Toxic Exposure - How to Achieve Justice for the Victims of Toxic Exposure and their Families
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John D. Winer, San Francisco
i. Explosion in toxic cases.
Over the last 20 years, one of the fastest growing areas of
law are cases involving “toxic torts.”
ii. What is a toxic tort?
“Tort” is defined in the law as “any wrong for which the law
undertakes to give the injured party some appropriate remedy
against the wrongdoer.” Thus toxic tort cases generally involve
situations in which people who have been injured by toxic
substances seek redress through the court system.
iii.Toxic conditions can be chemical, physical,
mechanical or biological.
The toxic conditions that give rise to legal cases can be
chemical, physical, mechanical or biological in nature.
iv. Toxic cases frequently involve chemical agents
that are toxic to humans.
Most toxic cases involve a chemical agent that causes human
beings a significant injury when they are somehow exposed to the
toxin.
v. Typical toxic exposures that lead to legal cases.
Toxic tort cases can arise from any number of the ways that
people can be exposed to toxic substances including:
► direct contact between the toxin and the person.
► toxins released into groundwater.
► toxins released into drinking water.
► toxins released into the air.
► toxins in food sold and served to human beings.
► toxins released by refineries and power plants
particularly during out-of-control fires.
► toxins in clothing such as latex gloves.
► toxins in vitamins and drugs that are ingested.
vi. Key to success in a toxic tort case.
The key to a successful toxic tort case will be whether or
not a plaintiff or group of plaintiffs can establish:
► that some person, company or entity is at fault
under the law for the toxic exposure of the
plaintiff.
► that the toxic exposure caused actual damage to
the plaintiff. (Plaintiffs in California can no
longer recover for fear of developing a disease or
illness due to toxic exposure unless they can
prove they are likely to get the disease.)
B. Who Can Sue for Toxic Exposure Cases.
Any person injured as a result of a toxic exposure, no
matter how long or how short the exposure, how direct or indirect
the exposure, can sue if they are able to establish that some
person, company or entity is at fault under California law for
the exposure and the plaintiff can establish actual damage from
the exposure.
Frequently, because toxic tort cases are so difficult to
prove, a large group of plaintiffs ban together to bring the
case. The strength in numbers usually increases the chances of
success.
Any person, whether an adult or a minor, is entitled to
bring a toxic tort claim.
The spouse of the injured plaintiff can also bring a lawsuit
for loss of consortium damages; that is, damages for the loss of
society, comfort and care of the injured plaintiff. See the
section on Damages in this article.
C. Types of Toxic Tort Cases.
i. Growing number of cases every year as science
catches up with callous corporations.
The types of toxic tort cases grow every year as
corporations act more and more callously in the handling of toxic
substances and medical science learns more and more about the
various risks of harm and actual harm caused by exposure to
particular types of toxic substances.
ii. Areas in which there have been toxic tort
litigation.
The list below identifies various areas in which there has
been toxic litigation in recent years; however, it is by no means
exclusive, and ten years from now, the list may be 50 times
longer. However, it will provide the reader some idea as to the
variety of potential toxic tort cases.
► asbestosis. (This is by far the most prominent
type of toxic tort case. Plaintiffs have enjoyed
tremendous success in recent years in asbestosis
litigation due to the laws relaxing the statute of
limitations for when claims can be brought; the
long time understanding of the asbestos industry
of the dangerous nature of their product; exposure
to asbestos causes concrete findings such as
thickening of the lungs and the presence of
asbestosis fibers in the body and there are two
diseases, asbestosis and mesothelioma, which are
found only among people with asbestosis exposure.)
► refinery explosions.
► toxic waste dumping.
► toxic spills.
► manufacturing operations involving toxins.
► airplane contaminants from refinery power plants
including hydrogen sulfide, sulphur dioxide,
tricholroethane, propane, methane and benzine
derivatives.
► the release of acid in gases causing burning eyes
and respiratory problems.
► chromium VI contamination of the air, water and
soil (chromium VI is a human carcinogen which is
particularly potent when inhaled and it is known
to cause lung and other respiratory cancers. It
is also toxic through dermal exposure (i.e., skin)
and ingestion.)
► electromagnetic radiation cases including video
display terminal litigation.
► vitamin and dietary supplement cases such as the
L-Tryptophan cases.
► groundwater contamination cases.
► drain cleaner exposure cases.
► PCB (polychlorinathedbiphenyl) exposure cases.
► pesticide exposure cases.
► BCME (bischloromethyl ether) cases.
► tobacco exposure cases.
► lead exposure cases (particularly children living
in low income housing).
► Freon exposure cases.
► Tuolene isocyanate cases.
► Benzene.
► Benzidine.
► Berrylium.
► asphalt exposure.
► dinethylformamide exposure (chemical byproduct of
tannery process).
► epoxy paint.
► radiation from atomic test injuries.
► nickel cadmium exposure.
► pentachloropheonol exposure.
► calcium oxide.
► formaldehyde.
► wood preservatives.
► aerial pesticide sprays.
► herbicides.
