Angela Montgomery v. Wyeth ( 2009 )


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  •                       RECOMMENDED FOR FULL-TEXT PUBLICATION
    Pursuant to Sixth Circuit Rule 206
    File Name: 09a0314p.06
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    _________________
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    ANGELA MONTGOMERY,
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    Plaintiff-Appellant,
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    No. 08-5701
    v.
    ,
    >
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    WYETH, fka American Home Products
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    Corporation, AHP SUBSIDIARY HOLDING
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    CORPORATION, fka Wyeth-Ayerst
    Laboratories Company; WYETH                       -
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    PHARMACEUTICALS, INC., fka Wyeth-Ayerst
    Defendants-Appellees. -
    Pharmaceuticals, Inc.,
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    N
    Appeal from the United States District Court
    for the Eastern District of Tennessee of Chattanooga.
    No. 05-00323—Curtis L. Collier, District Judge.
    Argued: January 14, 2009
    Decided and Filed: August 28, 2009
    Before: SUHRHEINRICH, GILMAN, and WHITE, Circuit Judges.
    _________________
    COUNSEL
    ARGUED: Gregory J. Bubalo, BUBALO, HIESTAND & ROTMAN, PLC, Louisville,
    Kentucky, for Appellant. Michael T. Scott, REED SMITH LLP, Philadephia, Pennsylvania,
    for Appellees. ON BRIEF: Gregory J. Bubalo, D. Brian Rattliff, BUBALO, HIESTAND
    & ROTMAN, PLC, Louisville, Kentucky, Gregory F. Coleman, COLEMAN & EDWARDS,
    PSC, Knoxville, Tennessee, for Appellant. Michael T. Scott, REED SMITH LLP,
    Philadephia, Pennsylvania, Samuel L. Felker, BASS, BERRY & SIMS, Nashville,
    Tennessee, for Appellees. Michael D. Fishbein, LEVIN, FISHBEIN, SEDRAN &
    BERMAN, Philadelphia, Pennsylvania, for Amicus Curiae.
    SUHRHEINRICH, J., delivered the opinion of the court, in which GILMAN, J.,
    joined. WHITE, J. (pp. 20-23), delivered a separate opinion concurring in the affirmance.
    1
    No. 08-5701              Montgomery v. Wyeth, et al.                                                 Page 2
    _________________
    OPINION
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    SUHRHEINRICH, Circuit Judge. Plaintiff Angela Montgomery sued Defendants
    Wyeth, Wyeth Pharmaceuticals, Inc., a wholly owned subsidiary of Wyeth, and AHP
    Subsidiary Holding Corporation, also a subsidiary of Wyeth, after she developed primary
    pulmonary hypertension (“PPH”), a serious, debilitating, and usually fatal disease, from
    ingesting “Fenphen,”a combination diet drug therapy that included Defendant Wyeth’s diet
    1
    drug, Pondimin.          The district court held that Montgomery’s claim was barred by
    Tennessee’s statute of repose, which requires that an action “be brought within one
    (1) year after the expiration of the anticipated life of the product.” Tenn. Code Ann.
    § 29-28-103(a) (“TSOR”).2 Montgomery appeals.
    1
    Pondimin was Wyeth’s trade name for fenfluramine. As explained by the district court in the
    multidistrict litigation:
    Fenfluramine is an appetite suppressant that affects blood levels of the neurotransmitter,
    serotonin. Dexfenfluramine, the “d-isomer” of fenfluramine, is chemically related to
    fenfluramine and acts as an appetite suppressant by stimulating the release of serotonin
    from nerve cells in the brain and by reducing the reuptake of the released serotonin. In
    1973, The United States Food and Drug Administration (“FDA”) approved A.H.
    Robins, Inc.’s new drug application to market fenfluramine in the United States. . . .
    Before 1989, A.H. Robins, Inc. was responsible for the marketing, sale and labeling of
    fenfluramine in the United States. In 1989, AHP acquired A.H. Robins. Following the
    acquisition, fenfluramine was marketed by AHP under the trade name “Pondimin.” . . .
    In 1992, a series of articles by Michael Weintraub, M.D., were published in the Journal
    of Clinical Pharmacology and Therapy, in which Dr. Weintraub advocated the use of
    fenfluramine together with the drug phentermine for weight loss management without
    the adverse side effects associated with the use of fenfluramine alone. This regimen
    popularly became known as “Fen-Phen.” . . .
    Dexfenfluramine, the chemical cousin of Pondimin, was developed by Les Laboratories
    Servier S.A. (“LLS”) in France. The drug afforded the same anorexic effects as
    Pondimin without the need to add phentermine to ameliorate adverse side effects. Before
    1994, the Lederle Division of American Cyanamid Company had the right, together
    with Interneuron Pharmaceuticals, Inc., to develop and promote dexfenfluramine in the
    United States under the trade name “Redux.” In 1994, AHP acquired American
    Cyanamid. Following that acquisition, responsibility for the development and promotion
    of Redux in the United States in conjunction with Interneuron was assumed by AHP.
    Interneuron received approval to market Redux in the United States in mid-1996.
    In re Diet Drugs, Nos. 1203, 99-20593, 
    2000 WL 1222042
    , at *1 (E.D. Pa. Aug. 28, 2000) (“PTO 1415”).
    2
    The products liability statute of repose provides as follows:
    Any action against a manufacturer or seller of a product for injury to person or property
    No. 08-5701           Montgomery v. Wyeth, et al.                                                    Page 3
    I. Background
    The FDA approved the sale of the Pondimin brand of fenfluramine 20 mg tablets
    as a prescription weight loss medication in 1973. Pondimin 20 mg tablets were
    manufactured in Richmond, Virginia, and distributed by Wyeth to pharmacies and
    wholesalers in 100-count and 500-count stock bottles. The expiration date for Pondimin
    20 mg tablets was three years from the month of manufacture of each lot. The expiration
    date was printed on a label affixed to each stock bottle. Wyeth did not sell Pondimin 20
    mg tablets directly to consumers. Instead the tablets were packaged by third parties.
    The product was withdrawn from the market in September 1997.
    Montgomery began taking Pondimin in 1997.                           A Tennessee resident,
    Montgomery traveled to the Med-X Clinic in Fort Oglethorpe, Georgia, to receive
    treatment and prescriptions of Pondimin, which was not available in Tennessee at that
    time. Montgomery received her first treatment in January 1997 and went to Georgia at
    least eight times during 1997. Each time, she was evaluated by a Georgia physician.
    She was prescribed, and purchased, Pondimin on seven of those visits. Montgomery saw
    three doctors: Dr. Merton Sure, who has since died; Dr. David Hargett, who lost his
    medical license in January 2001; and Dr. Joyce Gray.
    Pondimin became available in Tennessee as of March 26, 1997. Wyeth
    voluntarily withdrew Pondimin from the market on September 15, 1997, and did not
    manufacture, package, or distribute it after that time. Montgomery stopped using
    Pondimin in August 1997.
    In December 1997, the Judicial Panel on Multidistrict Litigation established
    MDL No. 1203 in the Eastern District of Pennsylvania for consolidated proceedings
    caused by its defective or unreasonably dangerous condition must be brought within the
    period fixed by §§ 28-3-104, 28-3-105, 28-3-202 and 47-2-725, but notwithstanding any
    exceptions to these provisions it must be brought within six years of the date of injury,
    in any event, the action must be brought within ten (10) years from the date on which
    the product was first purchased for use or consumption, or within one (1) year after the
    expiration of the anticipated life of the product, whichever is the shorter, except in the
    case of injury to minors whose action must be brought within a period of one (1) year
    after attaining the age of majority, whichever occurs sooner.
    Tenn. Code Ann. § 29-28-103(a) (West 2008) (emphasis added).
    No. 08-5701        Montgomery v. Wyeth, et al.                                     Page 4
    relating to a wave of litigation involving Pondimin, Redux, and phentermine. See In re
    Diet Drugs, Nos. 1203, 99-20593, 
    2000 WL 1222042
    , at *1 (E.D. Pa. Aug. 28, 2000)
    (“PTO 1415"). On October 7, 1999, the numerous parties to the action reached an
    understanding of the principal terms of the settlement in a Memorandum of
    Understanding (“MOU”). 
    Id. at *5.
    On October 12, 1999, a class action styled Brown
    v. Wyeth was filed on behalf of all users of Pondimin and Redux, in the Eastern District
    of Pennsylvania and became part of MDL 1203. 
    Id., at *19.
    Montgomery is a member
    of the Brown class. On November 18, 1999, the parties executed a Nationwide Class
    Action Settlement Agreement (“Settlement Agreement”), which included the Brown
    class members. On August 28, 2000, the district court entered PTO 1415, which
    certified the class and approved the Settlement Agreement. See 
    id. Montgomery was
    not diagnosed with PPH until April 2005. She filed the present
    action in Tennessee state court in October 2005, within six months after being
    diagnosed. The case was removed to the United States District Court for the Eastern
    District of Tennessee, transferred to the MDL for pretrial proceedings in February 2006,
    and then remanded to the district court in July 2007. Defendants moved for summary
    judgment, alleging that Montgomery’s claim was barred by the TSOR because it had not
    been brought within one year of the expiration date of the product. The district court
    reluctantly agreed and granted summary judgment to Defendants on March 19, 2008.
    Specifically, the court concluded that the TSOR applied to Montgomery’s claim under
    Tennessee’s conflict-of-laws rules, the Settlement Agreement did not preserve her right
    to sue for PPH, Tennessee law rather than Georgia law applied, and Wyeth did not waive
    its statute of repose defense. See Montgomery v. Wyeth, 
    540 F. Supp. 2d 933
    (E.D.
    Tenn. 2008). The court also denied Montgomery’s Rule 59 motion to alter or amend
    judgment. This appeal followed.
    II. Analysis
    This Court reviews a district court’s grant of summary judgment de novo.
    Gribcheck v. Runyon, 
    245 F.3d 547
    , 550 (6th Cir. 2001). Summary judgment is proper
    if “the pleadings, the discovery and disclosure materials on file, and any affidavits show
    No. 08-5701             Montgomery v. Wyeth, et al.                                                        Page 5
    that there is no genuine issue as to any material fact and that the movant is entitled to
    judgment as a matter of law.” Fed. R. Civ. P. 56(c).
    A. Choice of Law
    Montgomery argues that the district court erred in applying Tennessee law
    because the relevant choice-of-law principles dictate that Georgia law should govern.
    As noted, the district court held that the TSOR barred Montgomery’s claim. There is a
    conflict because Georgia’s statute of repose, which limits claims only after ten years,
    would not bar her claim. See Ga. Code Ann. § 51-1-11 (West 2008) (stating that “[n]o
    action shall be commenced pursuant to this subsection with respect to an injury after ten
    years from the date of the first sale for use or consumption of the personal property
    causing or otherwise bringing about the injury”).
    Because this is a diversity action, the law of the forum state, including the
    choice-of-law rules, apply. Uhl v. Komatsu Forklift Co., 
    512 F.3d 294
    , 302 (6th Cir.
    2008).        Tennessee follows the “most significant relationship” approach of the
    Restatement (Second) of Conflict of Laws to choice-of-law questions. Hataway v.
    McKinley, 
    830 S.W.2d 53
    , 59 (Tenn. 1992). Under this approach, “the law of the state
    where the injury occurred will be applied unless some other state has a more significant
    relationship to the litigation.” 
    Id. at 59.
    3 Tennessee adopted this position “because
    3
    The Restatement provides:
    § 145 The General Principle
    (1) The rights and liabilities of the parties with respect to an issue in tort are determined
    by the local law of the state, which with respect to that issue, has the most significant
    relationship to the occurrence and the parties under the principles stated in § 6.
    
