Wilson v. Bradlees ( 1996 )


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  • USCA1 Opinion








    October 11, 1996 UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 95-2293

    ELIZABETH WILSON, INDIVIDUALLY AND AS
    MOTHER AND NEXT FRIEND OF AILSA DeBOLD,

    Plaintiff, Appellant,

    v.

    BRADLEES OF NEW ENGLAND, INC., ET AL.,

    Defendants, Appellees.

    ____________________

    ERRATA SHEET

    The opinion of this Court, issued on September 25, 1996, is
    amended as follows:

    On page 19, 2nd line of last paragraph, replace "court" with
    "Court".











































    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 95-2084

    ROBERT B. GRENIER, ET AL.,

    Plaintiffs, Appellees,

    v.

    VERMONT LOG BUILDINGS, INC., ET AL.,

    Defendants, Third-Party Plaintiffs, Appellants.

    v.

    DAP, INC. and CHAMPION INTERNATIONAL CORP.,

    Third-Party Defendants, Appellees.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Nathaniel M. Gorton, U.S. District Judge] ___________________

    ____________________

    Before

    Torruella, Chief Judge, ___________

    Boudin and Stahl, Circuit Judges. ______________

    ____________________

    Carol A. Griffin with whom Lawrence F. Boyle, W. Joseph Flanagan ________________ __________________ ___________________
    and Morrison, Mahoney & Miller were on brief for appellants. __________________________
    Roger D. Matthews with whom Nick K. Malhotra and Madan and ___________________ __________________ __________
    Madan, P.C. were on brief for appellees DAP, Inc. and Champion ___________
    International Corp.

    ____________________

    September 25, 1996

















    ____________________































































    BOUDIN, Circuit Judge. Joan Grenier suffered from ______________

    chronic gastritis for several years, allegedly in reaction to

    the wood preservative applied to the walls of her log home.

    She and her family sued Vermont Log Buildings, Inc. ("Vermont

    Log"), the manufacturer of their home, claiming negligence,

    breaches of warranty, and violation of Mass. Gen. L. ch.

    93A.1 Vermont Log in turn filed a third-party complaint

    against the alleged manufacturers of the preservative. The

    district court granted summary judgment for the

    manufacturers, rejecting Vermont Log's third-party claims.

    Vermont Log appeals. We affirm.

    Because the case was decided on summary judgment, our

    recitation of the facts is based primarily on the facts as

    alleged. Snow v. Harnischfeger Corp., 12 F.3d 1154, 1157 ____ ___________________

    (1st Cir. 1993), cert. denied, 115 S. Ct. 56 (1994). In ____________

    April 1975, Robert and Joan Grenier purchased the components

    of a log house from an authorized dealer for Vermont Log.

    The logs were shipped to the Greniers' lot in Massachusetts

    and assembled there. The Greniers moved into the house in

    May 1975. Vermont Log had treated the logs with Woodlife, a

    wood preservative containing the active ingredient

    pentachlorophenol.


    ____________________

    1Chapter 93A outlaws "[u]nfair methods of competition
    and unfair or deceptive acts or practices in the conduct of
    any trade or commerce," and permits awards of multiple
    damages and attorneys' fees.

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    In early 1982, Joan Grenier began displaying symptoms of

    gastritis, and continued to suffer intermittent stomach and

    back pain for several years. A doctor who examined her in

    April 1987 suspected that her condition was caused by wood

    preservative in the logs of the Greniers' cabin. Later tests

    revealed an elevated level of pentachlorophenol in her body.

    When she moved out of the house, her level of

    pentachlorophenol dropped and her symptoms abated.

    At the time the Greniers bought their cabin, Woodlife

    was registered as a pesticide as required by the Federal

    Insecticide, Fungicide, and Rodenticide Act ("FIFRA"), 7

    U.S.C. 136-136y. FIFRA is one of a family of federal

    regulatory statutes that are concerned with health, safety

    and (in this case) the environment. Two of its main

    components are a requirement of prior approval of the product

    by the Environment Protection Agency, 7 U.S.C. 136a(a), and

    of EPA approval of the labeling supplied with the product,

    id. 136a(c)(1)(C). ___

    In early 1975, the Woodlife labeling, which EPA had

    approved, warned that the product was toxic and was not "for

    use or storage in or around the home." The labeling also

    included a section describing the uses of the product:

    "PRODUCT USES: Millwork, shingles, siding, structural lumber,

    fences, trellises, outside furniture, vacation homes, all

    lumber and wood products." On September 26, 1975, the EPA



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    approved a modified label for Woodlife. On the new labeling,

    the section listing product uses no longer included "vacation

    homes" as a use and added a further warning: "Do not use on

    interior surfaces which are not to be finished."