D. Who Can Be Held Responsible in Toxic Exposure Cases.
i. Many potential defendants depending on the type of
case.
There are any number of potential defendants who can be held
liable in toxic exposure cases depending upon the type of toxin,
type of exposure, type of case and the type of theories of
liability alleged by the plaintiffs.
a. Lead poisoning case.
For instance, in a case involving lead related injuries,
potential defendants may be:
► the owner or landlord of property where children
or adults are unreasonably exposed to lead.
► housing authorities and local governments in cases
of low income or subsidized housing.
► contractor, subcontractors, risk assessors and
inspectors who built or improperly inspected the
property.
► realtors who failed to disclose material defects
such as a risk of lead poisoning.
► child care providers.
► property management companies.
► in some occasions, employers when an employee
exposes their children to lead poisoning from dust
which the employee naturally brings home from the
workplace. (Note that the workers themselves
cannot sue, usually due to worker’s compensation
preclusions, but that does not prevent family
members from suing. Workers in lead industries
and processes such as battery plants, foundries,
smelters, metal shops, auto mechanics, plumbing,
recycling, welding and soldering are also likely
to bring dust home to their children, which can
result in lead poisoning.)
b. Refinery fire or explosion cases.
In a case involving toxins released from a refinery either
during the normal course of business or during an explosion,
potential defendants include:
► the owner of the refinery.
► any independent contractors working in the
refinery who contributed to the exposure or
explosion.
► in some cases, the manufacturer of the refinery.
► the manufacturer, seller or supplier of any
product that contributed to the explosion.
ii.
Choice of who to sue in a case may depend on legal
theory advanced.
Because the potential defendants that could be named in a
case vary so widely from case to case, section E, which deals
with the various legal theories of recovery, will provide
additional information as to potential defendants in a case based
upon the legal theories pursued.
E. Legal Theories for Recovery in Toxic Tort Cases.
i. Potential legal theories generally.
The type of legal theory pursued in a toxic tort case will
differ a great deal depending upon the many potential factors
involved in the toxic exposure and whether or not there were any
specific legal statutes permitting a cause of action. However,
the following legal theories can potentially be used in any case.
ii. Product liability.
a. Failure to warn.
Most toxic exposure cases against the manufacturer of a
chemical or product that causes the toxic poisoning involve
“failure to warn” cases.
Under California product liability law, a product is
considered defective when marketed if the manufacturer or
supplier failed to include, on the product or its packaging,
adequate instructions on safe use or adequate warnings of
dangerous characteristics that are not obvious. Thus, a
faultlessly made product is defective if it is not accompanied by
adequate warnings or instructions.
b. Product substantially dangerous due to
failure to warn.
Liability based on inadequate warning of dangerous
characteristics of a product arises when the absence of an
adequate warning renders the item “substantially dangerous” to
the user.
c. Strict liability.
If a plaintiff can establish that a product was defective
due to a design, manufacturing or failure to warn defect, and
that defective condition caused the plaintiff to be toxically
poisoned, then the plaintiff should be able to maintain with some
exceptions a strict liability action against the manufacturer,
seller or supplier of the product. (Strict liability means the
plaintiff will prevail even if they cannot prove negligence.)
iii.Premises liability.
The owner or possessor of property who creates a risk of
toxic exposure to people on or off his or her property by
maintaining the property in a dangerous condition may be held
liable in a toxic tort case.
In order to hold the landowner or possessor liable,
plaintiff must establish that the defendant knew or should have
known of the dangerous condition created by the toxic exposure
and failed to act reasonably to correct or warn of the condition.
iv. Negligence.
If a plaintiff can establish that anyone involved in the
manufacturing, selling, supplying, maintaining and use of a toxic
substance owed a duty of due care to the plaintiff and failed to
exercise that duty and act as a reasonable person would under the
circumstances, then plaintiff can bring a case for negligence.
A negligence theory can be particularly effective in cases
in which the defendant knew or should have known that children
could be exposed to the toxic substance, such as lead paint
cases, and did not take reasonable steps to protect the safety of
the children. People, companies and entities owe a higher duty
of care to children than they do to adults, and they must act
extra cautiously when they know children are at risk of danger.
v. Fraud.
A plaintiff can prevail against a defendant in a toxic
exposure case on a theory of fraud if plaintiff can establish:
►
a misrepresentation (false representation,
concealment or non-disclosure).
► the defendant’s knowledge of the falsity.
► the defendant’s intent to defraud, i.e., to induce
reliance.
► justifiable reliance.
► resulting damage.
The problem with a fraud theory in most toxic tort cases is
that the plaintiff will not have had any direct contact with the
wrongdoer; thus, there will not have been any opportunity for the
wrongdoer to make any misrepresentations. However, in cases in
which the plaintiff was misled by a defendant into believing that
he or she was safe from injury from toxic exposure, this may be
viable cause of action.
vi. Abnormally dangerous activities.
a. Abnormally dangerous activities create strict
liability.
