Tort and Litigation Reform in the 115th Congress




Legal Sidebari

Tort and Litigation Reform in the 115th
Congress

April 10, 2018
Debates over “tort reform”—that is, whether (and to what extent) legislatures should limit lawsuits
concerning negligence, personal injury, medical malpractice, products liability, and other similar causes of
action—have endured for decades. Many commentators and policymakers have advocated both
substantive changes to the tort system (that is, “regulation of the standards of liability” that apply in tort
cases “as well as the amount of damages” that a tort plaintiff may recover) and procedural changes (i.e.,
regulation of where, when, and how a tort lawsuit may proceed). Whereas supporters argue that tort
reform is necessary to prevent “questionable lawsuits” that “compromise access to affordable health care,
punish consumers by raising the cost of goods and services, chill innovation, and undermine the notion of
personal responsibility,” opponents argue that measures restricting tort litigation undesirably “chip away
at Americans’ ability to seek justice.” This Sidebar surveys several major tort and litigation reform bills
pending in the 115th Congress and discusses some of the legal issues raised by each bill.
Background on Tort Law
Tort law, broadly speaking, aims to “deter people from injuring others and to compensate those who are
injured.” Tort law encompasses a broad range of subjects, including medical malpractice, personal injury,
and products liability law. Although the development and refinement of substantive tort law is generally
the province of the states rather than the federal government, Congress nonetheless possesses some power
to enact legislation that can directly or indirectly influence tort litigation, especially in the federal courts.
What a plaintiff must prove to prevail in a tort lawsuit varies depending on the context. For instance, to
prevail on a medical malpractice claim in most jurisdictions, the plaintiff must prove that the defendant
physician “deviated from the standard of care” prevailing “in the medical community,” and that the
physician’s deviation from that standard injured the plaintiff. A plaintiff who alleges that he has been
injured by a product manufactured or sold by the defendant, by contrast, must often prove (among other
things) that the product was sold in a defective condition that was unreasonably dangerous to the
consumer.
In many jurisdictions, plaintiffs are required to introduce expert testimony in order to prove certain
elements of their tort claims. As a consequence, tort cases frequently involve “fierce and expensive”
battles between competing expert witnesses, as well as battles between the parties over whether the court
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should allow their opponents’ experts to testify at all. The Daubert standard, which governs the
admissibility of expert witness testimony in federal court, generally requires the court to “evaluate: (1) the
proffered expert’s qualifications; (2) the reliability of the expert’s methodology; and (3) the relevance of
the expert’s testimony” before allowing an expert witness to testify.
A plaintiff who prevails in a tort suit may generally recover “compensatory” damages, which, as the name
implies, are intended to compensate the plaintiff for the pecuniary loss he sustained as a result of the
defendant’s tortious conduct. A successful tort plaintiff may potentially also recover “noneconomic”
damages, such as damages for pain and suffering. In limited circumstances, a tort plaintiff may also
recover “punitive” damages, which “may be awarded to punish the defendant for his conduct and to deter
him and others from committing similar conduct in the future.” Tort reform advocates maintain that “the
difficulty of predicting whether punitive damages will be awarded by a jury in any particular case, and the
marked trend toward astronomically large amounts when they are awarded, have seriously distorted
settlement and litigation processes and have led to wildly inconsistent outcomes in similar cases,”
undermining the deterrent rationale underlying tort law. Supporters of tort reform have likewise criticized
noneconomic damages on similar grounds. Other commentators, by contrast, respond that punitive and
noneconomic damages are “necessary to provide a needed incentive to litigate” certain socially desirable
tort lawsuits.
Tort Reform Legislation Pending in the 115th Congress
The 115th Congress has introduced a variety of bills that could affect tort litigation in the United States.
Each of the bills discussed below has passed the House of Representatives and is presently pending in the
Senate.
The Protecting Access to Care Act of 2017
The Protecting Access to Care Act of 2017 (H.R. 1215) (PACA), for example, is intended “to improve
patient access to health care services and provide improved medical care by reducing the excessive
burden
the liability system places on the health care delivery system.” PACA would, among other things:
Restrict when a plaintiff may commence certain healthcare-related lawsuits;
Limit the amount of noneconomic damages (such as damages for pain and suffering) that
a plaintiff may recover in a health care lawsuit;
Prohibit plaintiffs from naming certain health care providers who prescribe or dispense
“medical product[s] approved, licensed, or cleared by the Food and Drug Administration”
as defendants in product liability lawsuits or class actions involving those products;
Impose additional limitations on expert testimony regarding certain medical matters
beyond those already imposed by the Daubert standard described above; and
 Require plaintiffs, as preconditions to filing certain healthcare-related lawsuits, to (1) file
an affidavit of merit signed by a health professional;” and (2) provide health care
providers with advance notice of the plaintiff’s intent to file the suit.
If enacted, PACA could potentially have wide-ranging effects on tort litigation in the United States. For
instance, because many jurisdictions require plaintiffs to introduce expert witness testimony to prove
medical malpractice claims, PACA’s heightened restrictions on medical expert testimony could make it
harder for medical malpractice plaintiffs to prevail in court.


