Court Opinion

ID: 9645995
Source: CourtListenerOpinion
Date Created: 2023-08-23 00:00:31.767129+00
Date Added: 2024-06-11T13:11:52.549754
License: Public Domain

Case: 22-30526      Document: 00516867696         Page: 1    Date Filed: 08/22/2023

           United States Court of Appeals
                for the Fifth Circuit                                   United States Court of Appeals
                                                                                 Fifth Circuit

                                 ____________                                  FILED
                                                                         August 22, 2023
                                  No. 22-30526                            Lyle W. Cayce
                                 ____________                                  Clerk

   Ervin Jack, Jr.,

                                                            Plaintiff—Appellant,

                                       versus

   Evonik Corporation, successor in interest to Evonik Materials
   Corporation and Tomah Reserve Incorporated, formerly
   known as Air Products Performance Manufacturing,
   Incorporated, formerly known as Versum Materials
   Performance Manufacturing, Incorporated;
   Shell Oil Company,

                                           Defendants—Appellees.
                  ______________________________

                  Appeal from the United States District Court
                     for the Eastern District of Louisiana
                           USDC No. 2:22-CV-1520
                  ______________________________

   Before Higginbotham, Smith, and Engelhardt, Circuit Judges.
   Jerry E. Smith, Circuit Judge:
          For decades, a facility has allegedly emitted dangerous levels of a
   chemical called Ethylene Oxide (“EtO”). The dangerous properties of the
   chemical were not widely known outside the scientific community, so it was
   not until a local law firm began advertising potential lawsuits that several of
   the neighboring residents became concerned that the diagnoses of cancer that
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   they or their deceased relatives had received resulted from the emissions.
   Fourteen plaintiffs eventually sued. The case was severed, and the instant
   case is the first to reach this court.

                                                  I.
          Ervin Jack, Jr., sued Evonik Corporation, Shell Oil Company, and four
   site managers for damages caused by the emission of EtO from a petrochem-
   ical manufacturing facility (“the Facility”) in Reserve, Louisiana. 1 Jack
   alleges the following facts:
          EtO is a colorless and odorless gas. The Facility uses EtO in its pro-
   cesses and emits levels of it into the air. It has emitted EtO for decades at
   levels harmful to humans and, at least as of at the time of the First Amended
   Complaint, continues to do so. The residents of the surrounding area were
   not informed that the plant was emitting EtO until approximately 2020, nor
   were they aware that EtO was harmful.
          Jack’s house is located 2.7 miles from the Facility. He and his late
   wife, Leander Jack, moved into the house in the 1970s. In 2000, Leander
   died of breast cancer, which Jack did not attribute to the Facility at the time.
   Neither Jack nor his wife had any upper-level education in chemistry and
   “did not know how to research information related to operation of the
   [F]acility even if they wanted to do so.”
          Jack alleges that he first learned of the Facility’s emission of EtO and

          _____________________
          1
             Evonik Corporation currently operates the Facility. According to Jack, Evonik
   Materials Corporation operated it from 2017 to 2019, Versum Materials Performance Man-
   ufacturing, Inc., operated it in 2016, Air Products Performance Manufacturing, Incor-
   porated, operated it from 2007 to 2016, and Tomah Reserve Incorporated operated it from
   1999 to 2007. Because Evonik Corporation is the successor in interest to the non-Shell
   corporations, we refer to them collectively as “Evonik.” Shell was the owner-operator of
   the Facility before Evonik, from 1991 to 1999.

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                                    No. 22-30526

   EtO’s dangerous properties through an April 2020 mailer from Voorhies
   Law Firm, advising that he may have legal rights against the Facility. He sued
   in Louisiana state court within that year. Also that same year, the EPA’s
   Office of Inspector General issued a “Management Alert” asking the EPA to
   inform residents living near facilities that emitted EtO of the EtO emissions
   and the residents’ increased risks of developing cancer from exposure there-
   from. Such notification did not occur until August 2021, when the EPA
   organized a public outreach meeting with the Louisiana Department of Envir-
   onmental Quality (“LDEQ”) to warn the residents of their increased risk of
   cancer from the Facility.
          According to Jack’s complaint, chemical companies first became
   broadly aware of EtO’s harmful properties in 1977 when the National Insti-
   tute of Occupational Safety and Health recommended that EtO be consid-
   ered mutagenic (i.e., capable of causing gene mutations) and carcinogenic.
   EtO was declared a human carcinogen by California in 1987, by the World
   Health Organization in 1994, by the United States Department of Health and
   Human Services in 2000, by the United States National Toxicology Program
   in 2002, and by the EPA in 2007. In 2004, the National Institute identified
   EtO emissions as linked to breast cancer mortality in women. In 2016, the
   EPA increased the cancer risk for EtO to a level 30 times more carcinogenic
   than previously thought, stating that any exposure to EtO creates a risk of
   cancer. In 2014, the National Air Toxics Assessment found that the residents
   surrounding the facility have some of the highest risks of cancer from EtO
   exposure in the United States, with a risk up to eight times what the EPA
   considers acceptable.
          The results of the National Air Toxics Assessment were published in
   2018. During these approximately 40 years, no efforts were made by either
   the Facility or any governmental agency to inform the surrounding residents
   of the Facility’s EtO emissions or their harmful quality.

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           By the time that the Voorhies Law Firm sent its mailers, in 2020,
   advising residents of their potential legal rights against the Facility, much of
   the alleged damage to Jack, his wife, and the thirteen other plaintiffs who
   joined the original suit had already been done. Each of the plaintiffs lived
   near the Facility and had either been diagnosed with cancer or had a spouse
   die of cancer. Together, they sued Evonik and Shell in Louisiana state court.
           Plaintiffs joined four employees of Evonik who were Louisiana resi-
   dents (“the Louisiana defendants”), claiming that they were also personally
   liable. The plaintiffs claimed that all the defendants “have long known of the
   dangerous effects of EtO as a carcinogen and had the ability to protect their
   neighbors by reducing or eliminating their emission of EtO, but instead
   chose, and continue to choose, to emit dangerous levels of EtO in the com-
   munity surrounding the facility in order to maximize their profits without
   ever informing [the residents], or the rest of the surrounding community, of
   the life-threatening effects of the facility’s EtO emissions.” 2
           Defendants removed the case to federal district court. They con-
   tended that the Louisiana defendants were improperly joined, rendering the
   properly joined parties completely diverse and giving the federal district
           _____________________
           2
             The case centers on the theory that although the facility was not emitting levels
   higher than was legally allowed, the levels were still higher than what was considered
   “safe” under EPA guidelines. Separately, Jack alleges that the plant was emitting “fugi-
   tive” emissions (emissions coming from “undetected and unrepaired faulty equipment,
   and other negligence”). He asserts that in 2012 and 2013, nearly 1,950 pounds of EtO were
   released via such fugitive emissions, which is roughly the same amount as the “planned”
   emissions. He maintains that, following “government scrutiny and pressure,” the facility
   reduced unplanned fugitive emissions by 92% from 2014 to 2020, which reduced its overall
   emissions by 50%.
             Jack contends that the amount of emissions is still higher than EPA guidelines dic-
   tate is safe. Jack sues over negligence related to both “controlling planned EtO emissions”
   and “unplanned fugitive emissions.” Importantly, however, at no point does he allege that
   the plaintiffs fraudulently concealed the amount of planned emissions from the LDEQ.