    The Greniers filed suit in 1990 against Vermont Log and

    two allegedly related corporate entities (collectively,

    "Vermont Log"), alleging that pentachlorophenol used in the

    log home caused Joan Grenier's illness. The claims as

    ultimately amended comprised ten different counts, including

    bare bones claims for express and implied warranty breach,

    for negligence in design, manufacture and failure to warn,

    and under chapter 93A. Joan Grenier sought damages for her

    injuries; her husband and the Greniers' three children

    claimed loss of consortium.

    In 1991, Vermont Log filed a third-party complaint

    against DAP, Inc. and Roberts Consolidated Industries, the

    alleged manufacturers, sellers, and distributors of Woodlife.

    Thereafter, Champion International, Inc., was added as a

    third-party defendant (Roberts was later dropped from the

    case by agreement). As amended, Vermont Log's third-party

    complaint asserted claims for contribution under Mass. Gen.

    L. ch. 231B based on negligence by the manufacturers of

    Woodlife, and claims for breaches of warranty by those

    manufacturers.





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    In August 1991, DAP and Roberts removed the action on

    diversity grounds to federal district court where it was

    assigned to Judge Zobel. In due course, Vermont Log and the

    third-party defendants moved for summary judgment on the

    Greniers' claims on the grounds that they were barred by the

    statute of limitations and that they were preempted by FIFRA.

    On November 4, 1992, Judge Zobel ruled that Joan and Robert

    Grenier's warranty and negligence claims were barred by the

    statute of limitations, but that their chapter 93A claims

    were timely under its longer limitations period. She also

    held that none of the children's claims for loss of

    consortium was barred, since the statute of limitations was

    tolled during their minority.

    Judge Zobel further held that Vermont Log could seek

    contribution from DAP and Champion (for convenience we refer

    to them hereafter as "the Woodlife manufacturers"); but she

    ruled that Vermont Log could not obtain indemnification

    because by selling the logs to the Greniers Vermont Log

    participated in the conduct that allegedly damaged the

    Greniers. Finally, Judge Zobel concluded that under

    Wisconsin Pub. Intervenor v. Mortier, 501 U.S. 597 (1991), __________________________ _______

    none of the claims was preempted by FIFRA.

    After Judge Zobel's November 1992 ruling, the case was

    reassigned to newly appointed Judge Gorton. In May 1993, the

    Woodlife manufacturers filed new motions for summary



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    judgment, this time against Vermont Log; they argued (based

    on intervening case law) that FIFRA preempted all of Vermont

    Log's remaining claims against them. Then-Magistrate Judge

    Ponsor, to whom the case had been referred, held a hearing on

    the motion in September 1993.

    In July 1994, Judge Ponsor, having recently been

    appointed a district judge, relinquished jurisdiction in this

    case. At the same time he issued a memorandum in a companion

    case brought by a different plaintiff against Vermont Log.

    Judge Ponsor there ruled that FIFRA preempted claims of

    failure to warn and breach of implied warranty, but not

    claims of breach of express warranty and negligent design and

    manufacture. Jillson v. Vermont Log Bldgs., Inc., 857 F. _______ _________________________

    Supp. 985 (D. Mass. 1994).

    After the present case was returned to Judge Gorton, he

    ruled that all of Vermont Log's claims were "related to the

    labeling and packaging" of Woodlife. While noting that a

    properly supported express warranty claim might not be

    preempted, Judge Gorton found Vermont Log's claim to be

    "based entirely on the label" because "[n]o other factual or

    evidentiary basis for the claim was provided in the

    pleadings." Judge Gorton granted summary judgment to DAP and

    Champion and entered a separate final judgment in their

    favor. See Fed. R. Civ. P. 54(b). ___





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    On appeal, Vermont Log argues that the district court

    erred in finding that all of its claims were preempted: it

    says that FIFRA preempts only those state-law claims based on

    the labeling or packaging of pesticides and it asserts that

    most of its claims are not based on the labeling or packaging

    of Woodlife but rather upon design and manufacturing defects

    and upon failure to warn unrelated to labeling and packaging.