    Hataway, 830 S.W.2d at 59
    (quoting Restatement (Second) of Conflict of Laws § 145 (1971)).
    The relevant principles to consider are:
    (a) the needs of the interstate and international systems,
    (b) the relevant policies of the forum,
    (c) the relevant policies of other interested states and the relative interests of those states
    in the determination of the particular issue,
    (d) the protection of justified expectations,
    (e) the basic policies underlying the particular field of law,
    (f) certainty, predictability, and uniformity of result, and
    (g) ease in the determination and application of the law to be applied.
    No. 08-5701           Montgomery v. Wyeth, et al.                                     Page 6
    generally the law of the state where the injury occurred will have the most significant
    relationship to the litigation.” 
    Id. Thus, the
    most significant relationship “provides a
    ‘default’ rule whereby trial courts can apply the law of the place where the injury
    occurred when each state has an almost equal relationship to the litigation.” 
    Id. Contacts to
    be considered in determining which state has the most significant
    relationship include (1) the place where the injury occurred, (2) the place where the
    conduct causing the injury occurred, (3) the domicile, residence, nationality, place of
    incorporation and place of business of the parties, and (4) the place where the
    relationship, if any, between the parties is centered. 
    Id. at 59
    (quoting § 145(2)).
    The district court analyzed these four factors. First, the court noted that the place
    of injury is not obvious when the injury is a latent disease, like PPH, and that there is no
    Tennessee law for determining where a latent injury is suffered. However, the court also
    noted that there was no indication that Montgomery suffered from PPH in Georgia. The
    court therefore concluded that because she developed her injury while living in
    Tennessee, her place of injury is Tennessee. The court reasoned that this conclusion was
    consistent with the language of Tennessee’s product liability statute of limitations, which
    states that a cause of action accrues when a plaintiff suffers her injury, not when she
    purchases the product. See Tenn. Code Ann. § 28-3-104(b)(1). Second, the district
    court determined that the conduct causing the injury occurred in Georgia because
    Montgomery bought Pondimin from a clinic in Georgia. The court noted that the drug
    was prescribed by Georgia doctors, and that she signed a consent form with a Georgia
    clinic. Furthermore, the Georgia doctors allegedly relied on false information from
    Wyeth. Third, the district court observed that Montgomery lived in Tennessee during
    the relevant periods and that Wyeth is incorporated in Delaware with its principal place
    of business in New Jersey. Lastly, the court determined that “the indirect relationship
    Plaintiff and Defendant had in Georgia weighs in favor of Georgia, but is weak.” See
    Montgomery v. Wyeth, 
    540 F. Supp. 2d 933
    , 944 (E.D. Tenn. 2008).
    
