Alvin Walker v. R.J. Reynolds Tobacco Company , 734 F.3d 1278 ( 2013 )


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  •              Case: 12-13500    Date Filed: 10/31/2013     Page: 1 of 26
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 12-13500
    ________________________
    D.C. Docket No. 3:09-cv-10598-RBD-JBT
    ALVIN WALKER,
    as Personal Representative of the Estate of Albert Walker,
    Plaintiffs–Appellees,
    versus
    R.J. REYNOLDS TOBACCO COMPANY,
    individually and as successor by merger to the Brown &
    Williamson Tobacco Corporation and the American
    Tobacco Company, a foreign corporation,
    Defendant –Appellant.
    ________________________
    No. 12-14731
    ________________________
    D.C. Docket No. 3:09-cv-10104-RBD-JBT
    GEORGE DUKE, III,
    as Personal Representative of the Estate of Sarah Duke,
    Plaintiff–Appellee,
    versus
    Case: 12-13500       Date Filed: 10/31/2013      Page: 2 of 26
    R.J. REYNOLDS TOBACCO COMPANY,
    individually and as successor by merger to the Brown &
    Williamson Corporation and the American
    Tobacco Company, a foreign corporation,
    Defendant–Appellant.
    ________________________
    Appeals from the United States District Court
    for the Middle District of Florida
    ________________________
    (October 31, 2013)
    Before PRYOR and HILL, Circuit Judges, and HALL, ∗ District Judge.
    PRYOR, Circuit Judge:
    We sua sponte vacate and reconsider our original opinion in this matter. We
    substitute the following opinion for our original opinion.
    This appeal by R.J. Reynolds Tobacco Company of money judgments in
    favor of the survivors of two smokers requires us to decide whether a decision of
    the Supreme Court of Florida in an earlier class action is entitled to full faith and
    credit in federal court. Florida smokers and their survivors filed in state court a
    class action against the major tobacco companies that manufacture cigarettes in the
    United States. In the first phase of the class action, a jury decided that the tobacco
    companies breached a duty of care, manufactured defective cigarettes, and
    ∗
    Honorable James R. Hall, United States District Judge for the Southern District of
    Georgia, sitting by designation.
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    concealed material information, but the jury did not decide whether the tobacco
    companies were liable for damages to individual members of the class. The
    Supreme Court of Florida approved the jury verdict, but decertified the class going
    forward. Engle v. Liggett Grp., Inc., 
    945 So. 2d 1246
    , 1254 (Fla. 2006). Members
    of the class then filed individual complaints in federal and state courts. The
    Supreme Court of Florida later ruled that the findings of the jury in the class action
    have res judicata effect for common issues decided against the tobacco companies
    and in favor of the smokers and that the only unresolved issues in the individual
    lawsuits filed afterward involve specific causation and damages. Philip Morris
    USA, Inc. v. Douglas, 
    110 So. 3d 419
    , 432 (Fla. 2013). R.J. Reynolds argues that
    the application of res judicata in later suits filed by individual smokers violates its
    constitutional right to due process of law because the jury verdict in the class
    action is so ambiguous that it is impossible to tell whether the jury found that each
    tobacco company acted wrongfully with respect to any specific brand of cigarette
    or any individual plaintiff. After the district court ruled that giving res judicata
    effect to the findings of the jury in the class action does not violate the rights of the
    tobacco companies to due process, two juries awarded money damages to the
    survivors of two smokers in their suits against R.J. Reynolds. Because R.J.
    Reynolds had a full and fair opportunity to be heard in the Florida class action and
    the application of res judicata under Florida law does not cause an arbitrary
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    deprivation of property, we affirm the judgments against R.J. Reynolds and in
    favor of the survivors of the smokers.
    I.      BACKGROUND
    In 1994, six individuals filed a putative class action in a Florida court against
    the major domestic manufacturers of cigarettes, including R.J. Reynolds, and two
    tobacco industry organizations. Brown v. R.J. Reynolds Tobacco Co., 
    611 F.3d 1324
    , 1326 (11th Cir. 2010). The plaintiffs sought more than $100 billion in
    damages for injuries allegedly caused by smoking cigarettes. 
    Id. Their complaint
    asserted claims of strict liability, negligence, breach of express warranty, breach of
    implied warranty, fraud, conspiracy to commit fraud, and intentional infliction of
    emotional distress. 
    Id. A Florida
    court of appeals approved the certification of a
    plaintiff class of all Florida citizens and residents who have suffered or died from
    medical conditions caused by their addiction to cigarettes and the survivors of
    those citizens and residents. R.J. Reynolds Tobacco Co. v. Engle, 
    672 So. 2d 39
    ,
    40, 42 (Fla. 3d Dist. Ct. App. 1996).
