The plaintiffs Daniel Hendershot et al.
We find that the order must be reversed on the following grounds: (1) the court's analysis of the "numerosity" factor was incorrect; (2) the court improperly considered the merits of defendant's affirmative defenses; and (3) the court denied plaintiffs due process by failing to grant them an adequate opportunity to perform discovery on and brief certification issues.
On May 24, 2012, plaintiffs filed a putative class action against defendant for failure to pay overtime wages, among other causes of action. The complaint alleged that the putative class members were nonexempt employees who chauffeured vehicles for defendant, and that defendant failed to compensate them for periods when they were required to remain on call in between trips transporting clients. Plaintiffs amended the complaint twice and defendant filed an answer. The second amended complaint defined the class as "[a]ll non-exempt, chauffeur employees who worked `on-call time' without compensation, who are or who have been employed by DEFENDANT[] in the State of California at any time during the four years prior to the date of the filing of this action."
On June 28, 2012, plaintiffs propounded requests for production, requests for admissions and a form interrogatory on defendant. On July 27, 2012, defendant asked for a one-month extension to respond to the discovery. Plaintiffs conditioned such an extension on defendant's agreement that it would provide (1) "good faith, substantive responses, and not simply objections" as well as (2) "the contact information for all putative class members." Defendant's counsel "agree[d] to the proposal" and said it would employ a "[Belaire] notice procedure" to provide plaintiffs' counsel with contact information for the class.
Defendant thereafter obtained new counsel. On September 7, 2012, defendant's new counsel acknowledged the parties' agreement regarding the discovery extension but asked for additional time to "review the [Belaire] Notice [and] communicate with my client about the details." Plaintiffs' counsel agreed to the extended timeframe, and defendant's counsel agreed to finalize the Belaire notice by September 26, 2012.
Defendant served its discovery responses on plaintiffs in September. On October 29, 2012, plaintiffs moved to compel further responses to their discovery requests, including the request seeking all documents pertaining to defenses defendant intended to assert in this action. Plaintiffs argued that, in spite of defendant's prior agreement to provide substantive responses to the discovery in exchange for an extension, defendant had refused to respond to over half of the requests for admissions and the related form interrogatory 217.1, had asserted boilerplate objections to certain requests for production, and had only produced a portion of responsive documents. On December 11, 2012, the court granted the motions. Defendant was ordered "to file supplemental responses as prayed for" by December 21, 2012, and to pay plaintiffs $10,000 in attorney's fees. Defendant did, at sometime thereafter, serve supplemental responses and produce a list of the putative class members to a third party administrator.
On January 25, 2013, plaintiffs moved ex parte with defendant's consent to "re-set[] the due date to file a Motion for Class Certification in this case and adjust related deadlines." The court had set a deadline for filing the motion of February 14, 2012, and plaintiffs requested an additional two months to prepare on the grounds that there had been "a delay of over a month in obtaining the Putative Class List from the Third Party Administrator," "significant delays in obtaining documents in discovery" including "a large production of many thousands of pages [which] was obtained by Plaintiffs just recently from Defendant," and "[c]ertain witnesses important for the Motion are unavailable for deposition in the immediate term ...." The court denied the request.
The parties' counsel agreed to set Ricketts's deposition for January 31, 2013, and, accordingly, plaintiffs' counsel noticed the deposition for that date.
On February 1, 2013, defendant produced 36 settlement agreements with putative class members, 29 of which had been signed in September 2012. The settlement agreements provided that certain putative class members "release[d]" the defendant "from any and all liability ... that Employee now has or which may hereafter accrue against the [defendant] ...."
On February 14, 2013, plaintiffs filed their motion for class certification in which they argued that the proposed class was sufficiently numerous because there were at least 53 potential members of the class. One week later, defendant produced 24 arbitration agreements and two additional settlement agreements with putative class members. All of the arbitration agreements had been signed in 2012, prior to the due date for defendant's further production pursuant to the court's order granting the motion to compel. The agreements provided that "[a]ny controversy, dispute or claim between any employee and the [defendant] ... shall be settled by binding arbitration, at the request of either party...."
