly appropriate” where an
issue’s importance extends “beyond the immediate case.” 58 Petitioners note
that the personal-jurisdiction issue has implications beyond the fourth bell-
wether trial because of the large number of cases pending in the Pinnacle
Device MDL proceeding and because the district court’s reasoning may be
adopted by future MDL courts. At oral argument, plaintiffs’ counsel, when
questioned, conceded that he claims a “global waiver” that extends to over nine
thousand cases. We hold that mandamus relief would be “appropriate under
the circumstances” if all three standards were satisfied.

      55   Id.
      56   MDL Dkt. No. 490, p. 1.
      57   Cheney, 542 U.S. at 381.
      58   Volkswagen, 545 F.3d at 319.
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                                                C.
       And finally, petitioners must show that they have “no other adequate
means” to obtain relief. 59 That is a high bar: The appeals process provides an
adequate remedy in almost all cases, even where defendants face the prospect
of an expensive trial. 60 Mandamus is appropriate only where an error is truly
“irremediable on ordinary appeal.” 61 For example, after a Vermont district
court found that it had personal jurisdiction over a New York Catholic diocese
in a sex-abuse case, the Second Circuit granted mandamus, citing “the irrepar-
able harm [that would be] caused by a needless foray into prior abuse investi-
gations within the Diocese, exposing victims and their families to grueling [and
unnecessary] inquiries.” 62 In Abelesz v. OTP Bank, 692 F.3d 638, 661 (7th Cir.
2012), the court granted mandamus to halt a $75 billion lawsuit against two
Hungarian banks, citing, among other factors, “the inherent involvement with
U.S. foreign policy.”

       Petitioners claim that appeal is not an adequate remedy because the cost
of having to defend more bellwether trials is “unjustifiable” given the strength
of their personal-jurisdiction claims. It is no doubt true that petitioners will
incur substantial costs if the fourth bellwether trial is allowed to proceed. At
oral argument, the parties represented that each of the previous three bell-
wether trials lasted several weeks. But for appeal to be an inadequate remedy,

       59Cheney, 542 U.S. at 380 (quoting Kerr v. U.S. Dist. Court for N.D. Cal., 426 U.S.
394, 403 (1976)).
       60Lloyd’s Register, 780 F.3d at 288 (“Even though the defendant may be required to
engage in a costly and difficult trial and expend considerable resources before the court enters
an appealable judgment, those unrecoverable litigation costs are not enough to make this
means of obtaining relief inadequate.”).
       61   In re Avantel, S.A., 343 F.3d 311, 317 (5th Cir. 2003).
       62 In re Roman Catholic Diocese of Albany, N.Y., Inc., 745 F.3d 30, 41 (2d Cir. 2014)
(per curiam).
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there must be “some obstacle to relief beyond litigation costs that renders
obtaining relief not just expensive but effectively unobtainable.” 63 Nor is the
“hardship [that] may result from delay”—such as the risk of substantial set-
tlement pressure—grounds for granting a mandamus petition. 64

      This case is distinguishable from Lloyd’s Register and from In re Volks-
wagen of America, Inc., 545 F.3d 304 (5th Cir. 2008) (en banc), in which we
granted mandamus petitions overturning venue rulings. In both, appeal was
an inadequate remedy because petitioners (1) would have to overcome a high
standard of review on appeal and (2) would face irreversible, non-monetary
harm if the case went forward. 65 Those factors are not present here. This court
reviews a district court’s exercise of personal jurisdiction de novo, 66 so the stan-
dard of review on appeal is not an issue, and petitioners would not face ir-
reversible, non-monetary harm if the fourth bellwether trial were held.

      We hold that petitioners have the usual and adequate remedy of ordinary
appeal. In fact, they have taken advantage of that remedy by appealing the
judgment in the third bellwether trial on personal-jurisdiction grounds. That
appeal was filed in July 2017 and will be decided in due time.