    The trial court divided the class action in three phases. Phase I of the class
    action “consisted of a year-long trial to consider the issues of liability and
    entitlement to punitive damages for the class as a whole.” 
    Engle, 945 So. 2d at 1256
    . During that phase, the jury considered only “common issues relating
    exclusively to the defendants’ conduct and the general health effects of smoking,”
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    id. at 1256,
    but the jury did not decide whether the tobacco companies were liable
    to any of the class representatives or members of the class, 
    id. at 1263.
    In Phase II
    of the trial, the same jury determined the liability of the tobacco companies to three
    individual class representatives, awarded compensatory damages to those
    individuals, and fixed the amount of class-wide punitive damages. 
    Id. at 1257.
    According to the trial plan, in Phase III of the class action, new juries were to
    decide the claims of the rest of the class members. 
    Id. at 1258.
    In Phase I of the trial, the plaintiffs presented evidence about some defects
    that were specific to certain brands or types of cigarettes and other defects common
    to all cigarettes. For example, “proof submitted on strict liability included brand-
    specific defects, but it also included proof that the Engle defendants’ cigarettes
    were defective because they are addictive and cause disease.” 
    Douglas, 110 So. 3d at 423
    . “Similarly, arguments concerning the class’s negligence, warranty, fraud,
    and conspiracy claims included whether the Engle defendants failed to address the
    health effects and addictive nature of cigarettes, manipulated nicotine levels to
    make cigarettes more addictive, and concealed information about the dangers of
    smoking.” 
    Id. The trial
    plan called for the jury “to decide issues common to the
    entire class, including general causation, [and] the Engle defendants’ common
    liability to the class members for the conduct alleged in the complaint.” 
    Id. at 422.
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    At the conclusion of Phase I, the trial court submitted to the jury a verdict
    form with a series of questions to be answered “yes” or “no.” The trial court
    instructed the jury that “all common liability issues would be tried before [the]
    jury” and that Phase I of the trial “did not address issues as to the conduct or
    damages of individual members of the Florida class.” The first question on the
    verdict form asked the jury whether “smoking cigarettes cause[s]” a list of
    enumerated diseases, and the jury found that smoking causes 20 specific diseases,
    including various forms of cancer. The second question asked the jury whether
    “cigarettes that contain nicotine [are] addictive and dependence producing,” and
    the jury found that cigarettes are addictive and dependence producing.
    The jury then answered “yes” to each of the following questions for each
    tobacco company:
    • Did the tobacco company “place cigarettes on the market that were
    defective and unreasonably dangerous”;
    • Did the tobacco company “make a false statement of a material fact,
    either knowing the statement was false or misleading, or being
    without knowledge as to its truth or falsity, with the intention of
    misleading smokers”;
    • Did the tobacco company “conceal or omit material information, not
    otherwise known or available, knowing that the material was false and
    misleading, or fail[ ] to disclose a material fact concerning or proving
    the health effects and/or addictive nature of smoking cigarettes”;
    • Did the tobacco company “enter into an agreement to misrepresent
    information relating to the health effects of cigarette smoking, or the
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    addictive nature of smoking cigarettes, with the intention that smokers
    and members of the public rely to their detriment”;
    • Did the tobacco company “enter into an agreement to conceal or omit
    information regarding the health effects of cigarette smoking, or the
    addictive nature of smoking cigarettes, with the intention that smokers
    and members of the public rely to their detriment”;
    • Did the tobacco company “sell or supply cigarettes that were defective
    in that they were not reasonably fit for the uses intended”;
    • Did the tobacco company “sell or supply cigarettes that, at the time of
    sale or supply, did not conform to representations of fact made by [the
    tobacco company], either orally or in writing”;
    • Did the tobacco company “fail[ ] to exercise the degree of care which
    a reasonable cigarette manufacturer would exercise under like
    circumstances”;
    • Did the tobacco company “engage[] in extreme and outrageous
    conduct or with reckless disregard relating to cigarettes sold or
    supplied to Florida smokers with the intent to inflict severe emotional
    distress.”
    The final question asked the jury whether “the conduct of [each tobacco
    company] rose to a level that would permit a potential award or entitlement to
    punitive damages,” and the jury answered “yes” for each tobacco company.
    The tobacco companies unsuccessfully objected to the verdict form that the
    trial court submitted to the jury in Phase I. They argued that the verdict form did
    not “ask for specifics” about the tortious conduct of the tobacco companies,
    “render[ing] [the jury findings] useless for application to individual plaintiffs.”
    They requested that the trial court submit to the jury a more detailed verdict form
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    that would have asked the jury to identify the brands of cigarettes that were
    defective and the information the companies concealed from the public. The trial
    court rejected that proposed verdict form as too detailed and impractical.
    In Phase II of the trial, the same jury determined that the defendants were
    liable to three named plaintiffs. The jury awarded compensatory damages of $12.7
    million to those three named plaintiffs, and the jury awarded punitive damages of
    $145 billion to the class. 