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   court diversity jurisdiction. 3 The district court agreed, denied the plaintiffs’
   motion to remand, and dismissed the claims against the four employees.
           Shell and Evonik moved to dismiss plaintiffs’ remaining claims for
   failure to state a claim. See Fed. R. Civ. P. 12(b)(6). The court granted
   Shell’s motion to dismiss and partially granted Evonik’s motion. The court
   then severed the case into “fourteen distinct civil actions, each with one
   plaintiff,” which were then “randomly allotted to other sections” (meaning
   to other judges) of that court. The plaintiffs were given leave to file amended
   complaints in each individual case, subject to some restrictions.
           Jack filed his First Amended Complaint in June 2022, suing for “[s]ur-
   vival damages for the pain and suffering of Mrs. Jack before her death,”
   “[w]rongful death damages arising from Mrs. Jack’s death,” and “[d]amages
   for the fear and increased likelihood of development of cancer and other fatal
   and debilitating diseases.” The district court granted Shell’s and Evonik’s
   motions to dismiss. The court concluded that all claims predicated on Mrs.
   Jack’s death were time-barred and that Jack had not properly pleaded dam-
   ages for the claims based on his own fear of cancer.
           Jack appeals. He first contests the dismissal of the Louisiana defen-
   dants and requests remand to state court. He next contends that the claims
   based on Mrs. Jack’s death were not time-barred and that the district court
   should have given him leave to amend before dismissing his claims.

                                              II.
           This is a case in diversity, so we apply the substantive law of Louisiana

           _____________________
           3
             Neither Evonik nor Shell is considered a citizen of Louisiana—Evonik is alleged
   to be “a corporation organized under the laws of Alabama with its principal place of busi-
   ness in New Jersey,” and Shell is “a corporation organized under the laws of Delaware with
   its principal place of business in [Texas].”

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   and the procedural rules of the federal courts. 4 Statutes of limitations and
   time bars are considered substantive in this context, 5 so we apply Louisiana
   law.

                                                 III.
           We begin, as we must, by assuring ourselves of federal court jurisdic-
   tion. MCG, Inc. v. Great W. Energy Corp., 896 F.2d 170, 173 (5th Cir. 1990).
   Jack contends that the district court’s finding of improper joinder was error,
   meaning that that court did not have subject matter jurisdiction. We
   disagree—Jack has “no possibility of recovery” against the Louisiana defen-
   dants, so this court properly retains jurisdiction. Smallwood v. Ill. Cent. R.R.
   Co., 385 F.3d 568, 573 (5th Cir. 2004) (en banc).
           Jack joined four employees of Evonik, each of whom is a Louisiana
   resident who has been a site manager of the Facility. Because each employee
   is a citizen of Louisiana, their presence destroys complete diversity. Jurisdic-
   tion thus depends on whether Jack has plausibly pleaded a claim against the
   four Louisiana defendants. 6 On appeal, Jack contends that his claims against
   them for negligence and battery should have survived. But we agree with the
   district court—though “[t]he burden of persuasion placed upon those who
   cry [improper] joinder is indeed a heavy one,” defendants have met it. 7
   Because Jack does not have a plausible cause of action against the Louisiana

           _____________________
           4
          Cates v. Sears, Roebuck & Co., 928 F.2d 679, 687 (5th Cir. 1991); see also Herbert v.
   Wal-Mart Stores, Inc., 911 F.2d 1044, 1047 (5th Cir. 1990) (per curiam).
           5
               Guar. Tr. Co. of N.Y. v. York, 326 U.S. 99, 110–11 (1945).
           6
             The complaint against the original defendants was filed by all plaintiffs jointly,
   but the case was severed, and Jack is plaintiff for this appeal. We therefore look to the
   original pleadings.
           7
               Ford v. Elsbury, 32 F.3d 931, 935 (5th Cir. 1994) (internal quotations removed).

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   defendants, their dismissal was proper, and there is jurisdiction.
          We review motions to remand for lack of subject matter jurisdiction
   predicated on improper joinder de novo. Mumfrey v. CVS Pharmacy, Inc.,
   719 F.3d 392, 401 (5th Cir. 2013). Our review generally mimics the familiar
   “Rule 12(b)(6)-type analysis.” Smallwood, 385 F.3d at 573. As with a motion
   to dismiss, courts ask whether, construing all facts in favor of the plaintiff, he
   has plausibly pleaded a cause of action. Walker v. Beaumont Indep. Sch. Dist.,
   938 F.3d 724, 735 (5th Cir. 2019). And, similarly, a defendant has the heavy
   burden to show “that there is no possibility of recovery by the plaintiff against
   an in-state defendant.” Smallwood, 385 F.3d at 573.
          If the court determines that the complaint has “misstated or omitted
   discrete facts that would determine the propriety of joinder,” it has the dis-
   cretion to “pierce the pleadings and conduct a summary inquiry” to deter-
   mine whether a cause of action could exist. Id. The power is limited—“[d]is-
   covery by the parties should not be allowed except on a tight judicial tether,”
   and the process “should not entail substantial hearings.” Id. at 574. It “is
   appropriate only to identify the presence of discrete and undisputed facts that
   would preclude [the] plaintiff’s recovery against the in-state defendant.” Id.
   at 573–74. That said, “the decision regarding the procedure necessary in a
   given case must lie within the discretion of the trial court.” Id. at 573.