    Id. at 59
    n.3 (quoting Restatement (Second) of Conflict of Laws § 6(2) (1971)).
    No. 08-5701            Montgomery v. Wyeth, et al.                                                Page 7
    Weighing these factors, the district court concluded that Tennessee had the most
    significant relationship because Tennessee was where Montgomery consumed the
    Pondimin and suffered her injury. By contrast, the only contact she had with Georgia
    was that she purchased the product from a third party there. See 
    id. at 944-945.
    On appeal, Montgomery claims that all the key events occurred in Georgia and
    that application of the TSOR does not promote any interest of the state of Tennessee.
    We agree with the district court that Tennessee has the most significant relationship to
    the parties and the occurrence at issue. Although it has not ruled on the issue of latent
    injury, the Tennessee Supreme Court has commented, in the context of adopting the
    discovery rule for malpractice actions, that where the “injury complained of, and the
    harmful effect thereof develops gradually over a period of time, the injury is ‘sustained’
    . . . when the harmful effect first manifests itself and becomes physically ascertainable.”
    Teeters v. Curry, 518 S.W.2d, 512, 517 (Tenn. 1974) (quoting Layton v. Allen, 
    246 A.2d 974
    , 978 (Del. 1968) (holding that a cause of action for medical malpractice accrues and
    the statute of limitations begins to run when the patient discovers or reasonably should
    have discovered the injury)). Further, based on the assertions in the complaint and
    evidence in the record, Tennessee has the most significant relationship to the parties and
    the occurrence because Tennessee is where Montgomery sustained her injury, Tennessee
    is her place of domicile and residence, Tennessee is where she intended to and did use
    almost all of her Pondimin tablets, and Tennessee is the state where she was diagnosed
    and treated for her injury. Wyeth also conducted business in Tennessee, where
    Pondimin was expected to be used by customers like Montgomery, and where it was in
    fact sold during most of the time Montgomery used it.4 Cf. Trahan v. E.R. Squibb &
    Sons, Inc., 
    567 F. Supp. 505
    (M.D. Tenn. 1983) (applying the lex loci approach, holding
    that Tennessee law rather than North Carolina law applied to the plaintiff’s claim against
    the defendant manufacturer of DES, although the plaintiff’s mother ingested the drug
    4
    Although Pondimin was banned for sale in Tennessee part of the time Montgomery was taking
    it, its use was always permitted. Tennessee residents were induced to obtain Pondimin through third-party
    advertising in Tennessee, and it was lawfully sold in at least 700 Tennessee pharmacies during most of the
    time Montgomery used it. It became legal to prescribe Fenphen in Tennessee on March 27, 1997, two
    months after Montgomery started taking Pondimin.
    No. 08-5701        Montgomery v. Wyeth, et al.                                     Page 8
    while pregnant in North Carolina, because the plaintiff moved to Tennessee, became
    pregnant, and was diagnosed with an incompetent cervix there).
    Although Montgomery obtained Pondimin in Georgia, she received Pondimin
    from a third party. She took at most a few tablets there, and she does not claim to have
    suffered any symptoms in Georgia. None of the parties are current or former residents
    of Georgia. Montgomery alleges that her prescribing physicians received inadequate
    warnings from Wyeth in Georgia. However, there is no support in the record that her
    prescribing doctors reviewed Wyeth’s inadequate warnings, relied on any other
    statements made by Wyeth, or were uninformed about the risks of Pondimin when they
    prescribed it to Montgomery in 1997. Thus, Montgomery’s relationship with Wyeth is
    more significant in Tennessee, the state where she actually used the manufacturer’s
    product and suffered the resulting injury, rather than Georgia, the state where she
    obtained the product through a third party.
    Montgomery claims that all of the wrongful acts were consummated in Georgia
    because she was not fully informed of the risks at the prescribing clinic. She claims that
    she relied on her prescribing doctors at the Med-X Clinic to know the risks of Pondimin
    and she signed a consent form at the clinic stating that such consent was necessary
    pursuant to Georgia law and also that her treating physicians were licensed to practice
    in Georgia. She further claims that Wyeth did not adequately inform these doctors about
    the risks of its drugs. In support, she provides the testimony of Dr. Leon Lane, M.D.,
    the Medical Director of Med-X Clinic at the time of her treatment. Dr. Lane testified
    that its consent form was inadequate because it was based on Wyeth’s 1996 labeling,
    which did not highlight the risks for VHD and PPH. She also points out that the 1996
    Physicians Desk Reference (“PDR”), which was sent to the Med-X Clinic, mentioned
    only four reported cases of pulmonary hypertension worldwide associated with
    Pondimin use and no cases of PPH, despite the fact that Wyeth was aware of more than
    fifty cases of PPH by May, 1996.
    However, Montgomery offers no proof that either Dr. Shure or Dr. Hargett
    reviewed Wyeth’s warnings or any other statements made by Wyeth. Dr. Lane did not
    No. 08-5701        Montgomery v. Wyeth, et al.                                      Page 9
    provide any evidence about the information Drs. Shure or Hargett had about Pondimin,
    and he did not work at the clinic when Dr. Hargett first prescribed Pondimin to
    Montgomery in June 1997. Dr. Lane offered no evidence relating to the Pondimin
    labeling in effect when Montgomery was prescribed Pondimin in 1997. Dr. Lane’s
    testimony about the clinic’s consent form is irrelevant because it did not contain any
    statements made by Wyeth and he did not draft it. In short, this evidence does not
    establish that Georgia’s contacts are more significant than Tennessee’s.
    Our decision in In re Bendictin Litig., 
    857 F.2d 290
    (6th Cir. 1988), does not help
    Montgomery. As the district court noted, Bendectin applied Ohio law under Ohio
    choice-of-law rules because the drug was manufactured in Ohio, where the manufacturer
    also maintained its principal place of business. Pondimin was manufactured in Virginia,
    and the Wyeth entities maintain their principal places of business in Pennsylvania and
    New Jersey. Bendectin does not support the proposition that Georgia law should apply
    simply because the product was sold there.
    In further support of its conclusion that Tennessee law should apply, the district
    court applied the choice-of-law principles from § 6 of the Restatement (Second) Conflict
    of Laws:
    [T]he principles in the Restatement . . . suggest Tennessee law should
    apply. Plaintiff argues Tennessee has an interest in compensating its
    resident and Georgia has an interest in regulating a product sold in its
    state. But this argument fails. Tennessee’s interest is not in
    compensating its resident for harm done to her. Such an interest may be
    a good idea, but that is a decision for the General Assembly, not the
    Court. The policy of Tennessee as exemplified through its statute of
    repose is that residents who suffer from diseases with long incubation or
    latency periods are not entitled to recover for harms done to them.
    Although this statute is designed to limit product liability costs for
    manufacturers and sellers, it is not inapplicable merely because the
    product was not purchased in Tennessee. Pondimin was sold for a short
    period of time in Tennessee, and PPH is not the only latent disease for
    which the legislature decided not to create an exception. To the extent
    Tennessee wants to protect Pondimin’s manufacturers and sellers from
    product liability costs, the statute advances that goal. And while Georgia
    does have an interest in regulating a product sold there, Tennessee has an
    No. 08-5701         Montgomery v. Wyeth, et al.                                      Page 10
    interest in regulating a product used here; it chooses to effect that interest
    by strictly limiting the time that actions can be brought.
    