The important aspect of being able to plead an abnormally
dangerous activity cause of action is that it creates strict
liability on the part of the defendant. In other words, a
plaintiff does not have to prove that the defendant was
negligent, the plaintiff merely needs to prove that they were
damaged by the activity.
b. Maintenance and transportation of dangerous
toxins is not necessarily considered an
abnormally dangerous activity.
Although it would seem that defendants who use, transport or
maintain toxins with known dangers will always be found to be
engaged in an “abnormally dangerous” activity, the law is not at
all clear that that is true.
Generally, an activity is deemed abnormally dangerous if it
necessarily involves a risk of serious harm to the person or
property of others that cannot be eliminated by exercising utmost
care and is not a matter of common usage.
c. Six factors are utilized to determine if an
activity is abnormally dangerous.
In evaluating individual toxic tort cases where there is no
prior ruling, courts look to six factors to determine whether an
activity is ultra hazardous:
► existence of a high degree of risk of some harm to
the person or property of others.
► likelihood that harm from the activity will be
great.
► inability to eliminate the risk by the exercise of
reasonable care.
► extent to which the activity is not a matter of
common usage.
► inappropriateness of the activity to the place
where it is carried on.
► extent to which the value of the activity to the
community is outweighed by its dangerous
attributes.
d. Activities that have been found to be
abnormally dangerous.
Activities which have been found by courts to be abnormally
dangerous which could apply to a toxic tort case include:
► use of hydrocianic acid gas in fumigating
commercial buildings.
► use of open flame equipment near combustible
material.
► crop dusting with toxic chemicals in some
agricultural jurisdictions.
► a case in which an office building became
contaminated when an underground electrical
transformer containing PCBs exploded and burned.
e. Activities found not to be abnormally
dangerous.
Cases in which the courts have found activities not to be
abnormally dangerous include:
► use of sulfuric acid in a waste treatment
facility.
► ownership of contaminated property.
► maintaining high voltage power lines and
transformers.
f. If possible, plaintiff should attempt to
plead an abnormally dangerous activity.
Plaintiff should always consider an ultra hazardous activity
claim because strict liability is always easier to prove than
negligence.
vii.Nuisance.
Nuisance is an act which interferes with the private use and
enjoyment of one’s land. In order to bring a nuisance claim, the
interference must be significant, unreasonable and intentional or
otherwise actionable.
Nuisance claims can be particularly important because
damages are recoverable in a nuisance action for injury to real
property including damages for consequential emotional distress.
Also, this theory can be important because the plaintiff
does not need to establish a “pre-existing relationship” with the
defendant or an intentional tort.
The principle behind nuisance cases is that one person’s
activities (normally uses of land) will not be permitted
unlawfully to interfere with another person’s comfortable use and
enjoyment of life and property.
viii. Trespass.
Generally speaking, trespass requires a direct physical
invasion of another’s right to the exclusive possession of their
property and subjects the trespasser to strict liability if it is
intentional or the result of an abnormally dangerous activity.
Thus, for a plaintiff to prevail on a trespass theory, he or
she must establish that the property was physically invaded by
the toxic substance in question.
There are cases that hold that it is a trespass to deposit
water or other material on a plaintiff’s property. Further,
there are cases that hold that breaching the boundaries of
another’s real property with intangible things, such as
vibrations, constitutes a trespass if there is physical damage.
Further, some courts have held that a trespass may occur
above the surface, for instance encroaching overhead power lines,
and under the surface, such as trespass from a slant drilling for
oil.
Thus, in the right circumstances, trespass can provide an
additional theory for plaintiff’s recovery in a toxic tort case.
ix. Theories of recovery created by statute.
a. State and Federal statutes generally.
There are a number of State and Federal statutes that can be
useful in litigating toxic tort claims. They include:
1. The Comprehensive Environmental
Response, Compensation and Liability Act
of 1980 (CERCLA).
This act imposes strict liability for response costs upon:
(1) owners and operators of facilities at the
time of disposal of hazardous substances.
(2) current owners and operators of facilities.
(3) generators of hazardous substances who
arrange for the disposal of such substances.
(4) transporters of hazardous substances.
Unfortunately, CERCLA has two significant limitations which
affect a landowner’s ability to obtain relief:
(1) it only allows recovery for responding to
problems caused by release of “hazardous
substances” which specifically excludes
petroleum including crude oil.
(2) it allows recovery of costs of response,
removal and remedial work, but does not
permit recovery of other forms of damages
such as loss of value and economic damages.
2. California Hazardous Substance Account
Act.
The California Hazardous Substance Account Act is virtually
identical to the CERCLA, but provides for another potential
theory of recovery.
3. The Resource Conservation Recovery Act
(RCRA).
States that any person may commence a civil action to
enforce a permit, standard, regulation, condition, requirement,
prohibition or order against:
(1) any person who is alleged to be in violation
of a permit, standard, regulation, condition,
requirement, prohibition or order.
(2) any person including any past or present
generator or past or present owner or
operator of a treatment, storage or disposal
facility who has contributed or who is
contributing to the past or present handling,
storage, treatment, transportation or
disposal of any solid or hazardous waste
which may present an imminent and substantial
endangerment to health or the environment.