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The Fairness in Class Action Litigation and Furthering Asbestos Claim Transparency
Act of 2017

Tort reform debates have also frequently focused on the availability of class actions. A class action allows
a group of persons affected by a defendant’s allegedly unlawful action to challenge that action in a single
lawsuit,
rather than through numerous, separate suits prosecuted by each individual plaintiff. Class actions
empower plaintiffs to hold defendants accountable for unlawful practices that inflict comparatively small
injuries
to a large number of people. As a consequence, “the class action device has evolved as a central
mechanism
of enforcement for a broad range of laws, including those governing products liability” and
certain other tort claims. However, because a class action allows a plaintiff to aggregate the damages
allegedly suffered by numerous individuals, class actions can potentially encourage plaintiffs and their
attorneys to file meritless lawsuits in the hopes of securing a lucrative settlement.
The Fairness in Class Action Litigation and Furthering Asbestos Claim Transparency Act of 2017 (H.R.
985) (FICALA) would modify the procedures that govern class action litigation in federal courts, which,
according to supporters, would “assure fairer, and more efficient outcomes for claimants and defendants.”
Among other things, FICALA would (1) supplement the existing requirements that a plaintiff must satisfy
in order to pursue a class action seeking monetary relief; and (2) limit and regulate the payment of
attorney’s fees to plaintiffs’ counsel in class action lawsuits.
The Innocent Party Protection Act
Debates over tort reform have also focused on the forums in which plaintiffs may permissibly litigate tort
claims. Under certain circumstances, federal courts possess authority to adjudicate state law tort suits
between citizens of different states pursuant to a doctrine known as “diversity” jurisdiction. However,
with few exceptions, federal courts may not exercise diversity jurisdiction over a lawsuit “if any plaintiff
is a citizen of the same State as any defendant.” Because plaintiffs have generally perceived state courts
as a more hospitable forum for tort suits than federal courts, tort plaintiffs often attempt to prevent federal
courts from hearing their claims by naming additional defendants who are “non-diverse”—that is, who
are citizens of the same state as the plaintiff—as parties to their suit. In some instances, the plaintiff has
no viable cause of action against that non-diverse defendant, yet the plaintiff nevertheless names that
defendant as a party to the suit solely in an attempt to prevent a federal court from exercising jurisdiction
over the case.
The Innocent Party Protection Act (H.R. 725) (IPPA) aims to make it harder for plaintiffs to defeat
diversity jurisdiction by naming non-diverse nominal parties as additional defendants. Under IPPA, if a
federal court determines that the plaintiff’s claims against a non-diverse defendant are meritless, or that
the plaintiff has “no good faith intention to prosecute the action against that defendant,” the court would
be required to dismiss the non-diverse defendant and exercise jurisdiction over the case. IPPA would
likely result in more state law tort suits being adjudicated in federal court.




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Author Information

Kevin M. Lewis

Legislative Attorney




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