    Brown, 611 F.3d at 1328
    .
    Before Phase III of the trial began, the tobacco companies filed an
    interlocutory appeal of the verdicts in Phases I and II, and the Supreme Court of
    Florida approved in part and vacated in part the verdicts. 
    Engle, 945 So. 2d at 1246
    . The court concluded that the trial court did not abuse its discretion when it
    certified the Engle class for purposes of Phases I and II of the trial, but that the
    class must be decertified going forward so that members of the class could pursue
    their claims to finality in individual lawsuits. 
    Id. at 1267–69.
    The court explained
    that “problems with the three-phase trial plan negate the continued viability of this
    class action” and that “continued class action treatment for Phase III of the trial
    plan is not feasible because individualized issues such as legal causation,
    comparative fault, and damages predominate.” 
    Id. at 1267–68.
    The court held as
    follows that most findings of the jury in Phase I should have “res judicata effect” in
    the ensuing individual trials:
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    The pragmatic solution is to now decertify the class, retaining the
    jury’s Phase I findings other than those on the fraud and intentional
    infliction of emotion[al] distress claims, which involved highly
    individualized determinations, and the finding on entitlement to
    punitive damages questions, which was premature. Class members
    can choose to initiate individual damages actions and the Phase I
    common core findings we approved above will have res judicata
    effect in those trials.
    
    Id. at 1269
    (emphasis added). The court concluded that the findings about fraud
    and misrepresentation and intentional infliction of emotional distress cannot have
    preclusive effect because “the non-specific findings in favor of the plaintiffs” on
    those questions were “inadequate to allow a subsequent jury to consider individual
    questions of reliance and legal cause.” 
    Id. at 1255.
    The court also vacated the
    finding about civil conspiracy-misrepresentation because it relied on the
    underlying tort of misrepresentation. But the court stated that the other findings,
    now known as the approved findings from Phase I, have res judicata effect. 
    Id. The court
    also vacated the award of punitive damages on the ground that it was
    excessive and premature, affirmed the damages award in favor of two of the named
    plaintiffs, and vacated the judgment in favor of the third named plaintiff because
    the statute of limitations barred his claims. 
    Engle, 945 So. 2d at 1254
    –56.
    After the decision of the Supreme Court of Florida, members of the Engle
    class filed thousands of individual cases in both state and federal courts. A central
    issue in these cases is whether plaintiffs may rely on the approved findings from
    Phase I to establish the “conduct” elements of their claims against the tobacco
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    companies. The dispute concerns the meaning of the ruling in Engle that the
    approved findings from Phase I “will have res judicata effect.” The plaintiffs
    interpreted the ruling to mean that the tobacco companies could dispute only
    specific causation and damages in the individual lawsuits. The plaintiffs argued
    that the approved findings from Phase I establish that the tobacco companies
    breached a duty of care and failed to disclose material information to every
    member of the Engle class. See 
    Brown, 611 F.3d at 1329
    . The tobacco companies
    argued that, although the jury in Phase I found that they acted negligently in some
    way or concealed some information, the findings are not specific enough to
    establish that they acted negligently in connection with any particular brand of
    cigarette or concealed material information from any particular plaintiff.
    We were the first appellate court to consider the res judicata effect of the
    approved findings from Phase I, and we concluded that the findings have
    preclusive effect in a later case only when the plaintiff can establish that the jury in
    Phase I actually decided that a tobacco company acted wrongfully regarding
    cigarettes that the plaintiff smoked. 
    Brown, 611 F.3d at 1336
    . We explained that,
    when the Supreme Court of Florida stated in Engle that the approved findings from
    Phase I “were to have res judicata effect,” the court “necessarily refer[red] to issue
    preclusion” and not claim preclusion because “factual issues and not causes of
    action were decided in Phase I.” 
    Id. at 1333.
    We explained that issue preclusion
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    applies only to issues that were “actually decided” in a prior litigation, and we
    remanded the matter for the district court to consider in the first instance whether
    the approved findings from Phase I establish that the tobacco companies acted
    wrongfully toward each plaintiff. 
    Id. at 1334–35.
    We explained that, to determine
    whether a specific factual issue was determined in favor of the plaintiff, the district
    court should look beyond the face of the verdict and consider “[t]he entire trial
    record.” 
    Id. at 1334–36.
    The tobacco companies argued in that appeal that “using
    the findings to establish facts that were not decided by the jury would violate their
    due process rights,” but we avoided that question because, “under Florida law[,]
    the findings could not be used for that purpose anyway.” 
    Id. at 1334.
    Several Florida courts of appeal then held that the approved findings from
    Phase I establish the conduct elements of the each class member’s claims against
    the tobacco companies, and they rejected our decision in Brown that smokers must
    establish from the trial record that an issue was actually decided in his or her favor.
