KRAUSE, Circuit Judge.
In 2003, the Pennsylvania Supreme Court grew troubled by the frequency of meritless professional malpractice claims filed in the state system. To address that concern, the Court amended the Pennsylvania
We have previously held that the COM requirement is substantive state law that must be applied by a federal court sitting in diversity. See Liggon-Redding v. Estate of Sugarman, 659 F.3d 258, 265 (3d Cir.2011). In this appeal, we consider whether one of Pennsylvania's conditions precedent to dismissing an action for failure to comply with the COM requirement, fair notice to a plaintiff, is also substantive law. We conclude that it is, and thus will reverse the judgment of the District Court.
In 2010, Appellee Dr. Miroslav Uchal performed laparoscopic adjustable gastric band surgery, a procedure intended to place a band around a person's stomach to limit his food intake and help him lose weight, on Appellant Brian Schmigel. The surgery went awry, however, and the band was left "free floating in his abdomen." App. 20a. As a result, Schmigel not only failed to lose weight; he suffered internal scarring, limiting his options for similar surgeries into the foreseeable future.
With the benefit of the discovery rule, Schmigel filed suit against Uchal just inside Pennsylvania's statute of limitations for professional malpractice actions. Between the surgery and the initiation of the suit, Uchal had moved to Florida so that Schmigel, a resident of Pennsylvania, was able to sue in the United States District Court for the Western District of Pennsylvania on the basis of diversity jurisdiction. Schmigel's attorney asked Uchal to accept service of the complaint,
The next day, Schmigel's counsel filed an "answer" to the motion, which included the missing COM and an affidavit explaining that counsel had timely consulted with a doctor but, due to an oversight, had not prepared a COM. In the briefing that followed, the parties disputed, among other things, whether Schmigel had substantially complied with the COM requirement, whether his failure should have been excused, and — because Uchal had not waited thirty days after giving notice of the deficiency to allow for cure before filing his motion to dismiss, which is one of the conditions precedent to dismissal under Pennsylvania law — whether Uchal had the
The District Court granted the motion and dismissed the claim. Schmigel v. Uchal, No. 14-358, 2014 WL 3397669, at *7 (W.D.Pa. July 11, 2014). First, the District Court held, under our precedent, that Pennsylvania's COM requirement was substantive law that a federal court must apply when sitting in diversity. Id. at *3. Second, the District Court found that neither of Pennsylvania's equitable exceptions for allowing a late-filed complaint — substantial compliance and justifiable excuse — applied here. Id. at *5-7. The District Court did not address at all Schmigel's final argument, that Pennsylvania's notice requirement as a condition of dismissal applied in federal court, so that Uchal's failure to satisfy that condition precluded dismissal. This appeal followed.
As the Pennsylvania Supreme Court recounted in Womer v. Hilliker, 589 Pa. 256, 908 A.2d 269 (2006), the Supreme Court adopted the COM regime "in January of 2003, having determined that malpractice actions were being commenced in the Pennsylvania courts more frequently." Id. at 275. With that recognition came concern that state courts would be overburdened with "malpractice claims of questionable merit." Id. Thus, the Court "devise[d] an orderly procedure that would serve to identify and weed non-meritorious malpractice claims from the judicial system efficiently and promptly." Id. The COM requirement was born.
Rule 1042.3 of the Pennsylvania Rules of Civil Procedure, the centerpiece of the COM regime, requires that within sixty days of filing "any action based upon an allegation that a licensed professional deviated from an acceptable professional standard," a plaintiff file a COM that states (1) "an appropriate licensed professional has supplied a written statement that there exists a reasonable probability that the care, skill or knowledge" of the defendant "fell outside acceptable professional standards and that such conduct was a cause in bringing about the harm"; (2) the claim is "based solely on allegations that other licensed professionals for whom this defendant is responsible deviated from an acceptable
Womer, 908 A.2d at 275-76 (internal footnote and citations omitted).