    Negligence
         Jack’s first claim against the Louisiana defendants is for negligence.
   He alleges that they knew or should have known of the harms of EtO, that
   they were in a position either to stop the amount of emissions or, at least, to
   warn the surrounding community, and that they were negligent in their fail-
   ure to do so.
          The district court pierced the pleadings to examine affidavits from
   several of the site managers regarding their roles at the facility, held that there

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   was no possibility of recovery under Louisiana law, and dismissed the claim.
   We agree: Jack has no possibility of recovery against the Louisiana
   defendants.
          Specifically, Jack has not plausibly pleaded a duty that the Louisiana
   defendants violated. Jack’s negligence claim stems from Article 2315 of the
   Louisiana Civil Code, which provides that “[e]very act whatever of man that
   causes damage to another obliges him by whose fault it happened to repair
   it.” 8 There are five elements to a negligence claim: duty, breach, cause in
   fact, legal cause, and damages.          Lemann v. Essen Lane Daiquiris, Inc.,
   923 So. 2d 627, 632–33 (La. 2006). As for duty, the plaintiff must establish
   that the defendant had “a legal duty [to the plaintiff] to protect against the
   particular risk involved.” Hill v. Lundin & Assocs., Inc., 256 So. 2d 620, 622
   (La. 1972) (collecting authorities). “Whether a duty is owed is a question of
   law” for which the court must consider “the unique facts and circumstances
   presented.” Lemann, 923 So. 2d at 633.
          By engaging in the emissions of EtO, the Facility had a duty to the
   surrounding residents to protect them from an unreasonable risk of harm.
   See, e.g., Garrett v. AEP River Operations, LLC, Civ. No. 15-5562, 2016 WL
   945056, at *2 (E.D. La. Mar. 14, 2016). But to hold the Louisiana defendants
   personally liable, Jack must plausibly plead that they personally had a legal
   duty to him. He provides two theories of duty: That the defendants acted
   negligently in their failure to (1) regulate the amount of EtO emissions
   coming from the plant to a safe level or (2) warn the residents of the risk of
   EtO emissions coming from the plant. But if defendants did not have a per-
   sonal duty to undertake either of these actions, then they cannot be held
          _____________________
          8
             Also, under Article 2316 of the Louisiana Civil Code, “[e]very person is re-
   sponsible for the damage he occasions not merely by his act, but by his negligence, his
   imprudence, or his want of skill.”

                                             8
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   personally liable to Jack.
          Jack posits that the duty was delegated to the Louisiana defendants by
   the employer. The Louisiana Supreme Court allows for such a theory of duty
   delegation in limited situations. In Canter v. Koehring Co., 283 So. 2d 716
   (La. 1973), the court held that an employee can be held personally liable to a
   third party when
          1. The principal or employer owes a duty of care to the third
          person . . . breach of which has caused the damage for which
          recovery is sought.
          2. This duty is delegated by the principal or employer to the
          defendant.
          3. The defendant officer, agent, or employee has breached this
          duty through personal (as contrasted with technical or vicari-
          ous) fault. The breach occurs when the defendant has failed to
          discharge the obligation with the degree of care required by or-
          dinary prudence under the same or similar circumstances—
          whether such failure be due to malfeasance, misfeasance, or
          nonfeasance, including when the failure results from not acting
          upon actual knowledge of the risk to others as well as from a lack
          of ordinary care in discovering and avoiding such risk of harm
          which has resulted from the breach of the duty.
          4. With regard to the personal (as contrasted with technical or
          vicarious) fault, personal liability cannot be imposed upon the
          officer, agent, or employee simply because of his general admin-
          istrative responsibility for performance of some function of the
          employment. He must have a personal duty towards the injured
          plaintiff, breach of which specifically has caused the plaintiff’s
          damages.
   Id. at 721–22 (collecting cases).
          Crucially, the delegated duty must be the duty that the plaintiff alleges
   was breached. Without evidence of that delegation, there can be no liability.

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   So Jack must show that the Facility specifically delegated to the Louisiana
   defendants the duty to protect the surrounding residents from unsafe levels
   of EtO or the duty to regulate the emissions of EtO to a safe level. He cannot.
           Each Louisiana defendant served as a site manager of the Facility dur-
   ing the time that allegedly harmful amounts of EtO were emitted. Addition-
   ally, Jack alleges that each manager was designated to the LDEQ as a Permit
   Responsible Official (“PRO”), which required the Louisiana defendants to
   certify the Facility’s permitted operations and emissions of gases such as
   EtO. Jack posits that those two responsibilities, taken together, allow us to
   assume that (1) the Louisiana defendants were delegated “the duty to ensure
   that the operations of the [F]acility did not endanger the neighboring com-
   munity through unsafe operations or dangerous levels of emissions”; (2) had
   the authority to “implement changes to emissions controls and systems nec-
   essary to reduce dangerous emissions of EtO”; (3) had the authority “to take
   steps to protect the community surrounding the [F]acility”; and (4) generally
   had direct responsibility for EtO emissions.
           The Louisiana defendants flatly deny these assumptions, and three
   have provided affidavits. 9 Each claims that his responsibility (with respect to
   EtO) was only to report accurately what was emitted and that he was never
   delegated any “plant modification, inspection or maintenance activities” or
   any duty to protect surrounding residents. In response, Jack contends that in
   this posture, we must construe all assumptions and inferences in his favor.
   That is correct, but in the face of the defendants’ uncontroverted evidence,
   Jack’s proposed inferences are insufficient.

           _____________________
           9
              One of the Louisiana defendants appears never to have been served and did not
   file an affidavit; regardless, Jack’s allegations against him are identical to those against the
   other three and are contingent on the precise job descriptions the others had, and so, like
   the district court, we extend our analysis to him equally.

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            Jack asks us to assume that an individual who was responsible for man-
   aging the Facility and certifying the amount of emissions to the state was spe-
   cifically and personally delegated the responsibility (1) to research the harmful
   effects of EtO above and beyond what was required by the state, (2) to hold a
   facility he is employed by to higher standards than those that were set by his
   employer and the state’s environmental department, and, most illogically,
   (3) to change the plant’s operations to match the employee’s researched, per-
   sonal preferences. That argument lacks merit. Jack contends that Davis v.
   Omega Refining, LLC, No. 15-518, 2015 WL 3650832 (E.D. La. June 11,
   2015), supports his claim. Jack is wrong—in fact, Davis highlights his mis-
   conception of duty.
            Davis involved a toxic-tort claim arising from the operation of an oil
   recycling plant. The plaintiffs, residents of the surrounding area, alleged that
   the facility had violated its hourly permit emissions limits, concealed and mis-
   represented information to the LDEQ, neglected to disclose an un-permitted
   point-source altogether, and failed to prevent plant breakdowns. The plain-
   tiffs joined defendant Stacey Lucas, the plant manager, who provided deposi-
   tion testimony that appears to have been very similar in substance to the
   affidavits submitted by the instant Louisiana defendants. Lucas was also a
   PRO with the authority to certify emissions and testified that “she was a liai-
   son for the plant with the [LDEQ],” but that she was not responsible for
   “inspecting, maintaining, repairing, or operating any equipment in the
   plant.” Id. at *4. Jack cites the case favorably because the court found that
   Lucas could be properly joined. See id. at *5. But plaintiffs miss the point of
   Davis.
            Davis alleged liability based on a breach of the duty to report emissions
   levels accurately —the suit alleged that the emissions levels were fraud-
   ulently reported and that the fraudulent reporting was the cause of plaintiffs’
   injuries. Lucas was specifically delegated the responsibility to report. Id.