    We review the district court's grant of summary judgment de __

    novo, drawing reasonable inferences in favor of Vermont Log. ____

    Brown v. Hearst Corp., 54 F.3d 21, 24 (1st Cir. 1995). _____ ____________

    We begin, in the classic fashion, by seeking to lay the

    counts allegedly preempted along side the statutory

    preemption clause and the cases that have interpreted it and

    similar language in other statutes. Where, as here, Congress

    has included an express preemption clause in the statute, we

    start with the language of that provision. Medtronic, Inc. _______________

    v. Lohr, 116 S. Ct. 2240 (1996); Cipollone v. Liggett Group, ____ _________ ______________

    Inc., 505 U.S. 504, 517 (1992). FIFRA's preemption clause, 7 ____

    U.S.C. 136v, reads as follows:

    (a) In general

    A State may regulate the sale or use
    of any federally registered pesticide or
    device in the State, but only if and to
    the extent the regulation does not permit
    any sale or use prohibited by this
    subchapter.

    (b) Uniformity




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    Such State shall not impose or
    continue in effect any requirements for
    labeling or packaging in addition to or
    different from those required under this
    subchapter.

    It is apparent from subsection (a), as well as other

    statutory language, e.g., 7 U.S.C. 136w-1, that FIFRA does ____

    not wholly oust the states from pesticide regulation. See ___

    generally Mortier, 501 U.S. at 612-13. And it is equally _________ _______

    apparent from subsection (b) that the state cannot apply

    different or additional "requirements" for "labeling and

    packaging." It was once an open question, but is now settled

    by the Supreme Court in Cipollone and Lohr, that _________ ____

    "requirements" in this context presumptively includes state

    causes of action as well as laws and regulations. Lohr, 116 ____

    S. Ct. at 2251-53 (plurality opinion), id., 2259-60 (Breyer, ___

    J., concurring in part and concurring in judgment), id., ___

    2262-63 (O'Connor, J., Scalia, J., and Thomas, J., concurring

    in part and dissenting in part); Cipollone, 505 U.S. at 521- _________

    22 (plurality opinion), id., 548-49 (Scalia, J. and Thomas ___

    J., concurring in judgment in part and dissenting in part).

    This court so held in King v. E.I. Dupont de Nemours & ____ _________________________

    Co., 996 F.2d 1346 (1st Cir.), cert. dismissed, 114 S. Ct. ___ _______________

    490 (1993), which, unlike Cipollone and Lohr, involved FIFRA _________ ____

    itself. Other circuits are in accord. E.g., Papas v. Upjohn ____ _____ ______

    Co., 985 F.2d 516 (11th Cir.), cert. denied, 114 S. Ct. 300 ___ ____________

    (1993). Our case involves third-party claims--by the log



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    supplier against the chemical manufacturers--but nothing in

    the preemption clause limits its effects to suits by

    consumers. Indeed, Vermont Log itself concedes that its

    claims based on the inadequacy of EPA approved labeling are

    preempted by FIFRA; its objection, as already noted, is that

    most of its claims do not fit this rubric.

    To appraise this objection requires a closer description

    of Vermont Log's actual claims. Here, Vermont Log's amended

    third-party complaint is structured so that, in four separate

    counts, two different categories of claims are directed at

    DAP and Champion. In parallel counts III and V, Vermont

    Log's complaint says that DAP and Champion are or may be

    liable to Vermont Log for their own "negligent design,

    manufacture, and failures to warn"; confusingly, Vermont Log

    then in the same counts asserts these wrongs simply as the

    basis for a pro rata contribution claim against DAP and

    Champion.2

    Then, in two other parallel counts (IV and VI), Vermont

    Log asserts that DAP and Champion are or may be liable for

    breach of "express and implied warranties that said product

    [apparently a reference to Woodlife] was of merchantable


    ____________________

    2It is unclear why Vermont Log sought only pro rata
    contribution since the negligent acts alleged might also
    entitle it to full recovery absent some bar like preemption. ____
    Cf. Fireside Motors, Inc. v. Nissan Motor Corp., 479 N.E.2d ___ _____________________ ___________________
    1386, 1389 (Mass. 1985) (citing Restatement (Second) of Torts _____________________________
    886B, cmt. c (1979)).