That ultimate consequence of the failure to comply — termination of the suit — is effectuated in state court upon the filing of a praecipe with a prothonotary, who in turn enters a judgment of non pros.
In Womer, the Pennsylvania Supreme Court encountered a situation substantially similar to the one we face today. There, a plaintiff initiated a medical malpractice suit only months after the COM regime began and, within sixty days, served the defendant with an expert report from a doctor that stated the claim was meritorious. 908 A.2d at 273. The plaintiff or his counsel did not, however, actually file a COM. Id. Accordingly, as soon as the sixty-day deadline passed, the defendant filed a praecipe to dismiss the claim, and the prothonotary entered a judgment of non pros. Id. As here, the statute of limitations had run, and thus a presumptively meritorious claim came to a precipitous end. Id. at 274.
Two days after the filing of the praecipe, the plaintiff sought to reopen his case, arguing that, among other things, his failure to submit the COM was a result of his counsel's "oversight or mistake." Id. at 273. Included with that filing was a COM that his lawyer had written the previous day. The motion was denied, but on appeal the Superior Court reversed the trial court and reinstated the case. Womer v. Hilliker, 860 A.2d 1144 (Pa.Super.Ct.2004) (unpublished table decision). The Pennsylvania Supreme Court then granted allocatur and reversed the Superior Court, terminating the plaintiff's claim.
In its decision, the Supreme Court acknowledged that the consequence of failing to comply with the COM requirement was a harsh one — the lawsuit's demise. 908
Justice Baer, joined by Justice Castille, dissented, citing a number of cases for the proposition that "the courts of [Pennsylvania] have historically been loathe to put a litigant out of court on a potential meritorious claim for missing a filing deadline due to lawyer oversight," and observing "there is also ample law in Pennsylvania abhorring the practice of entering a snap judgment in response to such a mistake." Id. at 282-83 (Baer, J., dissenting). The dissent concluded that dismissal was in error because "within hours of being put on notice that he mistakenly did not meet all the technical requirements of the rule, [the plaintiff] moved to rectify that mistake and supplied the technically missing COM." Id. at 282.
Justice Baer's rationale quickly transitioned from dissent to rule, as it became the backbone of a significant change to the COM regime. Specifically, in 2008, the Pennsylvania Supreme Court amended the Rules of Civil Procedure to add additional conditions precedent to a defendant's dismissal of a case.
Justice Baer reflected upon the change in a later opinion:
Anderson v. McAfoos, 618 Pa. 478, 57 A.3d 1141, 1154 (2012) (Baer, J., concurring) (internal citations omitted); see also Keel-Johnson v. Amsbaugh, No. 07-200, 2009 WL 648970, at *6 (M.D.Pa. Mar. 10, 2009) (explaining that the new rules "severely limit[] the availability of non pros by permitting judgment only after ample notice to plaintiffs").
In sum, Rule 1042.7 was specifically intended to codify Justice Baer's dissenting view in Womer and to prevent the exact situation that confronts us today. That is, were this case in state court, Schmigel's claim would not have been dismissed because his attorney filed the COM as soon as he was notified of the deficiency and well within the thirty-day window for cure. We now must decide whether that condition precedent to dismissal applies equally to malpractice actions filed in federal court.
Pursuant to the Erie doctrine, "[a] federal court sitting in diversity must apply state substantive law and federal procedural law." Chamberlain v. Giampapa, 210 F.3d 154, 158 (3d Cir.2000). "This substantive/procedural dichotomy of the `Erie rule' must be applied with the objective that `in all cases where a federal court is exercising jurisdiction solely because of the diversity of citizenship of the parties, the outcome of the litigation in the federal court [will] be substantially the same, so far as legal rules determine the outcome of a litigation, as it would be if tried in a State court.'" Id. at 158-59 (alteration in original) (quoting Guaranty Trust Co. v. York, 326 U.S. 99, 109, 65 S.Ct. 1464, 89 L.Ed. 2079 (1945)). This outcome determinative test, however, "should not produce a decision favoring application of the state rule" unless it furthers one of Erie's "`twin aims': `discouragement of forum shopping and avoidance of inequitable administration of the laws.'" Id. (quoting Hanna v. Plumer, 380 U.S. 460, 468, 85 S.Ct. 1136, 14 L.Ed.2d 8 (1965)).