Liability for violation of this statute is considered to be
strict liability. It has an advantage over the CERCLA and
California Hazardous Substance Account Act because it does not
exclude petroleum and the definition of “solid waste” under this
Act is broader than the definition of “hazardous waste” under the
other statutes.
Also, a plaintiff can obtain injunctive relief under this
Act and force the defendant to fix the problem. Significantly,
the RCRA provides for an award of reasonable attorneys fees to
the prevailing party. The award of attorneys fees may be higher
than the actual damage awarded in this type of case, so an award
of attorneys fees is a powerful tool to allow a plaintiff to
bring a case in the first place and to increase the defendant’s
desire to settle the case.
F. Causation in Toxic Substance Cases.
i. Causation is a challenging issue in most toxic
tort cases.
Toxic tort claims are especially challenging because they
usually involve subtle injuries or slow developing diseases from
prolonged low dose exposure to imperceptible substances. Thus,
it is frequently very difficult to establish that toxic exposure
was a substantial factor in causing the plaintiff’s damage.
ii. Plaintiff can win on liability and lose on
causation.
A plaintiff may be able to prove a case of fault in a toxic
tort case and still lose if they cannot prove causation, i.e.,
that the wrongful toxic exposure was a substantial factor in
causing the plaintiff’s injury or damage.
iii.
A substantial factor standard.
It is critical for the plaintiff attorney in a toxic tort
case, through expert testimony in the fields of medical,
biochemical and statistical sciences to be able to convince the
trier of fact that the toxic exposure in question was a
substantial factor in causing the plaintiff’s damage.
iv. The importance of scientific links.
The causation requirement can be a severe obstacle of there
is a lack of literature and studies associating a given toxic
exposure with a given injury. Without those studies, it may be
difficult for plaintiff to prove causation even if the plaintiff
can prove they were exposed to the toxic substance and they are
suffering from a serious illness.
v. Factors that will help plaintiff establish
causation.
Plaintiffs will be aided in establishing that a toxin was a
“substantial factor” in causing their injury if:
► there was enough exposure to an identified harmful
substance to activate the disease (based on
studies and the literature).
► a demonstrable relationship between the substance
and the biological diseases exists.
► plaintiff suffers from a disease known to be
caused by the toxic substance in question.
► expert opinion that the plaintiff’s illness is
consistent with exposure to the harmful substance.
► the defendant’s responsibility for the toxic agent
which caused the disease.
vi. The importance of understanding the concept of
synergy to establish causation in toxic tort
cases.
Synergy involves a multiplicative effect from two or more
exposures to toxic substances. While one toxic agent may
individually pose a particular degree of cancer risk, when it is
combined with one or more agents, the effect of the two together
is not the sum of the varying degrees of risk, rather, it is a
much greater risk caused by the effect of the interrelationship
of the two or more cancer producing agents.
For instance, it is known that asbestos exposure creates a
two-to-five-fold increased risk of developing lung cancer than
someone who has not been exposed to asbestos. Further, it is
known that cigarette smoking creates a ten-fold increased risk of
lung cancer. Someone who smokes and has been exposed to asbestos
does not have a 12- to 15-fold increased risk of developing lung
cancer; rather, they have a 50- to 90-fold risk.
vii.The importance of epidemiology in toxic substance
cases.
Epidemiology is the scientific discipline dealing with the
study of adverse health effects in human populations. It is
concerned with groups of individuals, whereas most other medical
disciplines are concerned with individual patients.
It examines patients, the agent-causing injury and the
interaction among the patients, the agent and the environment in
order to identify recurring associations. Such associations help
establish causation in a toxic tort case.
Plaintiff attorney and their experts need to become very
familiar with the epidemiologic literature in any toxic tort
case. The more that the literature establishes a connection
between the substance to which the plaintiff was exposed and the
plaintiff’s disease, the more likely that the plaintiff will
prevail in a toxic tort case.
G. Retention of Experts.
There are a number of experts who can testify in toxic tort
cases including toxicologists, epidemiologists, statisticians and
experts in the field of the particular toxin involved, medical
experts who treat the particular disease process involved,
occupational health experts, environmental experts and, in cases
of severe injuries, vocational experts and economists.
Plaintiff attorney needs to select the right experts for a
given case.
H. Common Illnesses Arising out of Exposure to Toxins.
Toxins are known to cause any number of significant
illnesses. Some of the more frequent illnesses are:
► respiratory distress -- choking, coughing,
difficulty in breathing, irritation of the
respiratory mucosa and sometimes death.
► dermatitis (i.e., skin disease) -- many chemicals
have a solvency for fats and oils that is strong
enough to remove the substances from a person’s
skin, thus affecting the integrity and performance
of the skin as a protective barrier. There are
also chemicals which are capable of passing
through the skin and entering the circulatory
system.
► narcosis -- this refers to the inducement of sleep
(as in narcolepsy) and leads to serious problems
which can stem from somebody unwillingly falling
asleep under dangerous conditions.
► gastroenteritis (food poisoning) -- certain
chemical agents, notably cadmium and copper, are
known to produce gastroenteritis.