    See Frazier v. Philip Morris USA Inc., 
    89 So. 3d 937
    , 947 (Fla. 3d Dist. Ct. App.
    2012); Philip Morris USA, Inc. v. Douglas, 
    83 So. 3d 1002
    , 1010 (Fla. 2d Dist. Ct.
    App. 2012); R.J. Reynolds Tobacco Co. v. Brown, 
    70 So. 3d 707
    , 715 (Fla. 4th
    Dist. Ct. App. 2011); R.J. Reynolds Tobacco Co. v. Martin, 
    53 So. 3d 1060
    , 1066–
    67 (Fla. 1st Dist. Ct. App. 2010). In Martin, the court disagreed with our decision
    in Brown that “every Engle plaintiff must trot out the class action trial transcript to
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    prove applicability of the Phase I findings.” 
    Martin, 53 So. 3d at 1067
    . The court
    held, “No matter the wording of the findings on the Phase I verdict form, the jury
    considered and determined specific matters related to the defendants’ conduct.
    Because the findings are common to all class members, [the plaintiff] . . . was
    entitled to rely on them in her damages action against [R.J. Reynolds].” 
    Id. For example,
    the plaintiff in Martin brought a claim for fraudulent concealment, and
    the court held that the Phase I finding about concealment “encompassed all the
    brands” and that R.J. Reynolds could not relitigate whether it had concealed any
    material information. 
    Id. at 1068.
    Because federal courts sitting in diversity are bound by the decisions of state
    courts on matters of state law, those decisions of the Florida courts of appeal
    supplanted our interpretation of Florida law in Brown. See Allstate Life Ins. Co. v.
    Miller, 
    424 F.3d 1113
    , 1116 (11th Cir. 2005) (explaining that “in diversity cases
    we are required to adhere to the decisions of the Florida appellate courts absent
    some persuasive indication that the Florida Supreme Court would decide the issue
    otherwise”). The tobacco companies could no longer argue that the approved
    findings from Phase I have no preclusive effect as a matter of Florida law. Instead,
    they argued that giving the approved findings preclusive effect would violate their
    federal rights to due process. The tobacco companies raised that argument in each
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    of the cases filed in the district court, which consolidated those cases in Waggoner
    v. R.J. Reynolds Tobacco Co., 
    835 F. Supp. 2d 1244
    (M.D. Fla. 2011).
    The district court in Waggoner held that giving preclusive effect to the
    approved findings from Phase I does not violate a right of the tobacco companies
    to due process of law. 
    Id. at 1279.
    The district court concluded that “a state’s
    departure from common law issue preclusion principles does not implicate the
    Constitution unless that departure also violates ‘the minimum procedural
    requirements of the Fourteenth Amendment’s Due Process Clause.’” 
    Id. at 1270
    (quoting Kremer v. Chem. Constr. Corp., 
    456 U.S. 461
    , 481, 
    102 S. Ct. 1883
    , 1897
    (1982)). And the district court concluded that the decisions of the Florida courts of
    appeal do not violate those procedural requirements because those decisions do not
    arbitrarily deprive the tobacco companies of property, 
    Waggoner, 835 F. Supp. 2d at 1272
    –74, and because the tobacco companies had a full and fair opportunity to
    litigate the conduct elements at Phase I of the class action, 
    id. at 1274–77.
    After the district court decided Waggoner, the Supreme Court of Florida in
    Douglas held, as a matter of Florida law, that the approved findings from Phase I
    establish the conduct elements of the claims brought by members of the Engle
    class. 
    Douglas, 110 So. 3d at 428
    . The court acknowledged that “the Engle jury
    did not make detailed findings for which evidence it relied upon to make the Phase
    I common liability findings.” 
    Id. at 433.
    But the court explained that, “[n]o matter
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    the wording of the findings on the Phase I verdict form, the jury considered and
    determined specific matters related to the [Engle] defendants’ conduct.” Id.
    (quoting 
    Martin, 53 So. 3d at 1067
    ) (second alteration in original). The court
    explained that, although the proof submitted at the Phase I trial included both
    general and brand-specific defects, “the class action jury was not asked to find
    brand-specific defects in the Engle defendants’ cigarettes,” but only to “determine
    ‘all common liability issues’ for the class.” 
    Id. at 423.
    The court concluded that
    the approved findings from Phase I concern conduct that “is common to all class
    members and will not change from case to case,” and that “the approved Phase I
    findings are specific enough” to establish some elements of the plaintiffs’ claims.
    
    Id. at 428.
    The Supreme Court of Florida also held in Douglas that giving preclusive
    effect to the approved findings from Phase I does not violate a right of the tobacco
    companies to due process. 
    Id. at 430.