    -9- -9-













    quality, free of hazardous defects, and fit for the

    particular purpose intended." On this claim, Vermont Log

    seeks not pro rata recovery but compensation for whatever it

    may have to pay to the Greniers plus its costs in conducting

    the litigation. It is easiest to discuss all of Vermont

    Log's claims functionally, that is, in terms of the

    defendants' alleged wrongful conduct.

    Failure to warn. The most obvious state-law claim for _______________

    Vermont Log, preemption aside, is that the Woodlife

    manufacturers should have warned Vermont Life that Woodlife

    was not suitable for residences. This claim, whether

    presented as a negligence claim or a claim for breach of

    implied warranty, is preempted by FIFRA as far as the present

    case is concerned. Vermont Log concedes this is so as to any

    inadequacy in the labeling as approved by EPA.

    It argues, however, that FIFRA permits a failure to warn

    claim so far is it is not "based on labeling or packaging."

    Here lurks a potentially vexing problem: one can imagine

    claims based on what was said or not said during

    conversations, in correspondence, or in point of sales signs

    or the absence of such signs. Whether and to what extent

    these kinds of claims should be preempted depends on a









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    reading of section 136v and related judgments. The answers

    are far from clear.3

    But the structure of FIFRA indicates that Congress

    intended the pesticide labeling to bear the primary burden of _______

    informing the buyer of dangers and limitations. See 7 U.S.C. ___

    136a(c); 40 C.F.R. 156.10. If the plaintiff wants to

    premise a failure to warn claim on a communication or failure

    to communicate by some other means, it is incumbent on the

    plaintiff to set forth a coherent specific claim. On appeal,

    Vermont Log does not even attempt to explain how its failure

    to warn claim is based on anything other than the alleged

    inadequacy of the labeling approved by EPA.

    Affirmative misstatement. Under Massachusetts law, an ________________________

    express warranty may be created where the seller makes any

    "affirmation of fact or promise" or "description of the

    goods" and this statement becomes part of the basis of the

    bargain. Mass. Gen. L. ch. 106, 2-213. An inaccurate

    statement might also support a recovery under a theory of

    negligent misrepresentation. Cf. Danca v. Taunton Sav. Bank, ___ _____ _________________

    429 N.E.2d 1129, 1133-34 (Mass. 1982). Such claims could

    conceivably be based either on statements made in the


    ____________________

    3Compare Chemical Specialties Manufacturers Ass'n v. _______ __________________________________________
    Allenby, 958 F.2d 941, 946-47 (9th Cir.), cert. denied, 113 _______ ____________
    S. Ct. 80 (1992) (state statute requiring point-of-sale
    warnings not preempted), with Taylor AG Industries v. Pure- _____________________ _____
    Gro, 54 F.3d 555, 561 (9th Cir. 1995) (failure to warn claims ___
    based on inadequacy of point-of-sale signs preempted).

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    labeling or elsewhere; and the statements might be either

    consistent with FIFRA requirements or in violation of them.

    These variations give rise to different and difficult

    preemption questions. The circuits are not unanimous even as

    to FIFRA itself, see generally Lowe v. Sporicidin Int'l, 47 _____________ ____ ________________

    F.3d 124, 128-29 (4th Cir. 1995), let alone other statutes.

    As Lohr illustrates, the signals from the Supreme Court are ____

    blurred by disagreements within the Court. But, in this

    case, the only affirmative misstatement identified by Vermont

    Log is the statement in the original labeling that Woodlife

    was suitable for application to "all wood and lumber

    products."

    This unqualified statement may have been inaccurate, as

    its later revision suggests, but it was a statement contained

    in EPA-approved labeling. To premise liability on the

    inaccuracy of the statement is in substance to determine that

    a different statement should have been made in the labeling.

    Yet the statute itself prohibits a state requirement as to

    labeling that is "different" than that prescribed by federal

    law. 7 U.S.C. 136v. See Lowe, 47 F.3d at 129. Thus the ___ ____

    only express warranty claim specifically identified by

    Vermont Log is preempted.

