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2003 MTWCC 57 WCC No. 2002-0666
WILLIAM HARDGROVE
DECISION AND JUDGMENT AFFIRMED
12/01/04 Summary: Claimant and insurer jointly petitioned the Court for a determination as to whether the claimant's asbestosis claim is time-barred. He ceased working for W.R. Grace in 1984. At the time of his retirement section 39-72-403(3), MCA, provided that any claim for occupational disease benefits must be brought within three years after the claimant ceased employment. The provision was repealed in 1985. In 1998 claimant was diagnosed with asbestosis resulting from his work for W.R. Grace. Held: The claim is time-barred. The 1985 repeal of section 39-72-403(3), MCA (1983), was expressly made applicable to exposures occurring after the 1985 repeal. The latent injury doctrine is inapplicable since subsection (3) is a statute of repose and in any event expressly overrides the doctrine. Finally, the subsection is not unconstitutional either under the Full Redress Clause or the Equal Protection Clause. Topics:
¶1 The present case is before the Court on a joint petition of claimant and the insurer for W.R. Grace & Company (W.R. Grace). The question presented is whether a claim for an asbestosis-related disease contracted in the course and scope of the claimant's employment is time-barred.
¶2 The petition sets out stipulated facts. Those facts, which I have rephrased, are as follows:
¶3 The 1983 version of the Occupational Disease Act (ODA) was in effect on the last day of the claimant's employment. Section 39-72-403, MCA (1983), provided a limitations period for filing a claim for occupational disease benefits. Subsection (1) provided a general one-year limitation for filing a claim. That one year commences on the date "claimant knew or should have known that his total disability condition resulted from an occupational disease." Under subsection (2) the old Division of Workers' Compensation was authorized to waive the filing requirement for "up to an additional 2 years," thus providing a maximum three-year filing period following discovery of a totally disabling OD. However, subsection (3) provided a further, absolute limitations period which is the subject of the present proceeding. That subsection provided:
¶4 The 1985 legislature amended section 39-72-403, MCA (1983), by deleting subsection (3). 1985 Mont. Laws, ch. 112. § 2. Citing Williams v. Wellman-Power Gas, Inc., 174 Mont. 387, 571 P.2d 90 (1977), claimant argues that the amendment must be applied in this case. ¶5 Williams held that legislative amendment to a limitations period is applicable to claims which are not already barred under pre-amendment statutes. The Court adopted reasoning of the California Supreme Court in which that court said that "a party has no vested right in the running of a statute of limitation prior to its expiration." 174 Mont. at 391, 571 P.2d at 93 (quoting from Mudd v. McColgan, 30 Cal.2d 463, 183 P.2d 10, 13 (1947).) More recently, our Supreme Court has held:
Fisher v. First Citizens Bank, 2000 MT 314, ¶ 14. 302 Mont. 473, 14 P.3d 1228 (citations omitted). ¶6 During oral argument in this matter, I queried why Williams would not require application of the 1985 amendments to section 39-72-403, MCA, since the existing limitations period had not expired at the time of the 1985 enactment(1). Counsel for Transportation responded that the 1985 repealer does not apply because subsection (3) of the 1983 law is a statute of repose and not a statute of limitations. He also argued that application of the 1985 amendment would amount to a retroactive application of the law. I then requested briefs as to whether there are cases holding that a rule different from that applied in Williams applies to statutes of repose. ¶7 The briefing exercise turns out to be unnecessary. Prior to oral argument I had not reviewed the 1985 Session Laws to determine the effective date of the amendments to section 39-72-403, MCA. Apparently, counsel had not looked at the session laws either since they did not bring section 6 of the chapter in question to my attention. ¶8 The 1985 amendments to section 39-72-403, MCA, were enacted through Chapter 112 of the 1985 Montana Session Laws. Section 6 of that chapter provides:
The provision is the equivalent to the "savings clause" mentioned in Fisher. 302 Mont. at 478, 14 P.3d at 1231. Since claimant terminated his employment, and thus his exposure, prior to the enactment of the 1985 amendments to section 39-72-403, MCA, subsection 6 of the Session Laws precludes the application of the amendments to his claim. Accordingly, claimant's Williams' argument is immaterial and without merit.