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   That duty—and breach—match, so the plaintiffs had a plausible cause of
   action against Lucas.
           In Jack’s case, the plant managers were delegated the responsibility to
   keep the site running and to accurately report the amount of emissions to the
   LDEQ. The suit alleges that even though the amount of emissions was
   accurately reported, the EtO level was higher than was safe. That alleged
   breach does not match the plant managers’ duty. Because Jack has not plaus-
   ibly pleaded a duty owed to him by the Louisiana defendants, his negligence
   claim has “no possibility of recovery.” Smallwood, 385 F.3d at 573.
           Taking another tack, Jack contends that we cannot consider the affi-
   davits of the site managers and must rely solely on the pleadings. That is
   inaccurate. Jack’s argument takes two forms: first, that we cannot consider
   the affidavits at all because what duty was delegated is not a “discrete” fact,
   and, second, that even if we can consider the affidavits, we should not be
   persuaded by them, because they are not “undisputed.” See Smallwood,
   385 F.3d at 573. We take the contentions in turn.
           First, Jack alleges that whether the defendants worked at the plant
   would be a discrete fact, but what duties they were delegated is not. He then
   cites four cases in which courts pierced the pleadings on allegedly more “dis-
   crete” issues. 10 But, strangely, Jack ignores the plethora of cases cited in his
   own brief in which the court pierced the pleadings to examine affidavits on

           _____________________
           10
              Bureau v. BASF Corp., Civ. Ac. No. 21-324, 2022 WL 807372, at *5 (M.D. La.
   Jan. 3, 2022) (piercing the pleadings to determine whether the defendant was a plant man-
   ager); Sanders v. Nexion Health at Minden, Inc., No. 18-CV-0263, 2018 WL 10517162, at *4
   (W.D. La. May 29, 2018) (same to determine whether the defendant purchased a certain
   company); Finkelman v. Liberty Mut. Fire Ins. Co, Civ. Ac. No. H-09-3855, 2010 WL
   11582933, at *7–8 (S.D. Tex. Feb. 4, 2010) (whether the defendant was the individual
   assigned to plaintiff’s claim).

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   exactly the issue of delegated duty under Canter. 11 And in the face of those
   many examples—including a published opinion from the Fifth Circuit—Jack
   has failed to provide any case in which the court declined to pierce the plead-
   ings in a similar situation. We agree with the cases that Jack forgets: What
   duties an employee was delegated by his employer can be a discrete fact that
   a court may properly pierce the pleadings to examine.
           Jack next contends that we cannot consider the affidavits because he
   disputes the allegations. Specifically, he claims that we should ignore the
   defendants’ statements that they were never delegated the duties that Jack
   claims they were because Jack has said the opposite. We disagree. Once the
   court decides to pierce the pleadings, it embarks on a summary inquiry, not a
   Rule 12(b)(6) analysis. 12 All the cases that Jack cites confirm that.
           Consider Ford v. Elsbury. There, the plaintiff brought a negligence
   claim against a fertilizer plant for injuries caused by the urea reactor’s explo-
   sion and joined the plant manager, Ernie Elsbury, as a defendant. 32 F.3d
   at 933. Elsbury alleged, by affidavit, that he had no duty to ensure the
   “safety, maintenance and operations” of the urea reactor because that duty
   had been delegated to “properly trained and qualified supervisors.” Id.
           _____________________
           11
              Every one of the following cases is cited in Jack’s brief and involves a court’s
   piercing the pleadings to examine an affidavit or other evidence proffered by the employee
   regarding whether a given duty was delegated for purposes of Canter liability: Davis, 2015
   WL 3650832, at*4; Bryant v. Exxon Mobil Corp., Civ. Ac. No. 10-532, 2011 WL 3163147,
   at *5 (M.D. La. May 19, 2011), report and recommendation adopted, 2011 WL 3207817 (M.D.
   La. July 26, 2011); Caire v. Murphy Oil USA, Inc., Civ. Ac. No. 13-4765, 2013 WL 5350615,
   at *3 (E.D. La. Sept. 13, 2013); Ford, 32 F.3d at 938–39; Gulotta v. Dow Chem. Co., Civ. Ac.
   No. 05-370, 2006 WL 8433368, at *4–5 (M.D. La. Feb. 9, 2006); Anderson v. Ga. Gulf Lake
   Charles, LLC, 342 F. App’x 911, 917–18 (5th Cir. 2009); Hayden v. Phillips Petroleum Co.,
   788 F. Supp. 285, 287 (E.D. La. Mar. 5, 1992); Garrett, 2016 WL 945056, at *3.
           12
              See Int’l Energy Ventures Mgmt., LLC v. United Energy Grp., LLC, 818 F.3d 193,
   207 (5th Cir. 2016) (“Certainly a court may choose to use either one of these two analyses,
   but it must use one and only one of them, not neither or both”).

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   at 936, 938. The district court pierced the pleadings to consider the affidavits
   but found that Elsbury could be properly joined because plaintiffs submitted
   direct evidence contradicting Elsbury’s statement. 13
           Similarly, in Garrett, the plaintiffs sued the operators of a shipyard
   because of damages from toxic fumes and “paint and sandblasting residue.”
   2016 WL 945056, at *1. They alleged that the workers were not using proper
   protective coverings. They joined Stephen Barrios, the shipyard supervisor,
   as a defendant, asserting that he “owed plaintiffs a duty to ensure that the
   shipyard’s operations were conducted safely and would not expose plaintiffs
   to an unreasonable risk of harm.” Id. at *2. Barrios submitted a sworn dec-
   laration stating that he had no such duty. But the plaintiffs submitted an
   email exchange between Barrios and the LDEQ in which Barrios stated that
   he did have that duty. On that basis, the court found a factual dispute and
   ruled that Barrios could be properly joined.
           In both of those cases, the fact was considered “disputed” because
   there was evidence pointing both ways. That did not occur here—Jack has
   done no more than provide the defendants’ general job descriptions and
   asked us to assume that because they had one duty, they must have had
   another. That we cannot do. Where the evidence supports one theory of
   events, we are entitled to adopt that theory as true in this summary inves-

           _____________________
           13
              Plaintiffs submitted an affidavit of an employee who alleged that he had known
   “the reactor was leaking, . . . complained to Elsbury about having to work in an unsafe area,
   and that Elsbury told him: ‘Sometimes you have to overlook safety to get the job done.’”
   Ford, 32 F.3d at 939. They also submitted an affidavit of an employee who “stated that a
   leak was found in May of 1992, that his supervisor ordered the plant slowed down, and that
   the urea superintendent went into Elsbury’s office and then returned to direct the plant
   back to full production.” Id. Elsbury also “admitted that he had authority to shut the plant
   down for safety reasons” and “that he would expect the urea superintendent to report any
   threat to the safety of employees and others.” Id.