    Misdesign or manufacture. Whether on a warranty or _________________________

    negligence theory, recovery might be premised on mistakes in

    the design or manufacture of the product, and the



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    manufacturing defect might be generic or a defect in a single

    item. E.g., Hayes v. Ariens Co., 462 N.E.2d 273, 277 (Mass. ____ _____ __________

    1984). Whether such claims are preempted may depend both on

    their precise make-up and on the underlying statute. Under

    FIFRA, the situation is complicated by the fact that the

    preemption clause refers only to labeling and packaging while

    the statute empowers the agency to regulate the product as

    well as the description. 7 U.S.C. 136a(a).

    In all events, merely to call something a design or ____

    manufacturing defect claim does not automatically avoid

    FIFRA's explicit preemption clause. In re DuPont-Benlate _____________________

    Litigation, 859 F. Supp. 619, 623-24 (D.P.R. 1994). Here, __________

    Vermont Log's only elaborated claim under this heading is

    that Woodlife was defectively designed or manufactured

    because it was foreseeable that it would be used on

    residences and it was unfit for this use. But this claim is ____________

    effectively no more than an attack on the failure to warn

    against residential use and therefore is a preempted claim.

    This certainly does not mean that every misdesign or

    mismanufacturing claim would be debarred by section 136v. In

    a batch of properly made products, one item might be

    defective or tainted; or perhaps one might design a

    pesticide that, while properly approved and labeled, was

    unduly dangerous for any legitimate use. In the former case,

    it is hard to see why FIFRA preemption would even be



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    arguable; in the latter, there would be at most an implied _______

    preemption claim, based not on section 136v but on EPA's

    approval of the product; and it is by no means clear that

    such a preemption claim would prevail.4

    However, in this instance, Vermont Log has provided no

    hint whatever of how Woodlife has been misdesigned or

    mismanufactured beyond Vermont Log's suggestion--which we

    regard as a disguised labeling claim--that the product was

    not fit for residential use. Vermont Log's position,

    implicit in its brief and explicit in oral argument, is that

    no such disclosure or elaboration was required. It is

    enough, it contends, that its complaint alleged misdesign and

    mismanufacture in general terms and that not every such claim

    is automatically preempted.

    If the Woodlife manufacturers had squarely argued a lack

    of evidence in their motion for summary judgment, Vermont

    Log's position could be rejected out of hand. Vermont Log

    bears the burden of proof at trial and, under Celotex Corp. _____________

    v. Catrett, 477 U.S. 317, 322-23 (1986), it would take very _______

    little in the way of a negative averment at the summary

    judgment stage to require Vermont Log to identify its

    evidence--trialworthy evidence of a specific misdesign or


    ____________________

    4See Cipollone, 112 S. Ct. at 2622-23. Compare Mendes ___ _________ _______ ______
    v. Medtronic, 18 F.3d 13 (1st Cir. 1994) (Medical Device _________
    Act), with In re DuPont-Benlate-Litigation, 859 F. Supp. at ____ _______________________________
    622-23 (FIFRA).

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    manufacturing defect which was not a disguised mislabeling

    claim. Mottolo v. Fireman's Fund Ins. Co., 43 F.3d 723, 725 _______ _______________________

    (1st Cir. 1995).

    Whether Vermont Log got such due notice of a Celotex _______

    challenge could be debated. On the one hand, the summary

    judgment motion was cast primarily in abstract preemption

    terms; on the other hand, Vermont Log could at any time have

    explained to the district court just what kind of misdesign _________

    or manufacturing defect claim it was making over and above a

    recast version of its preempted labeling claim. As is often

    the case, the answer is to be found more in common sense than

    categorical rules.

    If we thought that Vermont Log had been genuinely

    misled, we would remand to allow it to identify its misdesign

    or mismanufacture claim and require the chemical

    manufacturers to formulate a new summary judgment motion.

    Indeed, we might be tempted to follow this course even now if

    Vermont Log had troubled to tell us just what specific design

    or manufacturing defect it plausibly suspected or how it had

    been denied a promising opportunity to unearth this

    information through discovery. But at oral argument our most

    persistent questions on the subject were met only with

    generalities.