Consistent with these aims, we apply a three-part test to decide whether a state law or rule is substantive or procedural for Erie purposes. See Liggon-Redding, 659 F.3d at 262 (citing Chamberlain, 210 F.3d at 158-61). First, we "determine whether there is a direct collision between a federal rule and the state law or rule that the court is being urged to apply." Liggon-Redding, 659 F.3d at 262. If there is a direct conflict, and the federal rule is "constitutional and within the scope of the Rules Enabling Act," we apply the federal rule and end our analysis. Chamberlain, 210 F.3d at 159. Second, "[i]f there is no direct collision," we examine "whether the state law is outcome-determinative and whether failure to apply the state law would frustrate the twin aims of the Erie Rule to discourage forum shopping and avoid inequitable administration of the law." Liggon-Redding, 659 F.3d at 262. Finally, we consider "whether any countervailing federal interests prevent the state law from being applied in federal court." Id.
As set forth below, we conclude that Pennsylvania's notice requirement, like the COM requirement itself, is substantive
This is not the first time we have addressed the requirement that a malpractice plaintiff provide a certificate or affidavit of merit, and we are guided by our precedent in Chamberlain, 210 F.3d at 158-61 and Nuveen, 692 F.3d at 300-10, analyzing New Jersey's AOM statute; and Liggon-Redding, 659 F.3d 258, addressing Pennsylvania's COM regime. That precedent supports the notion that the COM regime's notice requirement should be construed as substantive law.
In Chamberlain, we examined New Jersey's AOM statute, which, like Pennsylvania's COM requirement, provides that if an AOM is not filed within sixty days of filing a malpractice suit that action may be dismissed with prejudice. N.J.S.A. § 2A:53A-27, 29; Chamberlain, 210 F.3d at 157-58.
As one would expect, when faced with Pennsylvania's COM rule soon thereafter in Liggon-Redding, we concluded that it also did not conflict with any Federal Rule, including Rules 7, 8, 9, 11 or 41(b); that it was outcome determinative; that failing to apply it would encourage forum shopping and result in inequitable administration of the law; and that no countervailing federal interest prevented its application in federal court. 659 F.3d at 262-65. And, as in New Jersey, because enforcing the rule without its consequence would be a rather pointless exercise, we also enforced Pennsylvania's own penalty for failing to comply, along with its primary condition precedent — that a defendant may move to dismiss an action without prejudice only when sixty days have passed from the time of suit without the production of a COM. See id. at 263.
Because we reversed on the ground that the pro se plaintiff in Liggon-Redding in fact had complied with the COM requirement, we had no need to consider Pennsylvania's equitable exceptions of substantial
What Chamberlain, Nuveen, and Liggon-Redding reflect is that we have already applied as substantive law the COM requirement and its New Jersey analogue, along with each state's consequence of failing to comply, and at least one associated condition precedent to dismissal. Uchal, moreover, does not argue that we should ignore all the substance of Rule 1042.7, for it is that Rule which vested him with the right to dismissal in the first place. Instead, he seeks to enforce only that portion of Rule 1042.7 that is favorable to him. That is, he would have us apply a defendant's right to dismissal for a plaintiff's non-compliance with the COM requirement, but ignore the fact that the Pennsylvania Supreme Court has vested a defendant with that right only when a plaintiff receives thirty days' notice.