► neurological deficits -- many toxins are capable
of impairing a person’s neurological functioning
to the point where they lose motorability and
sensation in parts of their body.
► injury to the immune system.
► toxoplasmosis (a problem in all toxoplasmosis
cases is that it is the most opportunistic
infection associated with AIDS; therefore, a
plaintiff must be able to rule out that they are
suffering from AIDS as opposed to toxoplasmosis
caused by an exposure to a toxic chemical).
► cancer -- it is well known that toxins are capable
of causing cancerous tumors in all parts of the
body.
I. Investigation of chemical burn cases.
i. Understanding how chemical burns occur and the
anticipated defense of the manufacturer will help
determine how to investigate.
Chemical burns usually result from someone coming into
contact with a household product or a worker coming into contact
with a chemical product which had a strong enough chemical
content to cause a severe burn to the plaintiff’s skin.
Some chemicals are strong enough so that if there is a
significant exposure and contact, almost anybody would suffer a
severe burn. Other chemicals are only strong enough to burn
people who, for one reason or another, are particularly sensitive
to that chemical.
There are approximately 50,000 chemicals on the market today
capable of causing burns.
In the case of a particularly sensitive plaintiff, the
manufacturer, supplier or seller of the chemical will claim that
it could not possibly make a chemical or a combination of
chemicals safe enough so that it wouldn’t possibly burn “anybody”
particularly if people do not follow directions or warnings while
using it.
In cases with clearly dangerous chemicals, the defendants
will claim that the chemical, such as a cleaning fluid, is a
product which is extremely useful for society -- there is
virtually no risk in the use of the chemical if the user follows
warnings and instructions; therefore, again, it is a safe
product.
The key in a chemical case, as in almost any product
liability case, is whether the benefit of the product outweighs
the risk of injury in the way the product was manufactured.
ii. How the investigation of a chemical burn should
proceed.
The beginning of the investigation will always be an attempt
to determine the amount of chemical exposure of the plaintiff and
the duration of the exposure.
Second, the investigation will have to turn to the labels
and warnings on the bottle and whether plaintiff had the
opportunity to read those and whether they did read them.
Next, plaintiff will need to retain an expert to determine
whether those labels and warnings were adequate under the
circumstances.
Then, in a serious chemical burn case, the product should be
tested to see if the chemical composition of the product is
consistent with the content stated on the label.
Finally, plaintiff will need to conduct a search through
formal and informal discovery in the case to determine the number
of other people who suffered similar injuries from the chemical
or a chemical in the product.
If plaintiff can establish that the manufacturer, supplier
and sellers knew of a significant number of serious burns, then
plaintiff will be able to establish the foreseeability of the
risk which will, hopefully, lead to a jury concluding that the
risk of the product outweighed the benefits, and defendant should
have either used other chemicals in the product or have taken
further steps, such as better warnings, to protect consumers.
J. What If the Plaintiff Is Partially at Fault?
A plaintiff can recover even if he or she is also at fault.
California is a comparative negligence State in which a negligent
plaintiff can recover damages; however, their monetary recovery
is reduced by the amount of their fault. For instance, if a
court or jury finds that a plaintiff’s damages should be valued
at a $1,000,000, but finds the plaintiff 25% at fault, his or her
recovery would be reduced by $250,000 to $750,000.
K. Compensatory Damages in Toxic Tort Cases.
In a toxic tort case, plaintiff can recover for past medical
expenses, future predicted medical expenses, past wage loss,
future predicted wage loss and for past and future pain and
suffering.
The medical expenses are determined by the testimony of
physicians or other health care providers. Frequently, an
economist or an expert in the industry determines the amount of
future wage loss; however, no expert can testify to the value of
pain and suffering.
Pain and suffering is typically the most significant element
of a plaintiff’s damage and it includes emotional distress.
Contrary to popular belief, there is no formula for pain and
suffering awards and it varies greatly from case to case
depending upon the location of the case, the seriousness of the
injury and how well the case is presented.
Attorneys fees will be available if certain statutes are
breached.
L. Claim for Loss of Consortium.
A plaintiff’s spouse can also sue and recover damages for
‘loss of consortium.” A spouse is allowed to recover damages for
the loss of society, comfort and care that result from the
injured spouse’s unavailability due to their injury and having to
watch the plaintiff suffer. In order to recover these damages, a
spouse must be named as a party to the lawsuit and must have been
married to the plaintiff at the time of the injury.
There are advantages and disadvantages to filing a loss of
consortium claim that should be discussed with an attorney before
filing.
M. Punitive Damages.
Under California law, if a plaintiff can prove that the
conduct of the wrongdoer was fraudulent, malicious or despicable,
he or she is entitled to recover punitive damages which are
intended to punish the wrongdoer and provide an example for the
rest of society. The focus of this type of case is generally on
the wrongdoing of the defendant as opposed to the injury to the
plaintiff. The amount of punitive damage will vary depending
upon the heinousness of the defendant’s misconduct and its
economic status. The law recognizes that large companies have to
pay more money in punitive damages to be adequately punished than
small companies or individuals. In motor vehicle cases, punitive
damages are most frequently awarded against drunk drivers.