    Montgomery, 540 F. Supp. 2d at 945
    . The court further noted that, while not dispositive,
    the parties had already relied exclusively on Tennessee law. 
    Id. Montgomery claims
    that the district court failed to consider whether the TSOR,
    as applied to this case, outweighed “relevant policies of other states and the relative
    interests of those states in the determination of the particular issue.” Restatement
    (Second) of Conflict of Laws §§ 6(b) and (c). See also Restatement (Second) of Conflict
    of Laws, § 145, cmt. c (stating that “the interest of a state in having its tort rule applied
    in the determination of a particular issue will depend upon the purpose sought to be
    achieved by that rule and by the relation of the state to the occurrence and the parties”).
    She also asserts that Tennessee has no interest in a claim that is barred by Tennessee
    law. Thus, Montgomery contends that, as applied to this case, the TSOR does not
    advance Tennessee’s interest in controlling insurance rates. Further, she notes that
    numerous authorities have noted that statutes like the TSOR do not actually lower
    insurance premiums, including this Court in Kochins v. Linden-Alimak, Inc., 
    799 F.2d 1128
    , 1140 (6th Cir. 1986) (acknowledging that the legislative goals of the TSOR are
    not likely to be accomplished by the means selected based on the views of various
    authorities).
    The primary flaw in Montgomery’s argument is that it focuses on the outcome
    of applying Tennessee’s statute of repose rather than on the significance of Tennessee’s
    relationship to the parties and the place of injury as required by Hataway. Tennessee’s
    choice-of-law analysis does not turn on whether a plaintiff has a viable claim in one
    state but not another. See Restatement (Second) of Conflict of Laws § 145, cmt. c (“A
    rule which exempts the actor from liability for harmful conduct is entitled to the same
    consideration in the choice-of-law process as a rule which imposes liability”; see also
    Smith v. Priority Transp., Inc., No. 02A01-9203-CV-00074, 
    1993 WL 29021
    , at *3
    (Tenn. Ct. App. Feb. 9, 1993) (holding that Mississippi law applied to a Mississippi
    resident’s claim for retaliatory discharge from his job in Mississippi for filing a worker’s
    compensation claim even though Mississippi did not recognize such a claim and
    No. 08-5701        Montgomery v. Wyeth, et al.                                    Page 11
    Tennessee did); Cruz v. Ford Motor Co., 
    435 F. Supp. 2d 701
    , 707 (W.D. Tenn. 2006)
    (holding that Michigan law barring the plaintiff’s claim for punitive damages applied,
    even though Tennessee would have allowed it).
    As the Tennessee Supreme Court has recognized, the Tennessee products liability
    statute of repose “was enacted as an important and specific measure to address products
    liability actions.” Penley v. Honda Motor Co., 
    31 S.W.3d 181
    , 187 (Tenn. 2000); see
    also Jones v. Five Star Eng’g Inc., 
    717 S.W.2d 882
    , 883 (Tenn. 1986) (“The statute in
    question was enacted after lengthy debates and full consideration by the General
    Assembly. In our opinion it represents a reasonable balancing of the conflicting interests
    and concerns with which the Legislature had to deal.”). The preamble to Tennessee
    Products Liability Act (“TPLA”) states:
    WHEREAS, The General Assembly finds and declares that the number
    of product liability suits and claims for damages and the amount of
    judgments, settlements and the expense of defending such suits have
    increased greatly in recent years, and because of these increases[,] the
    cost of product liability insurance was substantially increased.
    
    Penley, 31 S.W.3d at 187
    (quoting preamble). In Penley, the Tennessee Supreme Court
    explained:
    As the preamble to the TLPA indicates, the General Assembly perceived
    that uncertainty as to future liability increased the premiums for product
    liability insurance, which in turn increased the costs of production and
    ultimately consumer prices. The legislature considered the limitation of
    future liability to a reasonable and specific period to be one of the most
    important keys in solving the perceived products liability crisis.
    
    Penley, 31 S.W.2d at 187
    .
    We are not in a position to alter this policy decision of the state legislature.
    Indeed, this Court and the Tennessee Supreme Court have repeatedly upheld the
    constitutionality of the TSOR. See Kochins, 
    799 F.2d 1128
    ; Mathis v. Eli Lilly & Co.,
    
    719 F.2d 134
    (6th Cir. 1983); Hayes v. Gen. Motors Corp., No. 95-5713; 
    94 F.3d 644
    ,
    
    1996 WL 452916
    , *4 (6th Cir. Aug. 8, 1996) (unpublished per curiam); Jones v. Five
    Star Eng’g, Inc., 
    717 S.W.2d 882
    (Tenn. 1986); Harmon v. Angus R. Jessup Assocs.,
    No. 08-5701        Montgomery v. Wyeth, et al.                                   Page 12
    Inc., 
    619 S.W.2d 522
    (Tenn. 1981); Harrison v. Schrader, 
    569 S.W.2d 822
    (Tenn.
    1978); see also Spence v. Miles Lab., Inc., 
    810 F. Supp. 952
    , 960-61 (E.D. Tenn.1992),
    aff’d, 
    37 F.3d 1185
    (6th Cir.1994); Stutts v. Ford Motor Co., 
    574 F. Supp. 100
    (M.D.
    Tenn. 1983). And this Court has rejected the criticisms made by Montgomery. See
    