Uchal argues that, whatever we may glean from our precedent, the application of our three-part Erie test requires us to hold that Rule 1042.7's notice requirement is procedural. Specifically, he argues that (1) it is in direct conflict with the Federal Rules; (2) it is outcome determinative only in the most limited sense; and (3) the failure to apply it in federal court would not frustrate Erie's twin aims. Our independent analysis under this test leads us to the opposite conclusion.
First, we discern no conflict whatsoever between the substance of Rules 1042.6-7 and Federal Rules 7(b) and 12(b). Rule 7(b) "governs the application to the court for an order and requires that any application to the court be by motion." Liggon-Redding, 659 F.3d at 262. Uchal argues that applying the notice requirement from Rule 1042.7 means that we must apply the procedure by which dismissal is accomplished in state court, that is, a filing of a praecipe with the prothonotary, and that because Rule 7 provides for motions and not praecipes, the federal and state rules irreconcilably conflict.
We have already resolved this alleged conflict, however, and not in Uchal's favor. For when we held in Liggon-Redding that
Nor is there a conflict with Rule 12(b), which tests the sufficiency of pleadings. As we have made clear, the COM requirement "does not have any effect on what is included in the pleadings of a case or the specificity thereof." Liggon-Redding, 659 F.3d at 263 (emphasis added) (internal quotation marks omitted). That is, the COM "is not part of the complaint, nor does it need to be filed with the complaint." Nuveen, 692 F.3d at 303. Rather, the COM requirement and its conditions are facts that can form the basis for a motion for summary judgment. See id. at 303 n. 13 ("That the [New Jersey] affidavit is not a pleading requirement counsels that a defendant seeking to `dismiss' an action based on the plaintiff's failure to file a timely affidavit should file a motion for summary judgment under Rule 56, and not a motion to dismiss for failure to state a claim under Rule 12(b)(6)."). Because a motion for summary judgment can be filed whenever appropriate, there is no conflict between the timelines of the COM requirement, including thirty days' notice, and a defendant's right to terminate a plaintiff's case for the failure to comply. See Fed. R.Civ.P. 56 ("Unless a different time is set by local rule or the court orders otherwise, a party may file a motion for summary judgment at any time until 30 days after the close of all discovery.").
Second, failing to require notice is plainly outcome determinative, as it was for Schmigel here. Indeed, the Pennsylvania Supreme Court altered the COM Rules specifically because the Court wished to avoid the termination of meritorious actions when, "within hours of being put on notice that he mistakenly did not meet all the technical requirements of the rule, [a
Finally, consistent application of the COM requirement will ensure equitable administration in both federal and state courts and will prevent forum shopping by discouraging defendants from removing to federal court when faced with actions filed near the end of the statute of limitations. Conversely, it would not only be inequitable, but irrational, to dismiss meritorious claims based solely on a state rule, when that very same rule, specifically amended as a result of a virtually identical scenario to this one, prevents dismissal in state court. And while we generally look to concerns that a plaintiff will forum shop, visiting the consequences of inequitable administration of the law upon a defendant, we may consider the reverse as well, where the equities require. See Nuveen, 692 F.3d at 304-05 (considering whether applying a New Jersey rule would provide a defendant "incentive to remove a case from state to federal court").
States are free to vest defendants with a mechanism to swiftly terminate unmeritorious malpractice actions, as Pennsylvania did. But in Pennsylvania, that right does not vest unless at least one condition is met: thirty days' notice to a plaintiff.
RENDELL, Circuit Judge, dissenting:
Rule 1042.7 regulates procedure, as does Rule 12 of the Federal Rules of Civil Procedure. Nothing could be clearer than the principle that a federal procedural rule "is valid in all jurisdictions, with respect to all claims, regardless of its incidental effect upon state-created rights." Shady Grove Orthopedic Assocs., P.A. v. Allstate Ins. Co., 559 U.S. 393, 410, 130 S.Ct. 1431, 176 L.Ed.2d 311 (2010) (plurality opinion). The majority ignores this principle, and its holding runs afoul of Supreme Court precedent and our own caselaw as well. I disagree with the majority's decision to incorporate state court procedural rules into our federal practice and, as a result, I dissent.