                                                III.
      Petitioners have met two of the three parts of the Cheney test. But the
requirement that a party have “no other adequate means” of obtaining relief is
not satisfied. Accordingly, a majority of this panel concludes that the petition
for writ of mandamus is DENIED.

      63   Lloyd’s Register, 780 F.3d at 289.
      64   Schlagenhauf v. Holder, 379 U.S. 104, 110 (1964).
      65   Lloyd’s Register, 780 F.3d at 289; Volkswagen, 545 F.3d at 318–19.
      66   See Jackson v. FIE Corp., 302 F.3d 515, 521 (5th Cir. 2002).
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                                    No. 17-10812
GREGG COSTA, Circuit Judge, concurring in the judgment:
      I agree that we should deny the petition because direct appeal affords
the Petitioners an adequate avenue for pursuing this issue. 1 I would leave it
at that. The principle counseling against unnecessary rulings is strong in any
case. But it is stronger still in the mandamus context. As an appellate court’s
mandamus authority should be “reserved for really extraordinary causes,” Ex
parte Fahey, 332 U.S. 258, 259–60 (1947), this matter, with its compressed
time frame, is not the place to decide the merits. By reaching out to do so when
it is not necessary to the outcome, the majority opinion makes mandamus the
“substitute for appeal” that it is not supposed to be. Id. at 260.
      The existence of an adequate remedy via direct appeal means we should
not address whether Petitioners waived their Lexecon rights. The Supreme
Court has said that the inadequacy of any other remedy is the first
requirement a petitioner must show. Cheney v. U.S. Dist. Court for D.C., 542
U.S. 367, 380 (2004), quoted in In re Volkswagen of America, Inc., 545 F.3d 304,
310 (5th Cir. 2008) (en banc). The priority given this condition makes sense
as it is what “ensure[s] that the writ will not be used as a substitute for the
regular appeals process.” Cheney, 542 U.S. at 380–81. The majority opinion
demonstrates the danger when this limitation is ignored: in addressing the
merits, the majority opinion renders meaningless the direct appeal it ends up
recognizing as the proper remedy. After being told by a court of appeals that
it reached a “patently erroneous” result, what district court is going to go

      1  In arguing that a direct appeal is inadequate, the dissenting opinion discusses
settlement pressure the defendants may be feeling. But that pressure would be the
result of more than 9,000 cases being filed, not where those cases would be tried
(especially as the Northern District of Texas is hardly known as a hot spot for tort
litigation). If anything, sending thousands of cases back to hundreds of district judges
around the country is likely to accelerate the number of trials as there will no longer
be the constraint of a single judge’s schedule and resources.
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forward with the trial Petitioners are trying to prevent? The majority opinion
cites no other example of a mandamus court telling a district court its ruling
is in error even though it concludes that a direct appeal is adequate. That is
not surprising. Such an approach effectively grants the writ the court says it
is denying, overriding the essential limitation that mandamus be granted only
when it is the only vehicle for relief.           With this precedent, any future
mandamus court can decide the merits even when the remaining requirements
are not present.
      As for the waiver question the majority opinion reaches out to address,
Petitioners have not shown a “clear and indisputable” entitlement to relief. In
another example of the restraint that should characterize mandamus review,
that is the only question to consider. See, e.g., In re Beazley Ins. Co., No. 09-
20005, 2009 WL 7361370, at *6 (5th Cir. May 4, 2009) (“Beyond our conclusion
that Beazley has not established a clear and indisputable right to the issuance
of the writ, we make no pronouncement one way or the other as to the
correctness of the district court's ruling.”).           The district court did not
misinterpret the law; it applied the same “clear and unambiguous” burden for
establishing waiver that the majority opinion applies to Lexecon waivers “as a
matter of first impression.” 2 The factbound application of that standard is, as
the majority opinion recognizes most courts have held, reviewed only for abuse
of discretion. We should thus be applying deference on top of deference as the
mandamus inquiry is not whether the district court abused its discretion, but
whether it indisputably abused its discretion in finding that the following
email exchange, among other conduct, clearly waived Lexecon:

      2  Holding that a court reached a “patently erroneous” result on a question that
involves a matter of first impression is also in tension with the limited mandamus standard
of review.
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                                  No. 17-10812

           James M. Stanton [Special Master for the MDL]: Please
           confirm DePuy is willing to waive Lexecon for all MDL
           cases to be tried in Dallas.