    Kochins, 799 F.2d at 1139-40
    (recognizing that evidence in support of fact that the
    statute actually reduced the cost of product liability insurance was lacking, but noting
    a rational basis existed between the TSOR and goals expressed in the preamble).
    Montgomery’s claim that liability is more likely to be determined on a national basis
    ignores the fact that assessing liability based on the laws of each state would obviously
    be part of that calculation. In short, as the district court held, Tennessee has a strong
    interest is applying its statute of repose in products liability actions, even when that
    forecloses a claim by a Tennessee plaintiff.
    In sum, although Georgia has an interest because Montgomery was prescribed
    Pondimin there, we agree with the district court’s conclusion that Tennessee has the
    stronger interest for the purpose of the choice-of-law analysis. Cf. Lemons v. Cloer, 
    206 S.W.3d 60
    (Tenn. Ct. App. 2006) (holding that Georgia had the more significant
    relationship to bus accident that occurred in Tennessee since all of the children on the
    bus were Georgia residents from a Georgia school district, even though Tennessee
    emergency and medical personnel responded to the accident and injured parties were
    taken to Tennessee hospitals).
    B. Class Action
    Montgomery also contends that the district court erred in applying the TSOR to
    dismiss this action. She argues that the TSOR was satisfied because she made a claim
    “for injury to person or property” as a member of the Brown class, which was certified
    before the TSOR would have barred her claim. She further claims that the class included
    both diagnosed and latent PPH claims and claimants, and that the PPH claims were fully
    preserved and remained subject to the retained jurisdiction of the MDL court. Finally
    she notes that she was enjoined from bringing this action until she satisfied the
    settlement definition of PPH and could not have filed this action any earlier.
    No. 08-5701        Montgomery v. Wyeth, et al.                                   Page 13
    Montgomery was a member of the Brown class, which was approved for
    settlement by the court responsible in MDL 1203. This class was certified to include
    “All persons . . . who ingested Pondimin.” Upon settlement, the MDL court dismissed
    the class action, so the case is no longer pending. See In re Diet Drugs, PTO 1415, 
    2000 WL 1222042
    , at *71 (stating that “[t]he court hereby dismisses, with prejudice . . . the
    Third Amended Complaint in this action”). However, the Brown Class complaint
    expressly stated that PPH claims were not being asserted. The paragraph that defines
    the class clearly provides that “[t]he proposed class and subclasses do not include any
    claims based upon a diagnosis by a qualified physician of primary pulmonary
    hypertension (“PPH”) suffered by a diet drug recipient.”
    The Settlement Agreement also expressly states that it does not include claims
    based on PPH: “Notwithstanding the foregoing, Settled Claims do not include claims
    based on PPH.” In re Diet Drugs, PTO 1415, 
    2000 WL 1222042
    , at *31 (stating that
    “[u]nder the Settlement Agreement, claims based on PPH, including claims for
    compensatory, punitive, exemplary or multiple damages based on PPH are not ‘settled
    claims’”); In re Diet Drugs, MDL 1203, NO. 04-23744, 
    2006 WL 1050289
    , at *1 (E.D.
    Pa. April 20, 2006) (stating that “[t]he Settlement Agreement exempts from the
    definition of ‘settled claims’ those claims based on PPH and allows a class member with
    this condition to sue Wyeth in the tort system”).
    At the same time, the Settlement Agreement “fully preserves” the rights of
    persons who have or develop PPH to sue. See In re Diet Drugs, PTO 1415, 
    2000 WL 1222042
    , at *31. The Settlement Agreement defines PPH, and limits a plaintiff from
    suing until she meets that definition.
    Section VIII.B.1 of the Settlement Agreement, and PTO 1415, ¶ 11, retain the
    district court’s   continuing and exclusive jurisdiction over the action, including
    Defendants and the class members, to administer, supervise, interpret, and enforce the
    settlement in accordance with its terms and to enter such orders as necessary. See In re
    Diet Drugs, PTO 1415, 
    2000 WL 1222042
    , at *72, ¶ 11. PTO 2383, entered on February
    26, 2002, authorizes the district court to enforce PTO 1415, including but not limited to
    No. 08-5701        Montgomery v. Wyeth, et al.                                    Page 14
    injunctive relief against any Class Member who has asserted a claim based on PPH, but
    whose medical condition does not meet the criteria set out in the Settlement Agreement.
    The Settlement Agreement bars Wyeth from asserting a limitations defense
    “unless and until the condition of the Class Member meets the definition of PPH set
    forth” in the Settlement Agreement. The Settlement Agreement expressly provides:
    For purposes of any statute of limitations or similar time bar, the AHP
    Released Parties shall not assert that a Class Member actually had PPH
    unless and until the condition of the Class Member meets the definition
    of PPH set forth in Section I.46.
    In the event that a Class Member initiates a claim based on PPH, the
    AHP Released Parties shall not assert a defense based on “splitting” of
    claims, causes of action and/or parties by virtue of the fact that the Class
    Member is included in the Settlement, but the claim based on PPH is not
    a Settled Claim.
    The first facet of Montgomery’s argument–that any claim will suffice to preserve
    the cause of action–is unpersuasive.        In requiring that an “action against the
    manufacturer . . . of a product for injury to person . . . caused by its defective or
    unreasonably dangerous condition” be “brought” within a certain time, § 29-28-103 does
    not suggest that any action against the manufacturer brought within the statute of repose
    preserves the ability to claim different injuries in the future. See Tenn. Code Ann. § 29-
    28-103. The straightforward reading of § 29-28-103 requires that an action for the injury
    for which a plaintiff seeks to recover be brought within the statute of repose.
    Cronin v. Howe, 
    906 S.W.2d 910
    (Tenn. 1995), does not support Montgomery’s
    argument. In Cronin, the plaintiff’s medical malpractice claim was timely filed and then
    dismissed without prejudice before it was refiled under the Tennessee savings statute,
    § 28-1-105(a) (providing that if an action is filed within the statute of limitations and a
    judgment of dismissal entered on any ground not concluding the right of action, the
    action may be refiled within one year of the dismissal). Under those circumstances, the
    Tennessee Supreme Court held that the applicable statute of repose did not bar the
    plaintiff’s claim. Here, however, Montgomery did not file her PPH claim within the
    statute of repose, cf. 
    id. at 914,
    and she did not refile her claim following dismissal of
    No. 08-5701           Montgomery v. Wyeth, et al.                                             Page 15
    the initial action within the one-year period allowed by any savings statute. Cf. 
    id. at 911.
    In short, Montgomery never filed a timely claim for PPH and no savings statute is
    applicable. Although her class action claim was based on the use of Pondimin, the harm
    asserted was not PPH. She did not file that claim until 2005.
    The second facet of Montgomery’s argument–that the Settlement Agreement
    preserved her PPH claim–is also unpersuasive. As noted above, the Settlement
    Agreement expressly excludes claims for PPH. Thus, the Settlement Agreement did not
    purport to dismiss PPH claims because they were never asserted in the first place.
    Instead, the Settlement Agreement left the PPH claims unsettled and created limitations
    upon the defendants’ ability to raise certain defenses when those claims were presented.
    While it precluded Wyeth from raising “statute of limitations or similar” defenses, or
    claim preclusion, it did not bar Wyeth from raising the statute of repose. By contrast,
    elsewhere, for those class members exercising certain opt-out rights and asserting
    valvular heart disease claims, the Settlement Agreement prevents Wyeth from asserting
    “any defense based on any statute of limitations or repose, the doctrine of laches, or any
    other defense predicated on failure to timely pursue the claim.” As the district court
    noted, it is apparent that the drafters of the Settlement Agreement knew how to bar a
    statute of repose defense, but obviously did not include such a provision with respect to
    PPH claims. Thus, the Settlement Agreement limits Wyeth’s ability to raise a statute of
    limitations defense or to claim that a Class Member actually had PPH such that her
    subsequent claim would be precluded, but it does not bar Wyeth from raising the statute
    of repose.5
    Montgomery also complains that the Settlement Agreement prevented her from
    bringing a PPH claim before she had a confirmed PPH diagnosis as defined in the
    Settlement Agreement. However, as the district court explained:
    5
    Assuming that the Nationwide Settlement Agreement did not exist, any claim under Tennessee
    law relating to the use of Pondimin would be barred unless brought by September 2001. Had Montgomery
    opted out of the Brown class, she still would have had to comply with Tennessee’s statute of repose. Had
    she opted out by the March 2000 deadline and brought suit after her diagnosis in 2005, her claim would
    still be barred by the statute of repose.
    No. 08-5701         Montgomery v. Wyeth, et al.                                    Page 16
    That definition is a contractual provision in a freely-negotiated settlement
    about which all class members had notice and an opportunity to object.
    In re Diet Drugs, MDL 1203 PTO 2623, 
    2002 U.S. Dist. LEXIS 20323
    ,
    *11 (E.D.Pa. Oct. 8, 2002). The settlement agreement gives class
    members with PPH “a right to the full and complete relief allowed by
    law.” In re Diet Drugs, MDL 1203 PTO 3085, 
    2003 WL 22669132
    , *1,
    