To begin, I would recast the facts of this case, as I believe they have been mischaracterized. Uchal performed a laparoscopic adjustable gastric band procedure on Schmigel on May 10, 2010. Schmigel did not lose weight after the surgery. On March 27, 2012, another physician performed a CAT scan and discovered that the band was never placed around Schmigel's stomach. Schmigel filed a negligence cause of action against Uchal in federal court two years later on March 19, 2014 — only eight days before the statute of limitations was set to expire.
The majority strains to save Schmigel's case by incorporating the "condition of thirty days' notice prior to seeking dismissal of an action for failure to file the COM regime" as substantive law that must be applied in federal court. (Majority Op. 123-24.) Specifically, the majority incorporates the state court rule that "[t]he prothonotary, on praecipe of the defendant, shall enter a judgment of non pros against the plaintiff for failure to file a certificate of merit within the required time provided that ... the praecipe is filed no less than thirty days after the date of the filing of the notice of intention to enter the judgment of non pros." Pa. R.C.P. No. 1042.7(a)(4). Is this not, clearly, a procedural rule that is inappropriate to incorporate into federal practice?
My analysis confirms that the answer is "yes." The first step in determining whether a state rule applies in federal court is assessing whether the state rule contravenes federal procedural rules: "First, a court must determine whether there is a direct collision between a federal rule and the state law or rule.... If there is a direct conflict, the federal court must apply the federal rule and reject the state rule." Liggon-Redding v. Estate of Sugarman, 659 F.3d 258, 262 (3d Cir.2011).
In this case, there is a direct conflict. The majority holds that Uchal had no "right" to "seek dismissal in the first place" because he "had not waited thirty days after giving notice of the deficiency to allow for cure before filing his motion to dismiss." (Majority Op. 115.) But Uchal filed his motion to dismiss within 21 days after being served with the summons. How could he give 30 days' notice before filing his motion when the Federal Rules of Civil Procedure mandate that he must file a motion to dismiss within 21 days?
The Federal Rules do not require defendants to give written notice of their intention to file a motion to dismiss. Nor do they preclude courts from entering judgments without such notice. Rule 12 only requires defendants to file either an answer or a motion, not a notice of intent to file a future motion. Rule 12 controls because its scope is "`sufficiently broad' to... implicitly, to `control the issue' before the court." Burlington N.R. Co. v. Woods, 480 U.S. 1, 4-5, 107 S.Ct. 967, 94 L.Ed.2d 1 (1987) (quoting Walker v. Armco Steel Corp., 446 U.S. 740, 749, 100 S.Ct. 1978, 64 L.Ed.2d 659 (1980)). Rule 12 need not explicitly state that defendants are not required to provide notice of intent to dismiss because it so states by implication. It does not require notice and our Court cannot add a notice requirement to a rule that plainly has none. Moreover, adding such a notice requirement will create varied
Importantly, the Supreme Court has specifically held that, when there is a rules conflict, even though a substantive state law applies in federal court, the procedural protections that accompany that particular state law do not apply. In Shady Grove, the Supreme Court held that a class action could be certified in federal court even though New York law prohibited the pursuit of such claims in a class action. Shady Grove rejected the respondent's argument that class certification abridged the "substantive right ... not to be subject to aggregated class-action liability" conferred under New York law. 559 U.S. at 409, 130 S.Ct. 1431. Shady Grove held that Rule 23 of the Federal Rules of Civil Procedure, which governs class certification, trumped the state law barring such actions. The plurality explained: "A Federal Rule of Procedure is not valid in some jurisdictions and invalid in others — or valid in some cases and invalid in others — depending upon whether its effect is to frustrate a state substantive law (or a state procedural law enacted for substantive purposes)." Id. As in Shady Grove, here the COM substantive rule applies, but the procedural rule does not.