                                                14
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                                       No. 22-30526

   tigation, even if Jack states that it is not.
          For example, in Anderson, the plaintiffs sued for personal injuries from
   a plant explosion. They sued several employee-defendants, contending that
   the company “delegated responsibility for operations, maintenance, and
   emergency response activities to each of the Employee-Defendants person-
   ally, and that this delegation created duties of care that were owed individu-
   ally by the Employee-Defendants to the Plaintiffs.” 342 F. App’x at 913–14.
   Again, the employees “submitted affidavits specifically denying that they
   intentionally released toxic chemicals, and stating that various maintenance,
   repair, and safety responsibilities were general administrative responsibilities
   that were properly delegated to qualified individuals within each depart-
   ment.” Id. at 916. There, as here, the plaintiffs thought that the defendants
   had a larger duty, but because the plaintiffs “failed to submit any contradic-
   tory evidence,” the case against the defendants was dismissed. Id.
          In short, Jack has provided no direct evidence to contradict the Loui-
   siana defendants’ sworn testimony that they had no duty to protect the safety
   of residents surrounding the plant or research relevant safety standards for
   EtO emissions. The district court properly pierced the pleadings to consider
   the affidavits, and, finding the testimony undisputed, properly dismissed the
   negligence claims against those defendants.

     Battery
          Jack’s battery claims against the Louisiana defendants also fail. Loui-
   siana law describes battery as “harmful or offensive contact with a person,
   resulting from an act intended to cause the plaintiff to suffer such a contact.”
   Caudle v. Betts, 512 So. 2d 389, 391 (La. 1987) (collecting authorities). That
   act must be intentional. Id. In his original complaint, Jack framed his battery
   claim on the theory that the Louisiana defendants intended for the Facility to
   emit EtO and that they knew it would harm the residents. In his merits brief,

                                             15
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                                         No. 22-30526

   he describes the tort as a failure to protect the residents. Because the Facility,
   not the Louisiana defendants, was responsible for the emissions of EtO,
   Jack’s claim is best read as alleging a theory of “battery-by-omission,” or fail-
   ure to stop a harm.
           The district court noted that there are no Louisiana cases “accepting
   plaintiffs’ theory of battery-by-omission” and that “other states have expli-
   citly held that battery requires an affirmative act; inaction or omissions do
   not suffice.” It concluded that Louisiana law does not recognize battery-by-
   omission. Jack challenges this on appeal, citing a handful of cases that he
   claims support his theory. 14 But those cases are inapposite: They support
   the theory that the company that is directly responsible for emitting toxins can
   be found liable for battery.
           Jack argues that these decisions do not “involve[] the type of ‘affirma-
   tive act’ the district court originally indicated is necessary to state a claim.
   Rather, [they] involve[] allegations of a knowing exposure, an understanding
   on the part of the defendant of a likely substantial harm, and the failure of the
   defendant to protect the plaintiff.” True. But Jack omits the crucial differ-
   ence between those cases and his—in each of his cited cases, the plaintiffs
   sued the facility, which was directly responsible for affirmatively emitting the
   toxins. Jack’s argument is meritless because failure to stop someone else’s
   emission of a toxin is not battery; it would be battery-by-omission. We agree
   with the district court—we do not understand Louisiana law to provide lia-
   bility for battery-by-omission. Thus, Jack’s battery claims fail.

           _____________________
           14
              See Swope v. Columbian Chems. Co., 281 F.3d 185, 195–96 (5th Cir. 2002); Mulkey
   v. Century Indemnity Co., 2017 WL 1378234, *1–3 (La. App. 1 Cir. 4/12/17); Nase v. Teco
   Energy, Inc., 347 F. Supp. 2d 313 (E.D. La. 2004). Nase does involve an intentional tort
   claim against an employee, but it is a claim by one employee against his “safety manager,”
   and is inapposite.

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                                            No. 22-30526

           In conclusion, Jack cannot establish a plausible cause of action against
   the non-diverse defendants, and the district court was correct that they were
   improperly joined.

                                                 IV.
           Satisfied with our jurisdiction, we turn to the merits of Jack’s claims
   against Shell and Evonik. After the case was severed and Jack filed his indi-
   vidual complaint with the district court, Shell and Evonik again moved to
   dismiss the remainder of Jack’s claims. The district court granted the motion
   and dismissed the case with prejudice. On appeal, Jack contests two of the
   district court’s holdings: First, that the claims predicated on his wife’s death
   were time-barred, and second, that Jack should be denied leave to amend the
   claims based on his own emotional harm. We take each in turn.

                                                 A.
           Jack’s wife, Leander, died of breast cancer in 2000. The district court
   dismissed the claims predicated on her death as time-barred.
           We review a district court’s grant of a motion to dismiss de novo. 15 To
   survive a motion to dismiss, the plaintiff’s complaint must “contain suffici-
   ent factual matter, accepted as true, to ‘state a claim to relief that is plausible
   on its face.’” 16 At this stage, “[w]e accept all well-pled facts as true, con-
   struing all reasonable inferences in the complaint in the light most favorable
   to the plaintiff.” 17         But “conclusory allegations, unwarranted factual

           _____________________
           15
                Lampton v. Diaz, 639 F.3d 223, 225 (5th Cir. 2011).
           16
             Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009) (quoting Bell Atl. Corp. v. Twombly,
   550 U.S. 544, 570 (2007)).
           17
             White v. U.S. Corr., L.L.C., 996 F.3d 302, 306–07 (5th Cir. 2021) (citing Heinze
   v. Tesco Corp., 971 F.3d 475, 479 (5th Cir. 2020)).

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                                              No. 22-30526

   inferences, or legal conclusions” are not accepted as true. 18
           The prescriptive period for Jack’s survival action and wrongful death
   claims is one year. See La. Civ. Code Ann. art. 2315.1(A) (survival ac-
   tions); 2315.2(B) (wrongful death). Jack sued in 2021, but Leander died in
   2000, and her diagnosis occurred before that. Therefore, her diagnosis pre-
   dated the April 26, 2020 cutoff required to render this suit timely.
           Jack counters that contra non valentem, a fixture of Louisiana law that
   can prevent the running of prescriptive periods, renders his suit timely. Spe-
   cifically, he claims that he had no way of knowing that (1) the Facility was
   emitting EtO, (2) EtO is carcinogenic, and (3) those emissions were a poten-
   tial cause of his wife’s death until he was made aware by the Voorhies Law
   Firm’s mailing. Contra non valentem pauses prescriptive periods “where the
   cause of action is not known or reasonably knowable by the plaintiff, even
   though his ignorance is not induced by the defendant.” 19 “The question is
   whether, in light of plaintiff’s own information and the diagnoses he received,
   the plaintiff was reasonable to delay in filing suit.” 20 The burden is on Jack to
   show that contra non valentem applies. 21
           Contra non valentem ends (and prescription commences) when the
   reasonable person has actual or constructive knowledge of the facts making
   him a victim of a tort. “Constructive knowledge is whatever notice is enough
   to excite attention and put the injured party on guard and call for inquiry.
           _____________________
           18
              Plotkin v. IP Axess Inc., 407 F.3d 690, 696 (5th Cir. 2005) (citing Southland Sec.
   Corp. v. INSpire Ins. Sols., Inc., 365 F.3d 353, 361 (5th Cir. 2004)).
           19
                Tenorio v. Exxon Mobil Corp., 14-814, p. 9 (La. App. 5 Cir. 4/15/15), 170 So. 3d
   269, 275.
           20
            Guerin v. Travelers Indem. Co., 2019-0861, p. 6 (La. App. 1 Cir. 2/21/20),
   296 So. 3d 625, 629; see also Cole v. Celotex Corp., 620 So. 2d 1154, 1157 (La. 1993).
           21
                Tenorio, 170 So. 3d at 273.