N. How soon must a complaint for damages be filed in a
toxic tort case?
There is no simple answer to this question. The statute of
limitations in toxic tort cases is extraordinarily complex
because in many toxic tort cases, there will be a long exposure
to a toxic substance, a long period in which your disease or
injury slowly developed to the point of being perceptible and a
not infrequent time gap between the time you began suffering from
your injury and the time that your realized that it may have been
caused by a toxin.
Other than cases involving asbestosis and a few other
statutory causes of action, there are no special statute of
limitations or laws applying to toxic tort cases. That means
that generally speaking, you must bring your lawsuit against any
known defendant within one year of the accrual of your cause of
action or you must bring a claim within six months of the accrual
of your cause of action if the defendant is a public entity.
Children are an exception in that they essentially have one
year to bring a government tort claim and they have until their
19th birthday to bring a case against any non-government
defendant.
The key to the statute of limitations in toxic tort cases is
understanding what is meant by “accrual” of a cause of action.
Under California law, a cause of action does not accrue until all
of the elements of that cause of action have been met. That
means a statute of limitations will not start running until a
reasonable person was put on notice that they may have been
injured by a toxic exposure. Once that connection is made, the
plaintiff must bring a public entity claim within either six
months or a lawsuit within one year.
Even this standard is not so simple to follow because you
may be aware of a very minor injury, such as a skin rash, which
would not necessarily cause you to suspect a toxic exposure or
cause you to want to take any legal action. Further, you may
know that you live in an area where there is a potential for
toxic exposure but not realize that your injury or disease is
imperceptibly building up in your body.
There are many cases that interpret the statute of
limitations in toxic exposure situations and, generally speaking,
they have been favorable to plaintiffs. However, if you do
suspect you have been injured by a toxic exposure, you should
seek a consultation with an attorney as soon as possible rather
than potentially losing your right to sue.
O. Settlement of a Toxic Exposure Case.
i. What is a settlement?
A settlement is an agreement to resolve the differences
between one or more parties in a claim or lawsuit. Most
settlements in civil cases involve the payment of money to the
plaintiff in exchange for the plaintiff dismissing his or her
claims against the defendant. However, settlements can have many
non-monetary terms.
ii. When can a settlement occur?
A settlement can occur at any time from the moment that the
defendant first becomes aware of a claim, before trial, during
trial, or even while a case is on an appeal.
iii.If there is more than one defendant in my case,
can I settle with one defendant and proceed in
litigation or trial against the other(s)?
Yes. This is known as a partial settlement. A plaintiff is
allowed to settle with one defendant and dismiss the case against
that defendant while proceeding against the remaining wrongdoers.
Sometimes it is in the best interest of the plaintiff to utilize
this tactic and sometimes it is not. It must be decided on a
case by case basis.
iv. Do most cases settle?
Yes. Statistics show that approximately 90% - 95% of civil
cases settle at some point before trial.
v. Who has the authority to settle my case?
The authority to settle a plaintiff’s case always rests in
the hands of the plaintiff himself or herself. An attorney
cannot settle a case for a plaintiff without the plaintiff’s
authority. In the case of a minor, a guardian is appointed who,
along with an attorney, recommends a settlement to the court.
However, a judge must approve the settlement.
vi. Who determines the amount of the settlement?
Ultimately, the parties themselves, with the advice of
attorneys, determine the amount of the settlement. In cases in
which the claim is covered by insurance, the insurance company
determines the amount that it is willing to pay, sometimes with
or sometimes without the advice of an attorney. In cases that
are more difficult to settle, the parties often seek the advice
of a mediator or a settlement conference judge to help them reach
a settlement; however, a mediator or settlement judge does not
have the power to force a party to settle the case.
vii.How is the amount of settlement determined?
There are literally hundreds of factors that go into
determining the amount of a settlement in a given case. Some of
the more important factors include:
(a) the value of the case as determined by a
projection of what a jury will do if the case goes
to trial. This is frequently determined by
reviewing jury verdicts from prior similar cases;
(b) the amount of insurance coverage or assets
available. If the case has a higher value than
the available policy limits and the defendant does
not have sufficient assets to add to the
settlement, the case will generally settle at the
policy limit (unless the case involves an
automobile accident and the plaintiff is able to
proceed against his or her own insurance company
in an uninsured motorist case);
(c) the willingness of the plaintiff to settle his or
her claim for less than the value to stop the
emotional and economic expense of a litigation or
the willingness of the defendant or insurance
carrier to pay more than it views as the value of
a case in order to stop the expense of litigation.
viii. How do I make sure my settlement is paid?
How will my settlement proceeds be divided
up?