    2003 U.S. Dist. LEXIS 20221
    , *16 (E.D.Pa. Oct. 24, 2003). The problem
    for Plaintiff is the settlement agreement cannot change Tennessee
    substantive law. See In re Diet Drugs, PTO 2623, 
    2002 U.S. Dist. LEXIS 20323
    at * 13 (“Any PPH claim, of course, will be subject to the
    substantive law and evidentiary and procedural rules of the place where
    the claim is being litigated.”).
    Plaintiff complains the settlement agreement prevented her from
    asserting her PPH claim until the PPH definition was met. The parties
    contractually agreed as to the administration of PPH claims, but could
    not create a substantive claim that is barred by Tennessee law.
    Furthermore, the PPH definition was articulated by leading medical
    experts and has never been challenged as inaccurate. In re Diet Drugs,
    PTO 3085, 
    2003 WL 22669132
    , at *2, 
    2003 U.S. Dist. LEXIS 20221
    at
    *17; In re Diet Drugs, PTO 2623, 
    2002 U.S. Dist. LEXIS 20323
    at *11.
    “If anything, the definition is more generous to claimants than it might
    otherwise have been.” In re Diet Drugs, PTO 3085, 
    2003 WL 22669132
            at *2, 
    2003 U.S. Dist. LEXIS 20221
    at * 17. Therefore, the settlement
    agreement is not what prevented Plaintiff from asserting her right to sue
    for PPH. The prohibition is that she developed PPH after the statute of
    repose period.
    