On February 26, 2013, defendant filed its opposition to the class certification motion. In opposition, defendant argued that the putative class was not sufficiently numerous because the majority of the proposed class had settled their claims and/or agreed to arbitrate their disputes with defendant. Defendant also argued that "most employee[s'] settlement of all their claims, agreement to arbitration, or both ... demonstrate that there will be various factual issues, and in particular defenses, that are not typical of the entire purported class, and ... class representatives."
On March 12, 2013, the court denied class certification on the grounds that plaintiffs had failed to satisfy the numerosity requirement. The court's order provided that: "Defendant has produced compelling evidence that, at most, there would be only nine plaintiffs in this case: the three plaintiffs and six other drivers. Of the remainder of the 53 drivers, thirty-eight have already settled their claims with defendant; twenty-four have agreed to arbitrate any claims against defendant; and nineteen drivers both settled and agreed to arbitrate....[
That same day, plaintiffs filed a request for permission to file supplemental briefing on the issue of standing raised sua sponte by the court at the hearing. The record does not indicate that the court ruled on the request. Plaintiffs timely appealed.
Plaintiffs contend the trial court erred in finding that the proposed class was not sufficiently numerous. Plaintiffs also contend the court erred in considering defendant's late production and in refusing to continue the class certification hearing to allow plaintiffs to conduct further discovery.
"The question of class certification is essentially procedural and does not involve the legal or factual merits of the action. [Citation.]" (Knapp v. AT&T Wireless Services, Inc. (2011) 195 Cal.App.4th 932, 938 [124 Cal.Rptr.3d 565].) "Trial courts have discretion in granting or denying motions for class certification because they are well situated to evaluate the efficiencies and practicalities of permitting a class action. [Citation.] Despite this grant of discretion, appellate review of orders denying class certification differs from ordinary appellate review. Under ordinary appellate review, we do not address the trial court's reasoning and consider only whether the result was correct. [Citation.] But when denying class certification, the trial court must state its reasons, and we must review those reasons for correctness. [Citation.]" (Id. at p. 939.)
"A grant or denial of class certification that rests in part on an erroneous legal assumption is error; without regard to whether such a certification might on other grounds be proper, it cannot stand." (Brinker, supra, 53 Cal.4th at p. 1050.) "`In other words, we review only the reasons given by the trial court for denial of class certification, and ignore any other grounds that might support denial.'" (Corbett v. Superior Court (2002) 101 Cal.App.4th 649, 658 [125 Cal.Rptr.2d 46]; see Clothesrigger, Inc. v. GTE Corp. (1987) 191 Cal.App.3d 605, 611-612 [236 Cal.Rptr. 605] [In reviewing an order denying class certification, "[t]he right result is an inadequate substitute for an incorrect process."].)
"The ultimate issue in evaluating this factor is whether the class is too large to make joinder practicable ...."
Here, the second amended complaint defined the proposed class as "[a]ll non-exempt, chauffeur employees who worked `on-call time' without compensation, who are or who have been employed by DEFENDANT[] in the State of California at any time during the four years prior to the date of the filing of this action." There was no dispute that 53 individuals fell within the class description. The trial court found only that the class was not sufficiently numerous because 44 of those individuals had settled their claims or agreed to arbitrate their claims against defendant. The trial court's bare conclusion that the remaining nine class members did not constitute a sufficiently numerous class — without any analysis as to the "ultimate issue... [of] whether the class is too large to make joinder practicable" — was
Although these defenses may overlap with the determination of whether the class representatives here can adequately represent members who have signed releases and arbitration agreements, or whether those representatives' claims and defenses are typical of those of the class, the trial court did not address these matters. (See, e.g., Melong v. Micronesian Claims Com. (D.C. Cir. 1980) 643 F.2d 10, 13 [207 U.S. App.D.C. 15] ["[W]hether those proposed class members who have executed releases with [the defendant] may be included within the plaintiffs' proposed classes [¶] ... [¶] ... is not a novel [issue]; it has been addressed often by courts in a variety of cases involving proposed class actions. In each instance, the court considering the
Furthermore, as the Supreme Court explained in Linder, "[w]hen the substantive theories and claims of a proposed class suit are alleged to be without legal or factual merit, the interests of fairness and efficiency are furthered when the contention is resolved in the context of a formal pleading (demurrer) or motion (judgment on the pleadings, summary judgment, or summary adjudication) that affords proper notice and employs clear standards. Were we to condone merit-based challenges as part and parcel of the certification process, similar procedural protections would be necessary to ensure that an otherwise certifiable class is not unfairly denied the opportunity to proceed on legitimate claims."