Generally speaking, in toxic tort cases the plaintiff’s
lawyer accepts the case on a contingency fee basis, getting no
fee if the plaintiff loses, but receiving a fee of usually 33-1/3% or 40% of a settlement when the case is over. In addition,
in most cases the plaintiff’s attorney advances the costs of the
litigation and is reimbursed out of the settlement proceeds for
advanced costs in addition to the fee. Finally, if there are any
“liens,” i.e., requests for reimbursement by medical care
providers or insurance companies who have paid for the
plaintiff’s treatment, the lien claimants will receive all or
part of their unpaid fees, or in the case of insurance companies
or MediCal or Medicare money paid to healthcare providers out of
the plaintiff’s settlement. The plaintiff’s net settlement
amount will be the amount of money that is left over after
attorney’s fees have been paid, costs have been reimbursed and
liens, if any, paid off.
Again, certain environmental statutes provide for an award
of attorney fees if plaintiff prevails.
ix. How and where do settlements occur?
Settlements can occur in many different ways and in many
different places. Sometimes cases are settled with the exchange
of letters; sometimes there are letters and phone calls between
plaintiff’s attorney and the defense attorney/insurance adjustor;
other times cases settle at a more formal settlement proceeding
such as a mediation or a court ordered settlement conference.
However, it is true that some cases literally do settle on the
courthouse steps (or at least hallways) just before or during a
trial.
x. Are settlements always paid in one lump sum of
cash, or can they be paid over time?
Most settlements involve the payment of the entire
settlement proceeds in one lump sum within several weeks of the
date of the settlement. However, if there is enough money
involved and a plaintiff chooses, the parties may be able to
agree on a “structured settlement” where money is paid over time.
There are infinite varieties of structured settlements. Some
structured settlements involve monthly life-long payments to the
plaintiff; others involve larger payments over varying amounts of
time. In a structured settlement, the insurance company
purchases for the plaintiff an annuity policy which guarantees
the future payments. Structured settlements are particularly
valuable in cases involving minors, as it allows the parents to
control the minor’s use of the money when they are past the age
of 18, and they are useful in the case of people who are not used
to handling large sums of money since it provides a safe
investment tool with guaranteed payouts.
xi. Considerations in evaluating cases for settlement.
a. Many different factors are taken into
consideration when evaluating settlements.
There are many, many factors which are utilized when
evaluating a case for settlement. The perception that many of
the public have that a case settles for three times the medical
bills and wage loss cannot be further from accurate. There are
cases that settle for millions of dollars in which there are no
medical bills or wage loss and there are cases that settle for a
few thousand dollars in which there are hundreds of thousands of
dollars of medical bills and wage loss. Following are some of
the factors that are relevant to evaluating the case for
settlement purposes:
1. Liability.
The clarity of liability (i.e., fault) in the case is a
critical settlement factor.
In a case in which liability is unclear or the plaintiff has
a substantial chance of losing, the settlement value of the case
has to be reduced significantly to factor in the plaintiff’s
chances of losing.
Theoretically, if the value of an injury claim is $100,000,
but plaintiff only has a 50/50 chance of winning, a $50,000
settlement may be appropriate. However, plaintiffs must always
realize that cases against large defendants or in cases in which
the defendant is insured, that the plaintiff has a lot more to
lose than the defendant. In the example above, if the insurance
company turns down a $50,000 demand and the plaintiff wins
$100,000, payment of an additional $50,000 will mean very, very
little to a large insurance company or corporation. On the other
hand, if the plaintiff turns down the insurance company’s $50,000
offer and wins nothing at trial, it could create a devastating
financial blow in which the plaintiff is unable to pay for his or
her bills.
2. Comparative fault of the plaintiff.
If a plaintiff is found to be partially at fault for causing
his or her own injury, then their potential jury award is reduced
on the basis of their percentage of fault. In other words, if a
case were to go to trial, and plaintiff were to receive a
$100,000 verdict, but was found to be 25% at fault, the
plaintiff’s verdict would be reduced to $75,000. Thus, when
settling a case, plaintiff should reduce his or her expectations
of a settlement by the likely finding of percentage of fault that
would occur if a case were to be tried.
3. Likely jury verdict value of the case.
In cases in which insurance policy limits are not an issue,
most good attorneys attempt to settle the case based upon what a
jury would be likely to award if the case went to trial.
Determining what a jury will award in a given case is more
of an art than science; however, reasonable estimates can be made
based upon what jurors have awarded in similar cases in similar
venues (i.e., locations). Most verdicts are reported in “jury
sheets” that lawyers read and utilize when attempting to assess
the value of any particular case.
4. Aggravated liability.
In cases in which a jury is likely to get angry at a
defendant for misconduct that was something more than negligent,
it is known that jurors are likely to “spike” their verdict and
award more money for a plaintiff’s injury than they would if a
defendant’s misconduct was merely negligent. Such might be the
case if a defendant knew of a toxic danger and for its own prfit
chose to ignore it.
5. Punitive damage exposure.
If the defendant’s misconduct is so bad that there is a risk
for punitive damages, i.e., the jury awarding damages
specifically to punish the defendant, this should become a major
factor in settlement negotiations. A potential award of punitive
damages is complicated by the fact that under the law, the
insurance company is not allowed to pay an award for punitive
damages; however, normally, the defendant, through a personal
attorney, attempts to apply pressure on the insurance carrier to
pay more in settlement so that the defendant will not be exposed
to the punitive damage risk.
6. The character and credibility of the
parties.