           Seth Roberts [Council for the Defendant]: Confirmed. In
           order to allow the Court to select the next round of
           bellwether cases from a broader pool of cases that can be
           tried in Dallas, defendants have agreed to waive Lexecon
           objections to cases in the MDL proceeding being tried
           there.

     Even if other judges could find differently as an initial matter, or even if
they could view the district court’s finding to be an abuse of discretion, that is
certainly not the only possible conclusion to draw. But that is what mandamus
requires; a district court’s ruling is not indisputably erroneous if a reasonable
argument can be made to support it. Here is that argument based on three
features of the emails quoted above, which were exchanged after Petitioners
had won the first bellwether and had no strong reason to fear Dallas trials:
      • The first word is full agreement— “Confirmed”—with the Special
        Master’s broad, unqualified question whether DePuy is waiving
        Lexecon “for all MDL cases to be tried in Dallas.” The confirmation
        was not qualified, such as “Confirmed, but.”

      • The language Defendants tout as a limitation— “in order to allow this
        Court to select the next round of bellwether cases from a broader pool
        of cases that can be tried in Dallas”— describes the reason for the
        waiver, not its scope, and contemplates that a broader pool of cases
        can be tried in Dallas.

      • What is actually “agreed to” is phrased in broad, unlimited terms:
        “agree[ing] to waive Lexecon objections to cases in the MDL being
        tried there.”

      What is more, the three references to the plural “cases” defeats
Petitioners’ interpretation that this exchange is limited to the second
bellwether, which at the time it anticipated being a single plaintiff case. There
are numerous ways that sophisticated counsel for the Petitioners could have
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                                    No. 17-10812

phrased the limitation on their waiver they only started to contend exists after
they lost the second trial.    As those caveats were not contemporaneously
asserted, the district court took an arguably reasonable view that Petitioners
made an unambiguous waiver of Lexecon for all then-anticipated bellwethers,
which includes the fourth trial at issue here. Indeed, the district court recently
said that the Lexecon waiver is limited to these bellwethers with the upcoming
trial being the last one. And this analysis does not even get into additional
conduct on which the district court relied in finding waiver, including multiple
reports of the Special Master recounting Petitioners’ waiver as a global one to
which Petitioners did not object.
      But all this discussion about waiver is premature. We should allow the
usual path of a direct appeal, which the majority opinion recognizes is
available, to take its proper course and leave the merits to that future panel.
I have concerns that an MDL process that takes trials away from local judges
and juries adds to the centralizing trend that is so prevalent in the law and
society generally. But in neglecting the strict limitations on our mandamus
power to address the merits when we do not need to, the court engages in a
different but also pernicious form of centralization: more power in the hands
of appellate judges rather than the trial judge who has lived with the case for
six years and knows the ins and outs of the parties’ representations.

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                                  No. 17-10812