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                                           No. 22-30526

   Such notice is tantamount to knowledge or notice of everything to which a
   reasonable inquiry may lead.” 22 What is reasonable is informed by the plain-
   tiff’s own attributes and circumstances: We ask whether the plaintiff’s action
   or inaction was reasonable “in light of his education, intelligence, and the
   nature of the defendant’s conduct.” 23 Further, “[a] party’s pleadings are to
   be so construed as to do substantial justice.” 24
           The parties posit that there are two questions relevant to this inquiry:
   First, was it reasonable for Jack to fail to ask what caused his wife’s breast
   cancer, and, second, if Jack had asked, would a reasonable inquiry have led to
   the facts that made him the victim of a tort?
           The district court does not seem to have directly considered whether
   Jack could have discovered the tortious activity if he had inquired—instead,
   the court held that a reasonable person would have asked what caused the
   breast cancer, and thus, regardless of where the inquiry would have led, Jack
   was unreasonable and contra non valentem did not apply. But whether that
   theory—that prescription begins when one unreasonably fails to investigate,
   despite whether the tortious activity is actually knowable—is correct under
   Louisiana law is a matter of first impression.
           In fact, the many district court judges considering the claims of plain-
   tiffs who were severed in the instant case have fractured on that precise
   issue. 25 Most of the cases interpreting contra non valentem can be read either

           _____________________
           22
                Campo v. Correa, 2001–2707, pp. 11–12 (La. 6/21/02), 828 So. 2d 502, 510–11.
           23
              Marin v. Exxon Mobil Corp., 2009-2368, p. 15 (La. 10/19/10), 48 So. 3d 234, 246;
   see also Griffin v. Kinberger, 507 So. 2d 821, 823–24 (La. 1987).
           24
             Henson v. St. Paul Fire & Marine Ins. Co., 363 So. 2d 711, 713 (La. 1978) (collecting
   authorities) (applying contra non valentem).
           25
             Compare Fortado v. Evonik Corp., Civ. No. 22-1518, 2022 WL 4448230, at *4–8
   (E.D. La. Sept. 23, 2022) (Milazzo, J.) (applying contra non valentem); Jones v. Evonik Corp.,

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                                         No. 22-30526

   way—for example, Jenkins v. Bristol-Myers Squibb Co. seems to suggest that
   the entirety of contra non valentem is based on the plaintiff’s actions, but later
   clarifies that “[t]olling pursuant to contra non valentem ends, and the pre-
   scriptive period begins, on ‘the date the injured party discovers or should
   have discovered the facts upon which his cause of action is based.’”
   689 F. App’x 793, 796 (5th Cir. 2017) (per curiam) (quoting Eastin v. Entergy
   Corp., 2003-1030, p. 7 (La. 02/06/04), 865 So. 2d 49, 55). Similarly, Cole
   states that “[w]hen prescription begins to run depends on the reasonableness
   of the plaintiff’s action or inaction,” 620 So. 2d at 1157 (quoting Jordan v.
   Employee Transfer Corp., 509 So. 2d 420, 423 (La. 1987)), but also that “contra
   non valentem [applies] where the cause of action is not known or reasonably
   knowable by the plaintiff,” id. at 1156. As the district court held in Fortado
   (another one of the severed cases), the decisions that most strongly support
   the theory that prescription commences when a plaintiff fails to inquire fol-
   lowing a diagnosis are all instances in which “the court found that an inquiry
   following a diagnosis would not have been futile. Accordingly, those diagnoses
   served as constructive notice, but the courts said nothing of them necessarily
   serving as notice simply by virtue of being diagnoses.” 26
           We need not answer what would have happened if Jack had acted
           _____________________
   620 F. Supp. 3d 508, 516–19 (E.D. La. 2022) (Africk, J.) (applying contra non valentem);
   LeBouef v. Evonik Corp., 620 F. Supp. 3d 463, 467–70 (E.D. La. 2022) (Barbier, J.) (applying
   contra non valentem because plaintiff asked); Lumar v. Evonik Corp., Civ. No. 22-1524, 2022
   WL 3924299, at *2 (E.D. La. Aug. 31, 2022) (Zainey, J.) (applying contra non valentem),
   with Joseph v. Evonik Corp., Civ. No. 22-1530, 2022 WL 16712888, at *4–7 (E.D. La. Nov. 4,
   2022) (Vance, J.) (denying contra non valentem); Villa v. Evonik Corp., Civ. No. 22-1529,
   2022 WL 3285111, at *2 (E.D. La. Aug. 11, 2022) (Ashe, J.) (denying contra non valentem);
   Moore v. Evonik Corp., Civ. No. 22-1525, 2022 WL 3280123, at *2 (E.D. La. Aug 11, 2022)
   (Ashe, J.) (denying contra non valentem).
           26
              2022 WL 4448230, at *7 (citing Tenorio, 170 So. 3d 269; Lennie v. Exxon Mobile
   Corp., 17-204 (La. App. 5 Cir. 6/27/18) 251 So. 3d 637; Guerin, 296 So. 3d 625; Butler v.
   Denka Performance Elastomer, LLC, 16 F.4th 427, 439–40 (5th Cir. 2021)).

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                                           No. 22-30526