    Montgomery, 540 F. Supp. 2d at 941
    . Although the result is harsh in this case, it derives
    from both the contractual arrangements of the nationwide Settlement Agreement and the
    state law of Tennessee, namely the severe one-year statute of repose for products
    liability actions. It did not result from any legal error by the district court.
    C. Expiration Date
    Montgomery also claims that the district court misapplied the TSOR because
    there were no expiration dates on the product dispensed to her. Defendants acknowledge
    that Montgomery did not get the pills in their original packaging because they were
    repackaged by the distributor who bought them from Wyeth and sold them to
    Montgomery.
    No. 08-5701              Montgomery v. Wyeth, et al.                                             Page 17
    The “anticipated life of the product” is the “expiration date placed on the product
    by the manufacturer when required by law but shall not commence until the date the
    product was first purchased for use or consumption.” Tenn. Code Ann. § 29-28-102.6
    As the district court observed, Wyeth stopped manufacturing Pondimin on September 2,
    1997. Wyeth offered uncontested evidence that packaging for Pondimin contained the
    expiration dates as required by law, and those expiration dates were three years from the
    date of manufacture.           Thus, the expirations were at the latest September 2000.
    Montgomery filed this case in October 2005. Because the undisputed evidence
    establishes that all Pondimin tablets had an expiration date of five or more years before
    Montgomery brought this suit, there is no genuine issue of material fact as to the
    expiration date for purposes of applying the TSOR.
    Contrary to Montgomery’s assertion, the TSOR does not require that the
    purchaser have knowledge of the expiration date, but conditions the anticipated life of
    the product on the expiration date imposed by the manufacturer. This reading of the
    statute is consistent with the legislative intent. As this Court has noted, the statute of
    repose operates when “parties may be ignorant about the particular time limitations
    involved. Thus, a delay, even without knowledge of the hazard involved in the delay,
    may preclude the bringing of an otherwise meritorious claim.” 
    Mathis, 719 F.2d at 140
    (holding that the application of ten-year limitation in TSOR does not violate a party’s
    due process rights). However harsh the result, this is a decision of the Tennessee
    legislature. “Statutes of limitation find their justification in necessity and convenience
    rather than logic. . . . They represent a public policy about the privilege to litigate.” 
    Id. (quoting Chase
    Sec. Corp. v. Donaldson, 
    325 U.S. 304
    , 314 (1945)).
    Our decision in Spence v. Miles Lab., 
    37 F.3d 1185
    (6th Cir.1994), is virtually
    identical. There we held the product liability claim was barred by the statute of repose
    6
    Tenn Code Ann. § 29-28-102 provides in pertinent part:
    (1) “Anticipated life.” The anticipated life of a product shall be determined by the expiration date placed
    on the product by the manufacturer when required by law but shall not commence until the date the product
    was first purchased for use or consumption[.]
    Tenn. Code Ann. § 29-28-102 (West 2008).
    No. 08-5701         Montgomery v. Wyeth, et al.                                      Page 18
    because the expiration date on a package of blood (which was infected with AIDS and
    was transferred to the plaintiff) was June 5, 1987, and the plaintiff had filed his product
    liability claim more than one year after that date, despite the fact that he filed his action
    less than one year after discovering he had AIDS. 
    Id. at 1188,
    1190. As the district
    court held, Spence controls the result in this case.
    D. Waiver
    Last, Montgomery contends that the district court erred in finding that
    Defendants had not waived their statute of repose defense. Montgomery argues that
    Defendants did not raise it in their Answer and waited more than thirty-two months after
    the action was filed to assert it.
    The district court ruled that Defendants sufficiently pleaded the statute of repose
    defense because their Answer states that “Plaintiff’s causes of action are barred in whole
    or in part by the applicable statutes of limitations and repose,” and their affirmative
    defenses include the “defenses of the Tennessee Products Liability Act of 1978, as
    codified in [Tenn. Code Ann.] §§ 29-28-101 through 108.” (Court File No. 8, pp. 2 &
    32).
    We agree. The Federal Rules of Civil Procedure do not require a heightened
    pleading standard for a statute of repose defense. Rule 8(b)(1) provides generally that
    “[i]n responding to a pleading, a party must . . . state in short and plain terms its defenses
    to each claim.” Rule 8(d)(1) requires that averments in pleadings be “simple, concise,
    and direct,” and that “[n]o technical form is required.” Fed. R. Civ. P. 8(b)(1). Cf.
    Conley v. Gibson, 
    355 U.S. 41
    , 47 (1957) (stating that a plaintiff must simply “give the
    defendant fair notice of what the plaintiff’s claim is and the grounds upon which it
    rests”). It also states that a party may state as many defenses as it has, regardless of
    consistency. Fed. R. Civ. P. 8(d)(3).
    The averments cited above satisfy this standard. The TSOR is codified at
    subsection 29-28-103, and is plainly one of the defenses asserted. Thus, it cannot be
    No. 08-5701             Montgomery v. Wyeth, et al.                                                 Page 19
    said that Wyeth waived the defense when it both presented it in its Answer and then filed
    its motion for summary judgment before the dispositive motion deadline.7
    III. Conclusion
    For the foregoing reasons, as well as those in the district court’s thorough and
    thoughtful opinion, the judgment of the district court is AFFIRMED.
    7
    As noted by the district court, even if Defendants had not relied on the statute of repose in their
    answer, the TSOR was probably not a waivable affirmative defense under Tennessee law. Although
    federal law governs procedural rules, including when waiver occurs, state law defines the nature of
    defenses. Roskam Baking Co., Inc. v. Lanham Mach. Co., 
    288 F.3d 895
    , 901 (6th Cir. 2002). The
    Tennessee Supreme Court has held that, unlike a statute of limitations, a statute of repose is substantive
    rather than procedural. A statute of limitations nullifies a party’s remedy, but a statute of repose
    extinguishes both the right and the remedy. See 
    Cronin, 906 S.W.2d at 913
    (agreeing that statutes of
    repose are substantive as opposed to procedural). However, as the district court also noted, in 2006,
    Tennessee Rule of Civil Procedure 8.03 was amended to add the statute of repose as an affirmative defense
    that must be pleaded in an answer. Cf. 
    Roskam, 288 F.3d at 902
    (concluding that Michigan’s statute of
    repose for product liability actions was substantive rather than procedural; noting that the Michigan Court
    Rules do not include statute of repose in nonexhaustive list of affirmative defenses). As the district court
    also noted, because Defendants’ answer asserted the statute of repose, we need not decide whether Tenn.
    R. Civ. P. 8.03 would apply retroactively. See 
    Wyeth, 540 F. Supp. 2d at 942
    n.7.
    No. 08-5701            Montgomery v. Wyeth, et al.                                                 Page 20
    ______________________________________
    CONCURRING IN THE AFFIRMANCE
    ______________________________________
    WHITE, Circuit Judge, concurring. Reluctantly, I concur in the affirmance. I
    write separately to further address the Multidistrict Litigation (MDL) settlement
    (Settlement Agreement), and to observe that the Eastern District of Pennsylvania would
    have been much better suited to decide this motion.
    As the majority explained, the Judicial Panel on Multidistrict Litigation (JPML)
    established MDL 1203 in the Eastern District of Pennsylvania. The instant case was
    initially transferred to the MDL court and that court oversaw pretrial proceedings in this
    case before remanding it back to the Eastern District of Tennessee in July 2007. On
    January 14, 2008, Wyeth moved for summary judgment based on the Tennessee statute
    of repose (TSOR). In addition to her arguments that Wyeth had waived the TSOR
    defense by failing to timely assert it and that Georgia law should apply, Montgomery
    argued that her PPH claim was preserved by the MDL and Settlement Agreement.
    Montgomery was a plaintiff in the MDL.1 The complaint in that action was filed
    within the time allowed by the TSOR. While PPH claims were not “settled claims,” they
    were clearly part of the litigation until settlement, and the MDL court expressly
    exercised jurisdiction over those claims in approving the settlement.2 Further the
    Settlement Agreement defined PPH and addressed the rights of PPH claimants. Thus,
    any assessment of the timeliness of Montgomery’s PPH claim necessitates an
    examination of the nationwide Class Action Settlement Agreement, approved by the
    Pennsylvania court.
    1
    The Settlement Class included “All persons . . . who ingested Pondimin and/or Redux” except
    those whose claims had previously been resolved through litigation or settlement. (ROA, Vol. 6, at 1028.)
    2
    Pretrial Order 1415 stated: “The court has jurisdiction over the subject matter of this action with
    respect to all claims, and has jurisdiction over all parties to this action, including all members of the
    settlement class and subclasses defined below.” In re Diet Drugs, Nos. 1203, 99-20593, 
    2000 WL 1222042
    , at *69 (E.D. Pa. Aug. 28, 2000).
    No. 08-5701         Montgomery v. Wyeth, et al.                                  Page 21
    Both the Settlement Agreement and Pretrial Order (PTO) 1415 state that the
    Eastern District of Pennsylvania “retains continuing and exclusive jurisdiction over this
    action and each of the Parties . . . to administer, supervise, interpret and enforce the
    Settlement in accordance with its terms.” In re Diet Drugs, Nos. 1203, 99-20593, 
    2000 WL 1222042
    , at *72 (E.D. Pa. Aug. 28, 2000). Although it can be argued that Wyeth’s
    motion is based on a statute unique to Tennessee, the primacy of the interpretation and
    effect of the Settlement Agreement and PTO 1415 in resolving the issue is apparent. For
    this reason, Wyeth should have moved for summary judgment during the pretrial
    proceedings in Pennsylvania. See Humphreys v. Tann, 
    487 F.2d 666
    , 667-68 (6th Cir.
    1973) (holding that a MDL transferee court has authority to hear motions for summary
    judgment as part of pretrial proceedings); United States ex rel. Hockett v. Columbia/HCA
    Healthcare Corp., 
    498 F. Supp. 2d 25
    , 38 (D. D.C. 2007) (noting that the transferee
    court’s “familiarity with the issues in this case – a case which by now encompasses a
    voluminous docket – as well as the many related issues in the other cases in this MDL,
    indicates that it would be much more efficient to proceed to summary judgment motions
    in this Court rather than to ask the transferor court to play catch-up”); Kaiser Indus.
    Corp. v. Wheeling- Pittsburgh Steel Corp., 
    328 F. Supp. 365
    , 370-71 (D. Del. 1971)
    (looking at the relevant legislative history and concluding that Congress intended “to
    grant to the transferee district court under §1407 the power to pass upon all pretrial
    motions including motions to dismiss, motions for judgment on the pleadings, or motions
    for summary judgment”); see also 28 U.S.C. § 1407(a) (“Each action so transferred shall
    be remanded by the panel at or before the conclusion of such pretrial proceedings to the
    district from which it was transferred unless it shall have been previously terminated
    . . . .”). But cf. In re Accutane Prods. Liab. Litig., 
    560 F. Supp. 2d 1370
    , 1370-71
    (J.P.M.L. 2008) (vacating a transfer order that would consolidate the case as part of a
    MDL because the pending motion for summary judgment involved issues of state law
    unique to the plaintiff).
    In opposing Wyeth’s motion for summary judgment, Montgomery asserted that
    her PPH claim was preserved by the commencement of the MDL and also by the
    Settlement Agreement. While the former assertion is easily addressed as a pure question
    No. 08-5701        Montgomery v. Wyeth, et al.                                    Page 22
    of Tennessee law, the latter requires an interpretation of the Settlement Agreement in
    light of the MDL proceedings.
    Regarding the former assertion, I do not agree with the majority that the MDL
    did not commence an action within the TSOR. As stated above, Montgomery was a
    member of the class, the action was brought within the TSOR, and the court expressly
    exercised jurisdiction over all claims. The fact that PPH claims were not settled does not
    alter these facts. Nevertheless, I cannot agree with Montgomery’s essential assertion
    that the PPH claims were pending before the Eastern District of Pennsylvania after the
    dismissal of the MDL. While the MDL court retained jurisdiction to “administer,
    supervise, interpret and enforce” the Settlement Agreement, such jurisdiction was
    retained “[w]ithout affecting the finality of this Final Order and Judgment in any way,”
    and PTO 1415 dismissed the Third Amended Complaint. In re Diet Drugs, Nos. 1203,
    99-20593, 
    2000 WL 1222042
    , at *71-72. Thus, unless the Settlement Agreement itself
    preserved Montgomery’s claim, it is barred because it was not re-filed within the TSOR.
    In opposing application of the TSOR to bar her claim, Montgomery argued that
    under the Settlement Agreement 1) PPH claims were expressly preserved for future
    litigation; 2) Wyeth agreed not to assert the statute of limitations defense or argue that
    a plaintiff split her claims; and 3) any conclusion otherwise would conflict with the class
    notice she received. Montgomery argues that the class notice led PPH plaintiffs to
    believe that if they satisfied the agreed-upon definition of PPH, their rights would be
    unaffected by the Settlement Agreement. However, the Settlement Agreement barred
    PPH plaintiffs from bringing a claim until they satisfied the definition of PPH contained
    therein, which, in Montgomery’s case, was after the TSOR ran. Therefore, the only way
    Montgomery’s claim remains unaffected by the Settlement Agreement, as represented
    in the class notice, is if the Agreement is interpreted to bar Wyeth’s assertion of the
    TSOR defense. Montgomery further argued that the intent of the MDL was to treat all
    cases uniformly, settle non-PPH claims, and preserve PPH claims for future litigation
    under an agreed-upon definition, in exchange for which Wyeth agreed not to assert a
    time bar.
    No. 08-5701        Montgomery v. Wyeth, et al.                                    Page 23
    All these arguments are plausible, and the MDL court might have agreed with
    one or all of them. In any event, on this record, neither the district court nor this court
    is in a position to put the gloss on the Settlement Agreement that Montgomery urges
    upon us, because such a gloss is rooted in the context, rather than the language, of the
    Settlement Agreement. On the other hand, the MDL court would have been within its
    retained authority to do so.
    While Montgomery complained below that Wyeth “inexplicably failed” to make
    “its motion while this action was pending in the MDL,” she never asked the court to
    transfer the case back to the MDL court for interpretation of the Settlement Agreement,
    nor has she argued on appeal that the district court erred in failing to do so, or in
    interpreting the Settlement Agreement itself. I am therefore constrained to concur in the
    affirmance.
    Lastly, I do not agree with the majority’s conclusion that “Montgomery’s
    relationship with Wyeth is more significant in Tennessee,” and agree with the district
    court’s determination that that relationship was centered in Georgia. Nevertheless, I also
    agree with the district court’s conclusion that the Tennessee courts would apply the
    TSOR because Montgomery consumed the Pondimin and suffered her injury in
    Tennessee.
    