    The court stated that the tobacco companies
    had notice and an opportunity to be heard and were not arbitrarily deprived of
    property. 
    Id. at 431–32.
    The court explained that, when it stated in Engle that the
    approved findings have “res judicata effect,” it addressed claim preclusion, not
    issue preclusion. 
    Id. at 432.
    The court stated that claim preclusion “prevents the
    same parties from relitigating the same cause of action in a second lawsuit,” 
    id. at 432,
    while issue preclusion “prevents the same parties from relitigating the same
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    issues that were litigated and actually decided in a second suit involving a different
    cause of action,” 
    id. at 433.
    “Because the claims in Engle and the claims in
    individual actions like this case are the same causes of action between the same
    parties,” the court concluded that “res judicata (not issue preclusion) applies.” 
    Id. at 432.
    The court stated that “to decide here that we really meant issue preclusion
    even though we said res judicata in Engle would effectively make the Phase I
    findings regarding the Engle defendants’ conduct useless in individual actions.”
    
    Id. at 433.
    The tobacco companies had argued that, based on Fayerweather v. Ritch,
    
    195 U.S. 276
    , 
    25 S. Ct. 58
    (1904), they had a constitutional right to have issue
    preclusion apply to the approved findings from Phase I, but the Supreme Court of
    Florida rejected this argument. 
    Douglas, 110 So. 3d at 435
    . The court stated that,
    “as a constitutional matter, the Engle defendants do not have the right to have issue
    preclusion, as opposed to res judicata, apply to the Phase I findings.” 
    Id. The court
    explained that “claim preclusion, unlike issue preclusion, has no ‘actually
    decided’ requirement but, instead, focuses on whether a party is attempting to
    relitigate the same claim, without regard to the arguments or evidence that were
    presented to the first jury that decided the claim.” 
    Id. The court
    concluded that,
    because it was applying claim preclusion instead of issue preclusion, the “decision
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    in Fayerweather does not impose a constitutional impediment against giving the
    Phase I findings res judicata effect.” 
    Id. In this
    appeal, R.J. Reynolds challenges the decision of the district court in
    Waggoner and appeals the jury verdicts in favor of two plaintiffs, Alvin Walker
    and George Duke III. Walker filed an amended complaint in federal court for the
    death of his father, Albert Walker, and Duke filed an amended complaint in federal
    court for the death of his mother, Sarah Duke. Walker and Duke asserted claims
    for strict liability, negligence, fraudulent concealment, and conspiracy to
    fraudulently conceal. The juries decided those cases after the district court decided
    Waggoner, but before the Supreme Court of Florida decided Douglas. In both
    cases, the district court instructed each jury that, under the decision in Waggoner,
    the jury in Phase I conclusively established the tortious-conduct elements of the
    plaintiffs’ claims. The district court instructed the juries that R.J. Reynolds
    “placed cigarettes on the market that were defective and unreasonably dangerous”
    and that R.J. Reynolds “was negligent.” The only issues for those juries to resolve
    were whether the decedents were members of the Engle class, causation, and
    damages. The juries in both cases returned split verdicts. The jury found in favor
    of Walker on the claims of strict liability and negligence, allocated 10 percent of
    the fault to R.J. Reynolds and 90 percent of the fault to Walker, and entered a
    judgment of $27,500. The jury found in favor of Duke only on the claim of strict
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    liability, allocated 25 percent of the fault to R.J. Reynolds and 75 percent of the
    fault to Duke, and entered a judgment of $7,676.25.
    II.   STANDARD OF REVIEW
    “We review questions of constitutional law de novo.” Nichols v. Hopper,
    
    173 F.3d 820
    , 822 (11th Cir. 1999).
    III.   DISCUSSION
    The Full Faith and Credit Act, 28 U.S.C. § 1738, requires federal courts to
    “give preclusive effect to a state court judgment to the same extent as would courts
    of the state in which the judgment was entered.” Kahn v. Smith Barney Shearson
    Inc., 
    115 F.3d 930
    , 933 (11th Cir. 1997) (quoting Battle v. Liberty Nat’l Life Ins.
    Co., 
    877 F.2d 877
    , 882 (11th Cir. 1989)). But the Act, like all statutes, is “subject
    to the requirements of . . . the Due Process Clause.” Marrese v. Am. Acad. of
    Orthopaedic Surgeons, 
    470 U.S. 373
    , 380, 
    105 S. Ct. 1327
    , 1332 (1985). And the
    law of preclusion is also “subject to due process limitations.” See Taylor v.