    It is too late in the day for such gambits. It is one

    thing at the outset of a case to ask for indulgence to pursue



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    initial discovery; it is quite another matter, on appeal and

    after five years, to ask for a reversal based on theoretical

    possibilities but without any effort to explain how a remand

    might bear fruit. If there are unpreempted claims of design

    or manufacturing defect, Vermont Log has never adequately

    identified them, let alone pointed to any supporting

    evidence.

    Indemnification. As already explained, Vermont Log's _______________

    third-party complaint did explicitly request contribution; in

    fact, its negligence counts were asserted not as independent

    claims for full recovery but merely as the basis for pro rata

    contribution under the Massachusetts statute. Conversely,

    although Vermont Log now speaks of "indemnification" claims,

    the third-party complaint nowhere refers to indemnification,

    although the warranty counts seek the same damages that

    indemnification might provide.

    Traditionally, indemnification has comprised a distinct

    body of doctrine that, to put the matter too crudely, permits

    a vicariously liable party (e.g., an innocent principal) to ____

    obtain reimbursement from a culpable party (e.g., a ____

    blameworthy agent) whose conduct gave rise to the liability.

    P. Keeton, Prosser and Keeton on Torts 51, at 341-44 (5th ____________________________

    ed. 1984); Decker v. Black and Decker Mfg. Co., 449 N.E.2d ______ ___________________________

    641, 644-45 (Mass. 1983). Thus, indemnification may





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    sometimes be available even when no other direct tort or

    contract claim will lie.

    On appeal, Vermont Log says as an alternative final

    argument that Judge Zobel erred in rejecting its "claim of

    indemnity" on the ground that "[i]demnity is permitted only

    where one does not join the negligent act . . . ." We

    confess ourselves puzzled by Judge Zobel's ruling; while the

    principle may be sound, it is far from clear that Vermont

    Log's culpability in this case--at least on some warranty

    theories asserted by the Greniers--is of a kind that would

    automatically preclude an indemnification claim by Vermont

    Log against DAP and Champion.

    Yet even if we assume (dubitante) that Vermont Log _________

    has asserted a separate claim for indemnification and assume

    further that it is not barred from indemnification by its own

    participation in the wrong, a crucial obstacle remains. The

    body of doctrine comprising indemnification law varies from

    state to state; but in Massachusetts, an indemnification

    claim does require a showing of fault on the part of the _____

    parties or parties against whom the demand for

    indemnification is leveled. Stewart v. Roy Bros., 265 N.E.2d _______ _________

    357, 365 (Mass. 1970).

    Here, the only allegations of fault made by Vermont Log

    against DAP and Champion are the charges of negligence and

    breaches of warranty made in counts III-VI of the amended



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    third-party complaint. We have already found these charges

    to be inadequate, some because of federal preemption and some

    because they are both too general and wholly unsupported.

    And if these claims are themselves inadequate, there is no

    foundation for a showing of fault as to DAP and Champion that

    would permit Vermont Log to claim indemnification.

    There is a final point to be made that is pertinent to

    future cases of this kind. Vermont Log has now placed itself

    in an unhappy position where the Greniers might recover

    against it while it would no longer have recourse against

    those who supplied it with Woodlife. This assumes, perhaps

    fancifully, that the Greniers, or at least the minors, might

    structure and then prove a claim that managed at the same

    time to avoid every type of preemption and any kind of

    defense based on Vermont Log's own possible ignorance. But

    the theoretical risk is there.

    This risk arises directly from the entry of a separate

    final judgment under Rule 54(b) against Vermont Log on its

    third-party claims in advance of the full resolution of the

    Greniers' first-party claims against Vermont Log. If Vermont

    Log had objected to a separate judgment in the district court

    and appealed on that issue in this Court, we would be very ___

    much open to such an argument. The reason is the overlap of

    first-party and third-party claims in this case and the

    resulting risk (in this case) of inconsistent results.



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    But Vermont Log has not made this argument. If it had

    no objection to the entry of a separate judgment, certainly

    the district court had no obligation to withhold such a

    judgment. Indeed, Vermont Log may have had tactical reasons,

    unknown to us, for allowing the uncoupling of the two

    complaints. Our sole reason for mentioning the point is to

    alert district courts in future cases that such an objection

    to a separate judgment may have significant force.

    Affirmed. ________






































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