EDITH H. JONES, Circuit Judge, concurring in part and dissenting in part:
      I am pleased to concur in Sections I, IIA and B of Judge Smith’s opinion,
the latter of which hold that petitioners have shown a clear and indisputable
right to relief from the district court’s patently erroneous interpretation of
their Lexecon waivers and that mandamus relief would be “appropriate under
the circumstances” of this case. I dissent, however, from Section IIC, which
concludes that a pending appeal of one set of bellwether cases provides an
adequate remedy at law rendering mandamus relief unavailable.
      A few additional facts about this litigation need to be stressed. Not only
are there presently over 9,300 cases pending in the Northern District of Texas
for pretrial proceedings, but they comprise cases that were transferred from
“home” districts of filing by the MDL panel and others that were “direct filed”
in the Northern District without undergoing the formal transfer process. All
of the New York cases set for trial in the instant “bellwether” case were “direct
filed.” But for the possibility of a “global waiver” of personal jurisdiction, the
Northern District had no claim to personal jurisdiction over the cases: none of
the plaintiffs’ surgeries occurred in Texas; the plaintiffs aren’t Texas residents;
and neither general nor specific jurisdiction exists over the petitioners for
purposes of these disputes. For that reason, the district court relied solely on
the “global waiver” and extended it from a waiver of venue for pretrial purposes
only and for two bellwether trials to waiver of personal jurisdiction in all of the
thousands of cases. Petitioners are being forced to trial over their objections
to personal jurisdiction.
      By comparison, a scholarly opinion from the Southern District of Texas
in an MDL case resulted in dismissal of a nonresident defendant against which
there was a “direct filed” case by a nonresident plaintiff. In re Heartland
Payment Sys., Inc. Customer Data Sec. Breach Litig., No. CIV.A. H-10-171,
2011 WL 1232352 (S.D. Tex. Mar. 31, 2011). The court first noted that the

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                                  No. 17-10812
defendant’s agreement to transfer for purposes of pretrial proceedings was not
inconsistent with and did not waive its personal jurisdiction challenge. 2011
WL 1232352 at *5–6. Finding no waiver, the court then decided that it lacked
personal jurisdiction over the non-consenting defendant based on Heartland’s
lack of minimum or relevant contacts with the Southern District of Texas.
2011 WL 1232353 at *6–10. In re Heartland is contrary to this case, in that
the district court here ignored the limitations on the parties’ agreed order for
direct filing. That order expressly states that, “[u]pon completion of all pretrial
proceedings applicable to a case filed directly in the [MDL court], this Court
may transfer the case, pursuant to 28 U.S.C. Section 1404, to a court of
appropriate jurisdiction for trial.” (emphasis added). Moreover, the inclusion
of any action in the MDL proceeding under the order’s auspices “shall not
constitute a determination by this Court that jurisdiction or venue is proper in
this District.” The petitioners’ failure to waive personal jurisdiction, as the
panel majority hold, means that the district court is asserting “reach out and
touch someone” power wholly at odds with its Constitutional and statutory
limitations. See Point Landing, Inc. v. Omni Capital Int’l, Ltd., 795 F.2d 415,
423 (5th Cir. 1986) (en banc) (“[federal courts] must ground their personal
jurisdiction on a federal statute or rule. As courts of limited jurisdiction, the
federal courts possess no warrant to create jurisdictional law of their own.”)
(internal citation and quotations omitted).
      This is where I begin to differ with the majority’s holding that petitioners
have an adequate remedy in a pending appeal of the third bellwether trial
arising from California plaintiffs, some of whom direct-filed in the Northern
District. I agree that mandamus relief should only be granted in unique
situations and must be used “sparingly and with utmost care.” In re Chevron
U.S.A., Inc., 109 F.3d 1016, 1021 (5th Cir. 1997) (Jones, J. concurring). But
this is not simply a case in which reasonable minds can differ over the court’s
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                                  No. 17-10812
finding of waiver. Nor is the irreparable harm alleged by the petitioners simply
the cost of trying and possibly appealing the judgment from another set of
bellwether plaintiffs, although that will be more millions of dollars. See In re
Lloyd’s Register North America, Inc., 780 F.3d 283, 295 (5th Cir. 2015) (when
the issues in mandamus have significant ramifications, the pendency of
another appeal in this court strengthens the case for mandamus relief).
       The Supreme Court has stated that “[t]hese hurdles [to the issuance of
mandamus relief], however demanding, are not insuperable.” Cheney v. U.S.
Dist. Court for D.C., 542 U.S. 367, 381, 124 S. Ct. 2576, 2587 (2004) (granting
writ). There are numerous ongoing ramifications of the court’s erroneous
decision that harm not only these petitioners but, importantly, the plaintiffs in
these 9,000+ cases.
      First, when a court plainly acts in excess of its jurisdiction, mandamus
may issue to prevent the usurpation of power. Abelesz v. OTP Bank, 692 F.3d
638, 653 (7th Cir. 2012) (“If there were a colorable argument supporting the
district court’s exercise of jurisdiction, we would view this case differently. The
overwhelming clarity of this issue, however, calls for use of the extraordinary
writ of mandamus to confine the district court to the proper exercise of its
jurisdiction”); see also In re Impact Absorbent Techs., Inc.,       106 F.3d 400
(6th Cir. 1996) (“[a]lthough uncorrectable damage may not result if petitioners
are forced to wait for a remedy on direct appeal, the clearly erroneous nature
of the district court’s order calls for a more immediate remedy.”); see also Holub
Indust., Inc. v. Wyche, 290 F.2d 852, 856 (4th Cir. 1961). Ordinary appeal can
be an inadequate remedy if the “challenged assumption or denial of
jurisdiction” is “so plainly wrong as to indicate failure to comprehend or refusal
to be guided by unambiguous provisions of a statute or settled common law
doctrine.” Am. Airlines v. Forman, 204 F.2d 230, 232 (3rd Cir. 1953).