    Sturgell, 
    553 U.S. 880
    , 891, 
    128 S. Ct. 2161
    , 2171 (2008). Although “[s]tate
    courts are generally free to develop their own rules for protecting against the
    relitigation of common issues or the piecemeal resolution of disputes[,] . . .
    extreme applications of the doctrine of res judicata may be inconsistent with a
    federal right that is fundamental in character.” Richards v. Jefferson Cnty., Ala.,
    
    517 U.S. 793
    , 797, 
    116 S. Ct. 1761
    , 1765 (1996) (internal quotation marks
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    omitted). These principles require that we give full faith and credit to the decision
    in Engle, as interpreted in Douglas, so long as it “satisf[ies] the minimum
    procedural requirements” of due process. 
    Kremer, 456 U.S. at 481
    , 102 S. Ct. at
    1897. R.J. Reynolds argues that this appeal is governed by the Due Process Clause
    of the Fifth Amendment, but in the district court they argued that the case was
    governed by the Due Process Clause of the Fourteenth Amendment. See
    
    Waggoner, 835 F. Supp. 2d at 1271
    . Our analysis is the same under either clause
    because “the reaches of the [Due Process Clauses of the] Fourteenth and Fifth
    Amendments are coextensive.” Rodriguez–Mora v. Baker, 
    792 F.2d 1524
    , 1526
    (11th Cir. 1986).
    Our inquiry is a narrow one: whether giving full faith and credit to the
    decision in Engle, as interpreted in Douglas, would arbitrarily deprive R.J.
    Reynolds of its property without due process of law. See Corp. of Presiding
    Bishop of Church of Jesus Christ of Latter–Day Saints v. Hodel, 
    830 F.2d 374
    , 380
    (D.C. Cir. 1987) (holding that the decision of a prior court on a question of
    preclusion law did not violate due process because it was not arbitrary). R.J.
    Reynolds argues that we should conduct a searching review of the Engle class
    action and apply what amounts to de novo review of the analysis of Florida law in
    Douglas, but we lack the power to do so. Our task is not to decide whether the
    decision in Douglas was correct as a matter of Florida law. See Erie R.R. Co. v.
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    Tompkins, 
    304 U.S. 64
    , 78, 
    58 S. Ct. 817
    , 822 (1938). And we cannot refuse to
    give full faith and credit to the decision in Engle because we disagree with the
    decision in Douglas about what the jury in Phase I decided. See Am. Ry. Express
    Co. v. Kentucky, 
    273 U.S. 269
    , 273, 
    47 S. Ct. 353
    , 355 (1927) (“It is firmly
    established that a merely erroneous decision given by a state court in the regular
    course of judicial proceedings does not deprive the unsuccessful party of property
    without due process of law.”).
    The decision of the Supreme Court of Florida to give preclusive effect to the
    approved findings from Phase I did not arbitrarily deprive R.J. Reynolds of
    property without due process of law. The Supreme Court of Florida looked
    through the jury verdict entered in Phase I to determine what issues the jury
    decided. Based on its review of the class action trial plan and the jury instructions,
    the court concluded that the jury had been presented with arguments that the
    tobacco companies acted wrongfully toward all the plaintiffs and that all cigarettes
    that contain nicotine are addictive and produce dependence. 
    Douglas, 110 So. 3d at 423
    . Although the proof submitted to the jury included both general and brand-
    specific defects, the court concluded that the jury was asked only to “determine ‘all
    common liability issues’ for the class,” not brand specific defects. 
    Id. The Supreme
    Court of Florida was entitled to look beyond the jury verdict to determine
    what issues the jury decided. See 
    Fayerweather, 195 U.S. at 308
    , 25 S. Ct. at 68
    19
    Case: 12-13500      Date Filed: 10/31/2013    Page: 20 of 26
    (explaining that courts may look beyond a general verdict to the “entire record of
    the case” to determine what issues were decided in a prior litigation); Russell v.
    Place, 
    94 U.S. 606
    , 610, 606 (1876) (explaining that, although “an estoppel must
    ‘be certain to every intent,’” the “uncertainty [may] be removed by extrinsic
    evidence showing the precise point involved and determined”); Precision Air Parts,
    Inc. v. Avco Corp., 
    736 F.2d 1499
    , 1502 (11th Cir. 1984) (looking beyond the face
    of a prior judicial opinion to “examine the record as a whole” and determine those
    issues that the finder of fact actually decided); 18 Charles Alan Wright, Arthur R.
    Miller, & Edward H. Cooper, Federal Practice and Procedure § 4420 at 520 (2d ed.
    2002) (explaining that “the first step in resolving uncertainty as to the identity of
    the issues actually decided lies in painstaking examination of the record of the
    prior action”). We sanctioned a similar inquiry in Brown, where we stated that,
    although the jury verdict in Phase I was ambiguous on its face, members of the
    Engle class should be allowed an opportunity to establish that the jury in Phase I
    actually decided particular issues in their favor. 