Defendant's failure to assert these defenses in its answer did not necessarily bar defendant from asserting them in opposition to the motion for class certification: defendant could have moved at any time to amend its answer to include these defenses, even at this late stage. (Ramos v. City of Santa Clara (1973) 35 Cal.App.3d 93, 95 [110 Cal.Rptr. 485] ["A trial court has discretion to allow amendment of any pleading at any stage of the proceedings ...."].) However, this principle extends to plaintiffs as well, who should also be allowed to amend their pleading in response to any newly pled defense. (Magpali v. Farmers Group, Inc. (1996) 48 Cal.App.4th 471, 487 [55 Cal.Rptr.2d 225] ["courts are bound to apply a policy of great liberality in permitting amendments to the complaint at any stage of the proceedings, up to and including trial [citations] ... `where no prejudice is shown to the adverse party ....' [Citation.]"].)
Defendant contends that it was not required to plead an affirmative defense that applied only to putative class members because, prior to the certification of the class, those individuals are not parties to this action. However, such a rule would encourage a defendant to oppose class certification by raising, at the last minute, defenses that apply only to putative class members. In addition, as explained by a leading treatise on class actions, "the courts risk confusion and uncertainty when they try to determine the implications of rights of the representative or of class members by focusing on whether absent members are parties or are present as parties for some purposes and not for others. The position that absent class members occupy in class action litigation is sui generis, and attempts to analogize to conventional `party' status are likely to fail. It is more logical for a court faced with a question concerning the rights and duties of absent class members to analyze the issue presented with reference to the goals of representative litigation, not by strained analogies to conventional litigation." (1 Rubenstein, Newberg on Class Actions (5th ed. 2011) § 1:5, pp. 15-16, fn. omitted.)
Here, the record establishes that defendant withheld the releases and arbitration agreements from plaintiffs despite a court order directing it to produce all documents in support of its defenses. In addition, defendant did not produce the releases until the eve of the due date for the motion for class certification — and did not produce the arbitration agreements until after the motion had been filed — despite having possessed them for many months. This timeline did not give plaintiffs an adequate opportunity to conduct discovery on these issues or brief them. Furthermore, the record demonstrated that defendant had also abused the discovery process by breaking its agreement to draft a Belaire notice, first by late July 2012, and then again, by late September 2012. Defendant also reneged on its agreement to produce its chief executive officer for a deposition in January 2013. These delays, with respect to plaintiffs' ability to communicate with the proposed class and to obtain discovery directly from defendant, provided further support for plaintiffs' argument that they had not had an adequate opportunity to conduct discovery on certification issues.
Plaintiffs now argue that the assertion of these defenses took them by surprise and prejudiced them. It clearly did. Defendant successfully hid the fact that it had managed to procure releases from the majority of the putative class until the eve of the due date for the motion for class certification. In addition, there is no evidence that plaintiffs were aware of the arbitration agreements between defendant and certain putative class members until after plaintiffs had filed their moving papers. The motion for class certification was denied based on these defenses which were asserted for the first time by defendant in its opposition papers. In addition, the standing argument raised by the court at the hearing disposed of plaintiffs' challenge to those agreements, yet the court did not grant plaintiffs' request to provide briefing on this issue. Since plaintiffs did not have an adequate opportunity to conduct discovery on or brief issues related to certification, the motion denying class certification must be reversed.
The order denying class certification is reversed, and the cause is remanded for proceedings not inconsistent with this opinion. Plaintiffs are to recover their costs on appeal.
Klein, P. J., and Aldrich, J., concurred.