¶9 Claimant also argues that subsection (3) is tolled by claimant's lack of knowledge of his condition and its relationship to his employment. He relies on the latent injury doctrine, citing Bowerman v. State Compensation Ins. Fund, 207 Mont. 314, 673 P.2d 476 (1983). Bowerman held that the time limitation period fixed for filing a workers' compensation claim "does not begin to run until the claimant, as a reasonable man, should recognize the nature, seriousness and probably, compensable character of his latent injury." 207 Mont. at 319, 673 P.2d at 479. Bowerman was decided under section 39-71-601, MCA, of the WCA. Claimant urges that the latent injury doctrine should be applied by analogy to section 39-72-403, MCA (1983). ¶10 Section 39-71-601, MCA, is a statute of limitations and the discussion and holding in Bowerman was in that context. The statute in this case is not a statute of limitations, rather it is a statute of repose. A statute of repose is an "absolute time limit beyond which liability no longer exists." Joyce v. Garnaas, 1999 MT 170, ¶ 15, 295 Mont. 198, 983 P.2d 369 (quoting from First United Methodist Church of Hyattsville v. United States Gypsum Co., 882 F.2d 862, 866 (4th Cir. 1989).) Subsection (3) fits that description, providing an absolute bar which overrides the general limitations period set out in the previous two subsections. Whatever inequities flow from a statute of repose, it is not subject to tolling. Blackburn v. Blue Mountain Women's Clinic, 286 Mont. 60, 73, 951 P.2d 1, 9 (1997). ¶11 The latent injury doctrine invoked by the claimant is already encompassed in the discovery rule of subsection (1) of section 39-72-403, MCA (1983). The subsection reads in relevant part:
It is that very rule that subsection (3) overrides. Thus, the claimant's latent injury argument flies in the face of the statute irrespective of whether it's characterized as a statute of repose or a statute of limitations.(2) The Court cannot rewrite that statute. ¶12 I therefore conclude that the claimant's latent injury argument is without merit.
¶13 Claimant urges that if subsection (3) applies and is not tolled by claimant's lack of knowledge of his disease, then the subsection violates his constitutional right to full legal redress, Mont. Const., Art. II, § 16. In relevant part, section 16 provides, "No person shall be deprived of this full legal redress for injury incurred in employment for which another person may be liable except as to fellow employees and his immediate employer who hired him if such immediate employer provides coverage under the Workmen's Compensation Laws of this state." ¶14 Claimant argues cogently that if his petition is barred by subsection (3) he has no remedy whatsoever. His argument is premised on the exclusive remedy provision set forth in section 39-72-305(1), MCA (1979-2003), as interpreted in Lockwood v. W.R. Grace & Co., 272 Mont. 202, 900 P.2d 314 (1995). In Lockwood the Supreme Court held that a 1979 amendment to section 39-72-305, MCA, precluded claimant's estate and widow from suing his employer even though the claim was denied by W.R. Grace's insurer "on the basis that the three-year statue of limitations contained in § 39-72-403, MCA (1983), had run." The Court distinguished its prior decision in Gidley v. W.R. Grace & Co., 221 Mont. 36, 717 P.2d 21 (1986), which had held that a claimant could sue his employer where his claim was time-barred prior to his discovery of his OD. It pointed out that the exclusive remedy provision at issue in Gidley was the 1977 version and that the legislature had changed the language of the provision in 1979. It found that the change in language required a different conclusion in Lockwood. ¶15 In rendering its decision in Lockwood, the Court did not address whether a claim under the ODA was barred, saying, "Issues relating solely to whether Lockwood's MODA claim is barred by the applicable statute of limitations are not properly before us in this action and must await resolution in the event Lockwood litigates a MODA claim." 272 Mont. at 206, 900 P.2d at 316. Since Gidley was based on the fact that claimant discovered his disease after the limitations period had run, and the facts in Lockwood were that Lockwood also did not discover his disease until after the expiration of the three-year limitations period laid out in section 39-72-403(3), MCA, it is clear that the Court in Lockwood concluded that the running of the limitations period prior to discovery of a disease was immaterial to its interpretation of the exclusive remedy provision. ¶16 It is difficult for me to reconcile the Lockwood decision with the Court's decision eight months later in Stratemeyer v. Lincoln County, 276 Mont. 67, 915 P.2d 175 (1996), in which the Court held that the exclusive remedy provision of the WCA did not apply to negligence claims for mental stress since mental stress is not compensable under the Act. Central to the Court's decision was its observation that workers' compensation coverage is the quid pro quo for the exclusive remedy provision. The Court said:
276 Mont. at 75, 915 P.2d at 179-80. The point was reinforced two paragraphs later when the Court addressed the specific issue in the case:
Id. at 76, Id. at 180. In cases where a claimant terminates employment prior to the discovery of a slowly developing disease, such as this in this case, there is "no possibility of recovery" under the ODA, thus the logic of Stratemeyer would appear to require a conclusion that the exclusive remedy provision is inapplicable to such cases. Nonetheless, Lockwood has not been overruled or revisited. ¶17 The situation presented here is the very situation Stratemeyer did not address - employees with latent diseases "have no possibility of recovery" under the ODA and "yet the employer . . . [is] shielded from all potential liability." Stratemeyer at 76, 915 P.2d at 180. A good argument can be made that this situation creates an issue under the Full Redress Clause of the Montana Constitution. While the Full Redress Clause has been invoked principally in third-party cases, e.g., Francetich v. State Compensation Mutual Ins. Fund, 252 Mont. 215, 827 P.2d 1279 (1992), on its face it prohibits denial of full redress for injuries suffered in employment except against the employer and co-employees and then only if there is coverage under the workers' compensation laws. Again, Mont. Const., Art. II, § 16 provides:
Arguably, the section does not apply just to third-party actions against persons other than the employer but extends to the employer and fellow employees unless the "employer provides coverage under the Workmen's Compensation Laws of this state." Since there is no possibility of recovery in latent disease cases where the diseases are discovered more than three years after the employee terminates employment, arguably there is no quid pro quo and the Full Redress Clause is violated.(3) ¶18 Transportation points out that other statutes of repose have been upheld against constitutional attack even though the injury is not discovered until after the statute has run. It cites Reeves v. Ille Electric Co. 170 Mont. 104, 551 P.2d 647 (1976), a case involving a ten-year statute of repose with respect to builders and architects. In that case the claimant was electrocuted in a whirlpool bath. His estate sued the architect and the builder who installed the whirlpool, however, more than ten years had passed since the installation. As in this case, the actual harm was not discovered, and in fact it did not occur, until after the statute of repose had run. Nonetheless, the Supreme Court upheld the constitutionality of the statute against due process and equal protection challenges, in part because the statute preserved a cause of action against the "owner, tenant, or person in actual possession and control of the improvement at the time a right of action arises," thus affording the plaintiff alternative remedies. In this case no alternative remedy is apparent. More importantly, Reeves did not consider the constitutionality of a statute of repose under Art. II, section 16. ¶19 However, even if I were to embrace the foregoing analysis, it is still possible, if not likely, that subsection (3) is constitutional under the Full Redress Clause. That possibility arises because there is an equally if not more compelling possibility that the exclusive remedy provision, as applied to latent disease cases barred under section 39-72-403(3), MCA (1983), is the unconstitutional provision. That is because the Full Redress Clause does not require workers' compensation coverage, it merely prohibits the denial of full redress where there is no coverage. Since the legislature did not extend coverage to latent diseases in situations like the one in this case, it would seem that the clause would be violated not by the lack of coverage but by the bar against the claimants suing their employers in tort. Lockwood did not address or grapple with constitutional issues, thus it does not preclude the possibility. ¶20 That said, this Court has no jurisdiction to consider the constitutionality of the exclusive remedy provision since that provision can only be invoked in a district court proceeding. On the other hand, it is claimant's burden to persuade the Court "beyond a reasonable doubt" that section 39-72-403(3), MCA (1983), is unconstitutional. Zempel v. Uninsured Employers' Fund, 282 Mont. 424, 428, 938 P.2d 658, 661 (1997). In light of the foregoing discussion, I cannot say "beyond a reasonable doubt" that the section is unconstitutional.