   unreasonably, however, because we hold that Jack did not act unreasonably
   when he failed to inquire further into the cause of his wife’s breast cancer. 27
   The question is whether a reasonable man with Jack’s education and experi-
   ence should have suspected —without any indication to the contrary—that
   the cause was something out of the ordinary. Under the specific facts of this
   case, the answer is no.
            The doctrine of contra non valentem does not allow us to put ourselves,
   with the benefit of all our information and hindsight, into Jack’s shoes. Nor
   does it permit us to opine as to whether a fictional and infallible “reasonable
   person” would have asked follow-up questions. Jack, who had no connec-
   tions to the plant, had lived in the same small town all his life, was computer
   illiterate, and had no medical training, cannot be expected to hunt down
   answers to a problem when there was absolutely no suggestion, at the time of
   the diagnosis, that any out-of-the-ordinary problem existed.
           Furthermore, breast cancer is an exceedingly common diagnosis. 28
   Unlike asbestois or multiple myeloma, it generally has a mundane cause 29 and
           _____________________
           27
              That said, the most natural reading of contra non valentem is that prescription
   cannot commence until the landscape is such that a reasonable inquiry could have put the
   plaintiff on actual or constructive notice of the tortious activity. Under this conception,
   what the plaintiff actually did is but a red herring: If the facts are not capable of discovery,
   then the claim cannot be time-barred. We find the reasoning of Jones, 620 F. App’x at 518,
   persuasive: “[E]ven if plaintiff’s diagnosis triggered a duty to inquire further, the Court
   can only deem plaintiff to know what a reasonable inquiry would have revealed.”
           28
               Indeed, the average American woman has a 13% chance of developing breast can-
   cer. It is the most common cancer in women. Key Statistics for Breast Cancer, Am. Can-
   cer Soc’y, https://www.cancer.org/cancer/types/breast-cancer/about/how-common-
   is-breast-cancer.html (Jan. 12, 2023).
           29
              The CDC states that “the main factors that influence your risk [for breast can-
   cer] include being a woman and getting older.” What Are the Risk Factors for Breast Cancer?,
   CDC, https://www.cdc.gov/cancer/breast/basic_info/risk_factors.htm (July 25, 2023) .
   The American Cancer Society lists breast cancer as the most common cancer in women in
   the United States and as the second leading cause of cancer death in women. See Am.

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   is not the kind of diagnosis that puts one on notice of problems in and of
   itself. 30 And a man who does not work for an allegedly tortious employer
   cannot be held, with nothing more, to be suspicious of invisible and unknown
   emissions of surrounding companies or to embark independently on an
   investigation of the inner workings of an otherwise ordinary plant. 31 We
   reverse and remand this claim to the district court for further factual devel-
   opment as to when Jack reasonably could have discovered the allegedly tor-
   tious cause of his wife’s diagnosis and death. 32

                                               B.
           Next, we reach Jack’s assertion of “fear and increased likelihood of
   development of cancer and other fatal and debilitating diseases” caused by
   defendants’ allegedly negligent emissions of EtO. The district court dis-
   missed those claims (both for negligence and nuisance) per defendants’
   motions to dismiss and denied Jack leave to amend. But Jack alleges that the
   district court did not give him proper notice or opportunity to amend. On
   appeal, Jack challenges only the denial of leave to amend, not the actual
   dismissal. 33

           _____________________
   Cancer Soc’y, supra note 28.
           30
              In Cole, a plaintiff who was an employee of the defendant was diagnosed with
   pleurisy and early pneumonia in 1955 but was not charged with constructive notice of his
   asbestos exposure at work until 1979, when he was diagnosed with asbestosis. 620 So. 2d
   at 1156–58 (La. 1993).
           31
              Cf. Guerin, 296 So. 3d at 631 (holding that an employee diagnosed with multiple
   myeloma was on constructive notice at the time of diagnosis); Tenorio, 170 So. 3d at 275
   (finding the same for an employee diagnosed with throat cancer); Lennie, 251 So. 3d at 648
   (finding the same for an employee diagnosed with lung cancer).
           32
             This conclusion is merely that the diagnosis alone did not put Jack on notice of
   the tort. We take no position on the ultimate outcome.
           33
             Jack does not appeal the holding that neither contra non valentem nor the
   continuing-tort doctrine applies to his claims against Shell; he therefore appeals only the

                                               22
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                                         No. 22-30526

   Negligence
           Under Louisiana law, there are five elements to a negligence claim:
   duty, breach, causation in fact, causation in law, and damages. Lemann,
   923 So. 2d at 632–33. Evonik moved to dismiss Jack’s negligence claim,
   alleging that he had failed to plead a duty or breach of a duty. The district
   court disagreed, citing a sister case to Jack’s. LeBouef, 620 F. Supp. 3d
   at 470–74. But the district court did dismiss the claim, holding instead that
   Jack had failed properly to plead damages. The court then denied leave to
   amend.
           We review denials of leave to amend a complaint for abuse of discre-
   tion. Lowrey v. Tex. A & M Univ. Sys., 117 F.3d 242, 245 (5th Cir. 1997). That
   discretion, however, is bounded by Federal Rule of Civil Procedure 15(a)(2),
   which provides that “[t]he court should freely give leave [for a party to
   amend] when justice so requires.” “[O]utright refusal to grant the leave
   without any justifying reason appearing for the denial” is an abuse of discre-
   tion. 34 There are five factors for a district court to consider: (1) undue delay;
   (2) bad faith or dilatory motive on the part of the movant; (3) repeated failure
   to cure deficiencies by amendments previously allowed; (4) undue prejudice
   to the opposing party by allowing the amendment, and (5) futility of amend-
   ment. Smith v. EMS Corp., 393 F.3d 590, 595 (5th Cir. 2004) (citing Rosen-
   zweig v. Azurix Corp., 332 F.3d 854, 864 (5th Cir. 2003)). If none of those
   factors is present, “the leave sought should be ‘freely given.’” Id. (quoting
   Foman, 371 U.S. at 182).
           The district court gave no reason for dismissing Jack’s claim with pre-
           _____________________
   dismissal of those claims against Evonik.
           34
              Foman v. Davis, 371 U.S. 178, 182 (1962); see also Rolf v. City of San Antonio,
   77 F.3d 823, 828–29 (5th Cir. 1996); Halbert v. City of Sherman, 33 F.3d 526, 529–30 (5th
   Cir. 1994); Conti v. Sanko S.S. Co., 912 F.2d 816, 818–19 (5th Cir. 1990).

                                               23
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                                          No. 22-30526

   judice. But we can still affirm if there is a “justifying reason appearing” in
   the record. Foman, 371 U.S. at 182. The defendants contend that Jack has
   been given three chances to show damages and each time has failed to do so.
   Thus, they claim, the district court was perfectly in its right to dismiss for
   Foman’s reason number 3: “repeated failure to cure deficiencies by previous
   amendments.” Smith, 393 F.3d at 595. But that contention is thwarted by
   the district court’s peculiar dismissal: Jack was not put on notice that the
   damages element of his pleading was deficient until the very moment it was
   dismissed.
          Jack first filed his complaint in the mass action. The district court dis-
   missed the claim and allowed Jack leave to amend to address “specific facts
   supporting the application of contra non valentem” and “the duty allegedly
   breached by these defendants, thereby supporting claims for general negli-
   gence.” The court did not identify any issues with the damages element.
          Next, Jack filed his amended complaint. The defendants moved to
   dismiss again—but nowhere in their motion did they claim that Jack had
   inadequately pleaded damages. Defendants now claim that Jack’s failure, in
   his response brief, to explain how he could have more specifically pleaded
   damages indicates that he could not have done so. That reasoning amounts
   to faulting Jack for not being clairvoyant—why would a party add more detail
   to an allegation when, despite several motions to dismiss, no one has found it
   deficient?
          Normally, a plaintiff should be afforded at least one chance to remedy
   all identified flaws in his pleadings. That did not occur, so the dismissal with
   prejudice was error. Plaintiffs should usually be able to amend at least once,
   because “fairness requires” it. 35 This is not a situation in which leave to

          _____________________
          35
               Century Sur. Co. Blevins, 799 F.3d 366, 372 (5th Cir. 2015) (citing Jacquez v.