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                                   No. 17-10812
         Second, the lack of personal jurisdiction is not the only problem here,
because petitioners’ issues necessarily embrace improper venue. Where there
is no personal jurisdiction over the petitioners, the trial is in an improper
venue. Moreover, petitioners note they never consented to waive venue for any
proceedings beyond the pretrial stage of these cases. The majority’s focus on
the alleged sufficient remedy for lack of jurisdiction in the pending appeal
overlooks that where venue is improper, this court has held that appeal is an
inadequate remedy rendering the grant of mandamus relief mandatory. In re
Volkswagen of Am., Inc., 545 F.3d 304, 319 (5th Cir. 2008) (en banc) (“an appeal
will provide no remedy for a patently erroneous failure to transfer venue”); In
re Ford Motor Co., 591 F.3d 406, 416 (5th Cir. 2009) (same).
         Third, the appellate remedy is inadequate when the error the parties are
subjected to will be repeated. “Mandamus is particularly appropriate here
because of the potential for the trial court to repeat” its error. Journal Pub. Co.
v. Mechem, 801 F.2d 1233, 1237 (10th Cir. 1986) (writ granted). The district
court has misinterpreted the petitioners’ case-specific waivers to hold that it
may potentially try all 9,000+ cases in the Northern District of Texas, no
matter their lack of any connection with this state, much less its district. As
confirmed by plaintiffs’ counsel in oral argument, that is what the court means
by a “global waiver.” Even though a curiously timed late-breaking order of the
trial court states that no further bellwether trials will occur, this does not
signal a retreat from its holding that a “global waiver” occurred. Nor does the
order retreat from the court’s repeated refusals to slow down its processes
while the appeal of jurisdiction in the third bellwether set of cases is taking
place.    Repetition, or surely threatened repetition, of its error, manifestly
deserves correction at the earliest moment.
         Fourth, the appellate remedy is inadequate where the court’s error is
likely to affect cases beyond those before us. “Writs of mandamus are
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                                  No. 17-10812
supervisory in nature and are particularly appropriate when the issues also
have an importance beyond the immediate case.” In re Volkswagen, 545 F.3d
at 319. Such effects are foreordained where the court is managing thousands
of cases and the usual object of MDL management, especially with bellwether
trials, is to incentivize rational settlements. Even though the third and fourth
grouped bellwether cases have been tried without proper venue or jurisdiction,
and the results from an unauthorized forum may be skewed in numerous ways,
their impact on the parties’ settlement approaches cannot be denied. The
pressure to settle will be ongoing until final resolution of an appeal in this court
or even in the Supreme Court. That a court’s patent errors can compound into
unjust settlements is well recognized and has led courts to find mandamus a
necessary remedy even where a possibility of ultimate appellate relief exists.
Abelesz, 692 F.3d at 652–53. The undeniable pressure on defendants to settle
is a reality in these alleged mass tort cases.
      Fifth, the appellate process in both the third and fourth grouped
bellwether cases will extend for several years. Briefing will not even begin
until the end of September 2017 in the third such case. One may reasonably
predict that this court’s processes, even without en banc review, would not
conclude until the end of 2018 at best. The certiorari process would extend for
many months thereafter. Concomitantly, the parties may be pursuing appeal