¶21 Citing Henry, Stavenjord, and Schmill,(4) claimant argues that subsection (3) violates his right to equal protection because the WCA permits tolling with respect to latent injuries. However, all three of the cited cases were decided under 1987 amendments to the ODA. The Supreme Court held that the amendments changed the focus of the ODA from "the nature of the medical condition" to "the number of work shifts over which the worker incurs an injury." Henry v. State Compensation Ins. Fund, 1999 MT 126, ¶ 43, 294 Mont. 448, 982 P.2d 456. That change in focus led the Court to conclude that there was no rational basis to deny claimants suffering from occupational disease benefits available to those suffering from injuries. In light of the amendments, the Court concluded that "the historical justification for treating workers differently under the WCA and the ODA no longer exists" and went on to hold:
Id. at ¶ 44. ¶22 This case does not arise under the 1987 Act. Rather it arises under the pre-1987 law which the Supreme Court held constitutional in Eastman v. Atlantic Richfield Co., 237 Mont. 332, 777 P.2d 862 (1989). In Eastman, the Court held that different treatment of workers suffering occupational disease from those suffering injuries had a rational basis and did not violate the Equal Protection Clause. The majority decisions in Henry, Stavenjord, and Schmill certainly undermine Eastman. However, the Supreme Court has not overruled that decision. Thus, as of this date, Eastman is still the governing precedent as to the constitutionality of the pre-1987 ODA and I must follow it. Claimant's equal protection argument should therefore be addressed to the Supreme Court.
¶23 Claimant also argues that subsection (3) violates the Equal Protection Clause because it creates two classes of occupational disease claimants, the first consisting of claimants who continue working for their employers long enough for their disease to become symptomatic and discovered within three years of cessation of work, the second consisting of claimants, like the one here, who do not discover their diseases until more than three years after retiring or terminating their exposure. ¶24 "[T]he first prerequisite to a meritorious claim under the equal protection clause is a showing that the state has adopted a classification that affects two or more similarly situated groups in an unequal manner." Powell v. State Compensation Ins. Fund, 2000 MT 321, ¶ 22, 302 Mont. 518, 15 P.3d 877. The class here is occupational disease claimants. All occupational disease claimants are subject to the same limitations period, therefore they are all treated equally.
¶25 The claimant's claim for compensation under the Montana ODA is time-barred under section 39-72-403(3), MCA (1983). ¶26 This Judgment is certified as final for all purposes. DATED in Helena, Montana, this 13th day of August, 2003. (SEAL) \s\ Mike
McCarter c: Mr. Thomas A. Baiz 1. Since claimant had not discovered his disease when he ceased employment, the limitations period under subsections (1) and (2) had not even started. 2. Claimant urges that to avoid unconstitutionality the Court must interpret subsection (3) as encompassing a latent injury exception. (Petitioner's Brief in Support of Judgment as a Matter of Law on Stipulated Facts at 10.) However, as claimant points out, the rule providing for the Court to adopt a constitutional interpretation requires that there be alternative interpretations. Similarly, all the "liberal construction" in the world will not aid claimant. Subsection (3) is plain on its face and there is simply nothing to interpret. 3. While Meech v. Hillhaven West, Inc., 238 Mont. 21, 776 P.2d 488 (1989), holds that the Full Redress Clause "guarantees only a right of access to courts to seek a remedy for wrongs recognized by common-law or statutory authority, and the legislature may alter common-law causes of action to promote a legitimate state interest," that was said in a non-workers' compensation context and did not consider the part of the Full Redress Clause at issue here. 4. Henry v. State Compensation Ins. Fund, 1999 MT 126, 294 Mont. 448, 982 P.2d 456; Stavenjord v. State Compensation Ins. Fund, 2003 MT 67; Schmill v. Liberty Northwest Ins. Co., 2003 MT 83. |
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