                                               24
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                                           No. 22-30526

   amend would have been futile. Before dismissing Jack’s claim, the district
   court held that all elements of his claim—save damages—were plausibly
   pleaded. Thus, if Jack can plausibly plead damages, his claim should survive
   a motion to dismiss.
           Jack’s negligence claim was premised on his “fear and increased likeli-
   hood of development of cancer and other fatal and debilitating diseases.”
   Those are purely emotional damages. In Louisiana, plaintiffs can recover for
   mental anguish alone (without a physical injury) if there are “special situa-
   tions” that make it especially likely that an ordinary person would experience
   mental anguish. The plaintiff must show an “especial likelihood of genuine
   and serious mental distress, arising from the special circumstances, which
   serves as a guarantee that the claim is not spurious.” 36
           Identifying those special circumstances can be difficult. In one state
   appellate case, the plaintiffs could recover when “the record establishe[d]
   that all eight of the plaintiffs sustained a lifetime exposure to the various
   radioactive isotopes in excess of 10 rems and that there [was] no doubt
   according to the medical experts that a dose in excess of 10 rems results in a
   risk of developing cancer,” and plaintiffs testified to specific mental and
   physical distress such as rashes and high blood pressure. Lester v. Exxon Mobil
   Corp., 2012-1709, pp. 11–13 (La. App. 4 Cir. 6/26/13), 120 So. 3d 767, 776–
   77. The district court, relying on a now-overturned Louisiana appellate deci-
   sion, summarized some of those circumstances as “[p]roximity to the event,

           _____________________
   Procunier, 801 F.2d 789, 792 (5th Cir. 1986)); cf. Davoodi v. Austin Indep. Sch. Dist., 755 F.3d
   307, 311 (5th Cir. 2014) (stressing the importance of providing notice and an opportunity
   to be heard to a plaintiff before dismissal).
           36
             Bonette v. Conoco, Inc., 2001-2767, p. 23 (La. 1/28/03), 837 So. 2d 1219, 1235
   (quoting Moresi v. State ex rel. Dep’t of Wildlife & Fisheries, 567 So. 2d 1081, 1096
   (La. 1990)).

                                                 25
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                                    No. 22-30526

   witnessing injury to others, and contemporaneous reports from reliable
   sources that danger is real.” See Spencer v. Valero Ref. Meraux, LLC.,
   No. 2021-0383, 2022 WL 305319, at *7 (La. App. 4 Cir. 2/2/22).
          Since the district court ruled in Jack’s case, Spencer has been over-
   turned by the Louisiana Supreme Court, which clarified what is needed to
   make out damages in a negligence claim predicated on pure mental anguish:
          The plaintiff’s mental disturbance must be “serious.” Evi-
          dence of generalized fear or evidence of mere inconvenience is
          insufficient. Evidence of medical treatment is not required, nor
          is expert medical testimony; however, a plaintiff bears the bur-
          den of presenting sufficient evidence of the nature and extent
          of the mental anguish suffered that was caused by the defen-
          dant’s conduct. Whether the mental distress is “serious” is a
          matter of proof. Finally, we reiterate that these guidelines must
          be applied with the policy considerations discussed herein.
   Spencer v. Valero Refin. Meraux, L.L.C., 2022-00469, p. 16 (La. 1/27/23), 356
   So. 3d 936, 950 (citations omitted). There was no need to show “severe,
   debilitating emotional distress” or that the defendant’s conduct was “out-
   rageous,” but “public policy considerations require reasonable limits on
   recovery for negligent infliction of emotional distress.” Id. at 946. The plain-
   tiffs were not allowed recovery where they had witnessed an explosion, but
   the explosion had caused no release of “significant levels of chemicals” and
   no one whom plaintiffs knew was injured. Id. at 941, 951.
          But Jack experienced both of those things: He knows that he has
   suffered significant levels of toxic emissions for decades, and his wife died of
   cancer allegedly caused by those toxins. He has cited numerous studies
   showing his significantly increased risk of cancer from living within three
   miles of the Facility for several decades and alleges that his risk is more than
   eight times what the EPA deems acceptable. A reasonable factfinder could
   decide that those are special circumstances that establish damages for mental

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                                      No. 22-30526

   anguish without physical injury.
          Pure mental-anguish cases like these are unique—“no one fact, or lack
   thereof, necessarily entitles a plaintiff to a recovery, nor does it preclude
   recovery.” Spencer, 356 So. 3d at 949. Yet the district court dismissed Jack’s
   claim—without notice or leave to amend—because he “fail[ed] to plead any
   facts, let alone sufficient facts, about how his fear of cancer and other diseases
   has manifested itself . . . . Plaintiff has not alleged that he suffers panic
   attacks, high blood pressure, rashes, or any other manifestations of his fear.”
          On this record, there is no way to know that Jack could not provide
   such proof, nor is it clear that the lack of such proof would be legally disposi-
   tive. Therefore, it cannot have been a reason to deny Jack leave to amend.
   None of the other Foman factors—undue delay, bad faith or dilatory motive,
   or undue prejudice to the opposing party—is at issue here. See 371 U.S.
   at 182. The dismissal without leave to amend was thus an abuse of discretion
   and is vacated.
   Nuisance
          Jack pleaded a nuisance claim under Louisiana’s vicinage articles.
   La. Civ. Code Ann. art. 667. Before the case was severed, defendants
   moved to dismiss, but unlike as for the negligence claim, the court did not
   grant the motion. The defendants again moved to dismiss the nuisance claim
   after the case was severed. At that point, the court did dismiss with preju-
   dice. But as with the negligence claim, there is no evidence of Jack’s
   “repeated failure to cure deficiencies by previous amendments.” Smith,
   393 F.3d at 595. The district court dismissed the claim because Jack failed to
   show “individualized facts about how the EtO has been a nuisance to him.”
   For similar reasons as above, we disagree that granting leave to amend would
   necessarily be futile. See id. We therefore vacate that denial as well.
                                     * * * * *

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Case: 22-30526     Document: 00516867696           Page: 28   Date Filed: 08/22/2023

                                    No. 22-30526

           The finding of improper joinder is AFFIRMED. The dismissal of
   Jack’s claims predicated on his wife’s death is REVERSED and
   REMANDED. The denial of leave to amend the claims predicated on
   Jack’s emotional injuries, as pleaded against Evonik, is VACATED.
           This matter is REMANDED for proceedings as required. We place
   no limitation on the matters that the conscientious district court may address
   and decide on remand, and we give no indication of what rulings it should
   make.

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