A plaintiff’s case is worth more if he or she is likeable
and believable. It is known that jurors will award more money to
people that they like and believe than people whom they dislike
and don’t believe.
To a lesser extent, this is also true for defendants. A
likeable or believable defendant is likely to fare better in a
lawsuit than someone with the opposite traits.
7. The extent of the injury.
Theoretically, the more serious an injury, the greater
should be the value of the plaintiff’s case.
8. Objective evidence of injury.
Injuries that can be visualized or that are able to be
demonstrated by radiographic evidence such as x-rays, MRIs, CAT
scans or other scientific tests, will normally result in higher
settlements than injuries which depend upon the believability of
the plaintiff to prove.
There are many injuries which may have severe consequences
for the plaintiff which are not diagnosable by objective tests.
Experience has shown that jurors are hesitant to award large
damages in cases in which there is no objective evidence of
injury; thus, the settlement value of any case is increased by
objective evidence of injury and decreased by the lack of it.
However, a credible plaintiff can sometimes overcome the
lack of objective evidence of an injury and this must also be
taken into consideration in the right case.
9. Past and future medical bills of the
plaintiff.
As long as a plaintiff can establish that past medical
expenses and likely future medical expenses are reasonable and
related to their injuries, the bills will be an important
consideration in settlement.
However, the defense will generally claim some amount of
overtreatment and, thus, some portion of the medical bills should
be excluded from settlement consideration. Further, the defense
will argue that plaintiff will be unlikely to need or have the
claimed future treatment and/or the future treatment would not be
related to the subject incident.
10. Past wage loss and future wage loss.
Wage loss is another important consideration in evaluating
a claim as long as plaintiff can establish that he or she was
reasonably off work or will be reasonably off work due to the
subject incident. The defense will likely take the position that
the amount of the wage loss should be discounted because
plaintiff should have been back to work sooner and, in the case
of future wage loss, the defense will claim that plaintiff could
be doing some type of work which would pay them as much or almost
as much as the work they were doing before the incident.
Also, for plaintiffs who are self-employed or do not have a
strong consistent earning history before the accident/incident,
it can become very difficult to establish a wage loss claim.
11. Is the injury permanent.
In cases in which plaintiff has a permanent injury and some
objective evidence of that injury, there will likely be a higher
settlement value because the case will have more jury appeal.
12. Venue (where the claim will be tried).
It is beyond question that cases tried in certain locations,
particularly urban locations, result in much higher verdicts than
cases tried in more rural counties. This is a factor that must
be taken into consideration in settlement.
13. Policy limits and defendant’s assets.
No matter how severe the injury, the plaintiff’s ability to
recover damages against defendant will be limited by either the
defendant’s policy limits or the personal assets of the
defendant.
However, in cases involving motor vehicles, the plaintiff
may have his or her own uninsured or underinsured motorist
insurance which would provide additional coverage for the
plaintiff’s injury and allow the plaintiff to receive further
compensation in a settlement with their own insurance carrier.
14. Target defendants.
Even though jurors are not supposed to consider the wealth
of a defendant or whether or not the defendant is a corporation
in their verdict, they are far more likely to make larger awards
against large companies than they are people who they perceive to
be middle class or poor. So this becomes another important
settlement consideration.
15. Reputation and ability of attorneys.
The claims representative or defense attorney will report to
the insurance carrier or defendant the ability of the plaintiff’s
attorney and the likelihood that the attorney will try a case and
try it well.
In situations in which the defense believes that the
plaintiff’s attorney will not be willing to take the case to
trial, there is little incentive to offer a significant amount of
money in settlement.
On the other hand, if the defense believes that a
plaintiff’s attorney will not only go to trial, but will receive
an optimum verdict, the defense’s risk is increased and thus the
settlement value of the case is increased.
By the same token, plaintiffs must also take into
consideration the reputation and ability of the defense attorney.
If the case is against a good defense attorney, plaintiff will
likely receive less money from the jury; thus, the settlement
value of the case, to some extent, is decreased.
16. Expense of litigation.
The expense of litigation should also be considered in
settlement. There are some cases which, if worked up properly,
could result in the expenses actually being higher or almost the
entire amount of an eventual settlement or verdict.
Some insurance companies and corporations are cost conscious
and will take into consideration the expense of proceeding in the
case versus early settlement.
However, just because a case may cost the defense $200,000
to litigate does not mean that in a case they otherwise evaluate
as being worth $25,000, they are going to offer the plaintiff
$200,000 in settlement.
Rather, in the above example, it may cause the corporation
or insurance company to raise their offer five or ten thousand
dollars or to try to settle the case early for $25,000 before
expenses are actually incurred. Corporations and insurance
companies are loathe to make offers of settlements based on the
cost of defense because of a concern that they will be seen as an
easy target for plaintiffs.
1. Most legal questions require complex answers. The answers
provided here may not be complete or fully accurate but attempt
to provide consumers with abbreviated answers. For more
detailed answers to these questions, a consumer should check out
other articles in this section of this web site, research other
legal articles and texts on the subject matter or consult with an
attorney.
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