Document Info

Docket Number: 08-5701

Filed Date: 8/28/2009

Precedential Status: Precedential

Modified Date: 9/22/2015

Authorities (24)

George H. Humphreys, Administrator of the Estate of John S. ... , 487 F.2d 666 ( 1973 )

Jennifer Kay Brumit Mathis and Her Husband, Barry L. Mathis,... , 719 F.2d 134 ( 1983 )

Uhl v. Komatsu Forklift Co., Ltd. , 512 F.3d 294 ( 2008 )

Jerry Gribcheck v. Marvin T. Runyon, Jr., Postmaster ... , 245 F.3d 547 ( 2001 )

jennifer-spence-individually-and-as-surviving-spouse-of-wynne-spence , 37 F.3d 1185 ( 1994 )

in-re-bendectin-litigation-sarah-ann-hoffman-85-3858-elizabeth-ann , 857 F.2d 290 ( 1988 )

In Re: Accutane Products Liability Litigation , 560 F. Supp. 2d 1370 ( 2008 )

Cronin v. Howe , 906 S.W.2d 910 ( 1995 )

Chase Securities Corp. v. Donaldson , 65 S. Ct. 1137 ( 1945 )

roskam-baking-company-inc-00-1570cross-appellee-v-lanham-machinery , 288 F.3d 895 ( 2002 )

george-j-kochins-curator-of-the-estate-of-john-g-kochins-plaintiff-v , 799 F.2d 1128 ( 1986 )

Conley v. Gibson , 78 S. Ct. 99 ( 1957 )

United States Ex Rel. Hockett v. Columbia/HCA Healthcare ... , 498 F. Supp. 2d 25 ( 2007 )

Kaiser Industries Corp. v. Wheeling-Pittsburgh Steel Corp. , 328 F. Supp. 365 ( 1971 )

Lemons v. Cloer , 206 S.W.3d 60 ( 2006 )

Harmon v. Angus R. Jessup Associates, Inc. , 619 S.W.2d 522 ( 1981 )

Penley v. Honda Motor Co., Ltd. , 31 S.W.3d 181 ( 2000 )

Harrison v. Schrader , 569 S.W.2d 822 ( 1978 )

Jones v. Five Star Engineering, Inc. , 717 S.W.2d 882 ( 1986 )

Hataway v. McKinley , 830 S.W.2d 53 ( 1992 )

View All Authorities »