    Brown, 611 F.3d at 1335
    . We
    ordinarily presume that a jury followed its instructions, see United States v. Stone,
    
    9 F.3d 934
    , 940 (11th Cir. 1993), and the Supreme Court of Florida did not act
    arbitrarily when it applied this presumption and concluded that the jury found only
    issues of common liability.
    20
    Case: 12-13500      Date Filed: 10/31/2013    Page: 21 of 26
    The decision of the Supreme Court of Florida in Douglas is consistent with
    its earlier decision in Engle. In Engle, the Supreme Court of Florida explained that
    the approved findings from Phase I “will have res judicata effect” in the later
    individual cases. 
    Engle, 945 So. 2d at 1269
    . But the court did not approve all of
    the findings from Phase I. Instead, the court stated that the findings of the jury in
    Phase I about fraud and intentional infliction of emotional distress cannot have
    preclusive effect because “the non-specific findings in favor of the plaintiffs” on
    those questions were “inadequate to allow a subsequent jury to consider individual
    questions of reliance and legal cause.” 
    Id. at 1255.
    That the court in Engle denied
    preclusive effect to those findings on the ground that they were not specific enough
    suggests that the court determined that the jury findings about the other claims
    were specific enough to apply in favor of every class plaintiff. See 
    Douglas, 110 So. 3d at 428
    (explaining that, “by accepting some of the Phase I findings and
    rejecting others based on lack of specificity, this Court in Engle necessarily
    decided that the approved Phase I findings are specific enough”).
    R.J. Reynolds had a full and fair opportunity to litigate the issues of common
    liability in Phase I. “The opportunity to be heard is an essential requisite of due
    process of law in judicial proceedings.” 
    Richards, 517 U.S. at 797
    n.4, 116 S. Ct.
    at 1765 
    n.4. During Phase I, R.J. Reynolds had an opportunity to contest its
    liability and challenge the verdict form that the trial court submitted to the jury.
    21
    Case: 12-13500    Date Filed: 10/31/2013   Page: 22 of 26
    After the trial court declined to adopt the jury verdict form proposed by the
    tobacco companies and the jury decided against the tobacco companies on the
    issues of common liability, R.J. Reynolds challenged those decisions before the
    Supreme Court of Florida, but that court rejected its arguments. See 
    Engle, 945 So. 2d at 1254
    –55. And R.J. Reynolds petitioned the Supreme Court of the United
    States to review the decision of the Supreme Court of Florida, but the Supreme
    Court of the United States denied its petition. See R.J. Reynolds Tobacco Co. v.
    Engle, 
    552 U.S. 941
    , 
    128 S. Ct. 96
    (2007) (denying the petition for writ of
    certiorari).
    R.J. Reynolds also has had an opportunity to contest its liability in these later
    cases brought by individual members of the Engle class. Although R.J. Reynolds
    has exhausted its opportunities to contest the common liability findings of the jury
    in Phase I, it has vigorously contested the remaining elements of the claims,
    including causation and damages. The modest sums received by the plaintiffs in
    this appeal—less than $28,000 for Walker and less than $8,000 for Duke—suggest
    that the juries fairly considered the questions of damages and fault.
    R.J. Reynolds argues that “traditional practice provides a touchstone for
    constitutional analysis” under the Due Process Clause, Honda Motor Co., Ltd. v.
    Oberg, 
    512 U.S. 415
    , 430, 
    114 S. Ct. 2331
    , 2339 (1994), and that the decision in
    Douglas extinguishes the protection against arbitrary deprivations of property
    22
    Case: 12-13500   Date Filed: 10/31/2013    Page: 23 of 26
    embodied in the federal common law of issue preclusion, which bars relitigation
    only of “issues actually decided in a prior action.” See Gjellum v. City of
    Birmingham, Ala., 
    829 F.2d 1056
    , 1059 (11th Cir. 1987) (emphasis added). R.J.
    Reynolds fails to identify any court that has ever held that due process requires
    application of the federal common law of issue preclusion. Nor does R.J.
    Reynolds identify any other court that has declined to give full faith and credit to a
    judgment of a state court as later interpreted by the same state court on the ground
    that the later state court decision was so wrong that it amounted to a violation of
    due process.
    R.J. Reynolds argues that the Supreme Court held in 
    Fayerweather, 195 U.S. at 299
    , 25 S. Ct. at 64, that parties have a right, under the Due Process Clause, to
    the application of the traditional law of issue preclusion, but we disagree. The
    Supreme Court stated in Fayerweather that the Due Process Clause is implicated
    when a party argues that a court has given preclusive effect to an issue that was not
    actually decided in a prior litigation. 
    Id. But the
    Supreme Court held that no
    violation of the Due Process Clause had occurred because the issue had been
    actually decided in the prior litigation. 
    Id. at 301,
    308, 25 S. Ct. at 65
    , 68. The
    Supreme Court had no occasion in Fayerweather to decide what sorts of
    applications of issue preclusion would violate due process.