in the fourth grouped bellwether cases, the subject of this petition, leading to
various potential interactions between the two appeals in this court. Thus, it
is unlikely that the “sufficient” appellate process will have concluded before
2019 or 2020.      Suppose the petitioners, who have allegedly denied any
intention to settle, pursue this lengthy process?        In the meantime, what
happens to the 9,000+ plaintiffs in this litigation that began in 2011?
      The majority’s decision to deny relief overlooks the impact on the
plaintiffs.   If the district court lacked jurisdiction over these direct-filing
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                                  No. 17-10812
plaintiffs’ cases, as our panel majority concludes, they will receive a take-
nothing judgment nearly a decade after their suits were filed and will have to
start all over—if they have the stomach for it. For the remaining thousands,
the goal of the bellwether process will have been perverted by unreliable
judgments, delayed by the appeals, and undermined when those judgments are
reversed. Allowing the court’s conduct of trials outside its jurisdiction to spawn
such unpredictability and unfairness will harm petitioners or plaintiffs and
most likely both. Such an outcome belies the goals of efficiency, economy,
fairness, and predictability for which the MDL system supposedly exists. See
28 U.S.C. § 1407(a) (“[T]ransfers shall be made by the [MDL panel] upon its
determination that transfers for such [pretrial] proceedings…will promote the
just and efficient conduct of such actions”).
      A final word about Judge Costa’s separate opinion. First, we do not owe
“double deference” to the district court even if (and Judge Smith’s opinion takes
no firm position on this) the question of waiver of personal jurisdiction should
be reviewed for abuse of discretion on appeal.          Judge Smith’s opinion
emphasizes that the “mandatory language [of Section 1407] creates a powerful
presumption in favor of remand . . . ,” hence the “clear and unequivocal”
standard for a Lexecon waiver. The record, viewed in its proper context, does
support the wholesale abrogation of petitioners’ remand rights and assumption
of jurisdiction that the district court did not have. Second, mandamus relief
can be justified when courts must address new or evolving legal issues. See,
e.g., United States v. Horn, 29 F.3d 754, 770 (1st Cir. 1994); see also 16 Charles
Alan Wright & Arthur R. Miller, Fed. Prac. & Proc. Juris. Section 3934.1 (3d
Ed. 2004 & Supp. 2017). Finally, for my own part, I am not concerned about
the “centralizing power” inherent in MDL proceedings when they are confined,
as the statute says, to pretrial matters or to bellwether cases to which both
parties have expressly and unequivocally consented. I am even less concerned
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                                 No. 17-10812
about the “centralized power” of federal appellate judges when the downside of
withholding such power, as I have shown, is the district court’s abuse of its
limited jurisdiction, waste of trial resources, huge expenditure of legal
resources on utterly unnecessary jurisdictional wrangling, and ultimately, the
forfeiture of public confidence in a system that can achieve neither efficiency
nor economy in handling mass tort cases.
      The issuance of a writ in this unique case, a “bellwether” for thousands
more, would do what the writ was intended to do—confine the district court to
a lawful exercise of its prescribed jurisdiction. See Cheney, 542 U.S. at 380,
124 S. Ct. at 2576. I respectfully dissent from the denial of relief ordering the
district judge not to try the instant grouped cases over which he lacks personal
jurisdiction.

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