Even if there were no conflict and we were to proceed with an analysis under Erie, Rule 1042.7 would still not apply. Erie holds that a federal court sitting in diversity must apply state substantive law and federal procedural law: "Under Erie, a court assesses the substantive/procedural dichotomy with the objective that `the outcome of the litigation in the federal court [will] be substantially the same, so far as legal rules determine the outcome of a litigation, as it would be if tried in a State court.'" Nuveen Mun. Trust ex rel. Nuveen High Yield Mun. Bond Fund v. WithumSmith Brown, P.C., 692 F.3d 283, 302 (3d Cir.2012) (quoting Guar. Trust Co. of N.Y. v. York, 326 U.S. 99, 109, 65 S.Ct. 1464, 89 L.Ed. 2079 (1945)). "This `outcome determinative test' focuses on the `twin aims' of discouraging forum shopping and avoiding `the inequitable administration of the laws.'" Id. (quoting Hanna, 380 U.S. at 468, 85 S.Ct. 1136). We must ask whether applying the state rule "would make so important a difference to the character or result of the litigation that failure to enforce it would unfairly discriminate against citizens of the forum State" or "would have so important an effect upon the fortunes of one or both of the litigants that failure to enforce it would be likely to cause a plaintiff to choose the federal court." Hanna, 380 U.S. at 468 n. 9, 85 S.Ct. 1136. "Consideration of the `twin aims' should produce a decision favoring application of state law only if one of the aims is furthered." Nuveen, 692 F.3d at 302. Rule 1042.7 satisfies neither requirement.
We concluded in Liggon-Redding that the COM requirement was outcome determinative because it made a difference as to the character or result of the litigation. Rule 1042.3 "was created to ensure that professional negligence claims are meritorious, and the [COM] requirement prevents needless waste of judicial time and resources which would otherwise be spent on non-meritorious claims." Liggon-Redding, 659 F.3d at 262-63. The COM requirement exists to ensure that malpractice suits are meritorious. That requirement is, of course, substantive and outcome-determinative and creates no conflict with federal procedural rules. Rule 1042.7 has nothing to do with the character of the litigation and is, accordingly, not outcome-determinative.
Schmigel argues that ruling in Appellees' favor will result in inequitable administration of the law. But we have already rejected a virtually identical argument regarding procedural protections for plaintiffs who forget or are unaware of the affidavit of merit requirement in New Jersey, which is similar to Pennsylvania's COM requirement. In Nuveen, the appellant "argue[d] that the two protections the New Jersey Supreme Court has established to dull the severe consequences of the failure to file a timely affidavit of merit... are substantive requirements ... that must be applied in federal court." Nuveen, 692 F.3d at 300. In Nuveen, we rejected this argument because "plaintiffs (and their attorneys) are required to know the law. They should not need to be reminded of the affidavit requirement." Id. at 304 (footnote omitted). Furthermore, we held that "the lack of a reminder does not result in inequitable administration of the [Affidavit of Merit] Statute." Id. at 304 (emphasis added). We also noted that "[i]f Nuveen's counsel had been diligent, it would not have needed a reminder ... that it had an obligation to serve affidavits of merit." Id. at 310. Nuveen dictates the result here. As noted above, Schmigel's counsel was anything but diligent in many ways. Instead of requiring basic attorney diligence, the majority fashions new law contravening our precedent.
Schmigel also argues that refusing to apply Rule 1042.7 would encourage forum-shopping because plaintiffs would avoid federal court for fear of having their cases dismissed for inadvertent errors. This argument makes no sense. It is implausible that a plaintiff would be aware that federal courts have different dismissal procedures for failure to file a COM and still forget to file a timely COM. Rule 1042.7 fails the Erie test. Denying Schmigel's appeal is not inequitable and would not result in forum-shopping.
State court procedural rules do not belong in federal court. I respectfully dissent.