    23
    Case: 12-13500     Date Filed: 10/31/2013   Page: 24 of 26
    R.J. Reynolds next argues that it is impossible to tell whether the jury
    determined that it acted wrongfully in connection with some or all of its brands of
    cigarettes because the plaintiffs presented both general and brand-specific theories
    of liability, but the decision of the Supreme Court of Florida forecloses that
    argument. Whether a jury actually decided an issue is a question of fact, see Starr
    Tyme, Inc. v. Cohen, 
    659 So. 2d 1064
    , 1068 (Fla. 1995), and the Supreme Court of
    Florida looked past the ambiguous jury verdict to decide this question of fact.
    If due process requires a finding that an issue was actually decided, then the
    Supreme Court of Florida made the necessary finding when it explained that the
    approved findings from Phase I “go to the defendants underlying conduct which is
    common to all class members and will not change from case to case” and that “the
    approved Phase I findings are specific enough” to establish certain elements of the
    plaintiffs’ claims. 
    Douglas, 110 So. 3d at 428
    . Labeling the relevant doctrine as
    claim preclusion instead of issue preclusion may be unorthodox and inconsistent
    with the federal common law about those doctrines, but the Supreme Court has
    instructed us that, “[i]n determining what is due process of law, regard must be had
    to substance, not to form.” 
    Fayerweather, 195 U.S. at 297
    , 25 S. Ct. at 64
    (quotation marks omitted). “State courts are free to attach such descriptive labels
    to litigations before them as they may choose and to attribute to them such
    consequences as they think appropriate under state constitutions and laws, subject
    24
    Case: 12-13500     Date Filed: 10/31/2013    Page: 25 of 26
    only to the requirements of the Constitution of the United States.” Hansberry v.
    Lee, 
    311 U.S. 32
    , 40, 
    61 S. Ct. 115
    , 117 (1940). Our deference to the decision in
    Douglas does not violate the constitutional right of R.J. Reynolds to due process of
    law. Whether the Supreme Court of Florida calls the relevant doctrine issue
    preclusion, claim preclusion, or something else, is no concern of ours.
    We must give full faith and credit to the decision of the Supreme Court of
    Florida about how to resolve this latest chapter of the intractable problem of
    tobacco litigation. For several decades, R.J. Reynolds and the other major
    companies of the tobacco industry have “remained under the long shadow of
    litigation, that chronic potential spoiler of their financial well-being.” Richard
    Kluger, Ashes to Ashes: America’s Hundred-Year Cigarette War, the Public
    Health, and the Unabashed Triumph of Philip Morris 760 (1996). “The tobacco
    industry was primed to meet these ever larger challenges as a cost of doing
    business, and it did not lack for plausible, even persuasive, defenses.” 
    Id. Courts, after
    all, long ago recognized the inherent risks of cigarette smoking. See, e.g.,
    Austin v. State, 
    48 S.W. 305
    , 306 (Tenn. 1898) (Cigarettes are “wholly noxious
    and deleterious to health. Their use is always harmful, never beneficial. They
    possess no virtue, but are inherently bad, and bad only.”). And physicians
    “suspected a link between smoking and illness for centuries.” Cipollone v. Liggett
    Grp., Inc., 
    505 U.S. 504
    , 513, 
    112 S. Ct. 2608
    , 2615 (1992). In 1604, King James I
    25
    Case: 12-13500     Date Filed: 10/31/2013    Page: 26 of 26
    wrote “A Counterblaste to Tobacco,” that described smoking as “a custom
    loathsome to the eye, hateful to the nose, harmful to the brain, dangerous to the
    lung, and the black stinking fume thereof, nearest resembling the horribly Stygian
    smoke of the pit that is bottomless.” See 
    Kluger, supra, at 15
    (quoting “A
    Counterblaste to Tobacco”). And popular culture too recognized those risks. See,
    e.g., Tex Williams, “Smoke! Smoke! Smoke! (That Cigarette)” (Capitol Records
    1947) (“Smoke, smoke, smoke that cigarette. / Puff, puff, puff, and if you smoke
    yourself to death, / Tell Saint Peter at the Golden Gate / That you hate to make him
    wait / But you’ve just got to have another cigarette.”). So juries often either
    discounted or rejected the claims of smokers who sought to hold tobacco
    companies liable for the well-known harms to their health caused by smoking. But
    a “wave of suits, brought by resourceful attorneys representing vast claimant
    pools,” 
    Kluger, supra, at 760
    , continued. We cannot say that the procedures,
    however novel, adopted by the Supreme Court of Florida to manage thousands of
    these suits under Florida law violated the federal right of R.J. Reynolds to due
    process of law.
    IV.   CONCLUSION
    We AFFIRM the judgments against R.J. Reynolds and in favor of Walker
    and Duke.
    26