Federal Rule of Civil Procedure 37(b)(2)(A) provides that a
district court, as a sanction for failure to comply with discovery
orders, may enter
"[a]n order that the matters regarding which the [discovery]
order was made or any other designated facts shall be taken to be
established for the purposes of the action in accordance with the
claim of the party obtaining the order."
Asserting diversity jurisdiction, respondent, a Delaware
corporation with its principal place of business in the Republic of
Guinea, filed suit against various insurance companies in the
United States District Court for the Western District of
Pennsylvania to recover on a business interruption policy. When
certain of the defendants (a group of foreign insurance companies,
including petitioners) raised the defense of lack of personal
jurisdiction, respondent attempted to use discovery in order to
establish jurisdictional facts. After petitioners repeatedly failed
to comply with the court's orders for production of the requested
information, the court warned them that, unless they complied by a
specified date, it would assume, pursuant to Rule 37(b)(2)(A), that
it had personal jurisdiction. When petitioners again failed to
comply, the court imposed the sanction, and the Court of Appeals
affirmed, concluding that imposition of the sanction fell within
the trial court's discretion under Rule 37(b)(2)(A) and that the
sanction did not violate petitioners' due process rights.
Held:
1. Rule 37(b)(2)(A) may be applied to support a finding of
personal jurisdiction without violating due process. Unlike subject
matter jurisdiction, which is an Art. III as well as a statutory
requirement, the requirement that a court have personal
jurisdiction flows from the Due Process Clause and protects an
individual liberty interest. Because it protects an individual
interest, it may be intentionally waived, or, for various reasons,
a defendant may be estopped from raising the issue. Due process is
violated by a rule establishing legal consequences of a failure to
produce evidence only if the defendant's behavior will not support
the presumption that
"the refusal to produce evidence material to the administration
of due process was but an admission of the want of merit in
Page 456 U. S. 695
the asserted defense."
Hammond Packing Co. v. Arkansas, 212 U.
S. 322,
212 U. S. 351.
A proper application of Rule 37(b)(2)(A) will, as a matter of law,
support such a presumption. Pp.
456 U. S.
701-707.
2. The District Court did not abuse its discretion in applying
Rule 37(b)(2)(A) in this case. The record establishes that
imposition of the sanction here satisfied the Rule's requirements
that the sanction be both "just" and specifically related to the
particular "claim" that was at issue in the discovery order. Pp.
456 U.S. 707-709.
651 F.2d 877, affirmed.
WHITE, J., delivered the opinion of the Court, in which BURGER,
C.J., and BRENNAN, MARSHALL, BLACKMUN, REHNQUIST, STEVENS, and
O'CONNOR, JJ., joined. POWELL, J., filed an opinion concurring in
the judgment,
post, p.
456 U. S.
709.
JUSTICE WHITE delivered the opinion of the Court.
Rule 37(b), Federal Rules of Civil Procedure, provides that a
district court may impose sanctions for failure to comply with
discovery orders. Included among the available sanctions is:
"An order that the matters regarding which the order was made or
any other designated facts shall be taken to be established for the
purposes of the action in accordance with the claim of the party
obtaining the order."
Rule 37(b)(2)(A). The question presented by this case is whether
this Rule is applicable to facts that form the basis for personal
jurisdiction over a defendant. May a district court, as a sanction
for failure to comply with a discovery order directed at
establishing jurisdictional facts, proceed on the basis that
personal jurisdiction over the recalcitrant party has been
established?
Page 456 U. S. 696
Petitioners urge that such an application of the Rule would
violate due process: if a court does not have jurisdiction over a
party, then it may not create that jurisdiction by judicial fiat.
[
Footnote 1] They contend also
that, until a court has jurisdiction over a party, that party need
not comply with orders of the court; failure to comply, therefore,
cannot provide the ground for a sanction. In our view, petitioners
are attempting to create a logical conundrum out of a fairly
straightforward matter.
I
Respondent Compagnie des Bauxites de Guinee (CBG) is a Delaware
corporation, 49% of which is owned by the Republic of Guinea and
51% is owned by Halco (Mining) Inc. CBG's principal place of
business is in the Republic of Guinea, where it operates bauxite
mines and processing facilities. Halco, which operates in
Pennsylvania, has contracted to perform certain administrative
services for CBG. These include the procurement of insurance.
In 1973, Halco instructed an insurance broker, Marsh &
McLennan, to obtain $20 million worth of business interruption
insurance to cover CBG's operations in Guinea. The first half of
this coverage was provided by the Insurance Company of North
America (INA). The second half, or what is referred to as the
"excess" insurance, was provided by a group of 21 foreign insurance
companies, [
Footnote 2] 14 of
which are petitioners in this action (the excess insurers).
[
Footnote 3]
Page 456 U. S. 697
Marsh & McLennan requested Bland Payne to obtain the excess
insurance in the London insurance market. Pursuant to normal
business practice,
"[i]n late January and in February, 1974, Bland Payne presented
to the excess insurer [petitioners] a placing slip in the amount of
$10,000,000, in excess of the first $10,000,000. [Petitioners]
initialed said placing slip, effective February 12, 1974,
indicating the part of said $10,000,000 each was willing to insure.
[
Footnote 4]"
Finding 27 of the District Court, 2 App. 347a. Once the offering
was fully subscribed, Bland Payne issued a cover note indicating
the amount of the coverage and specifying the percentage of the
coverage that each excess insurer had agreed to insure. No separate
policy was issued; the excess insurers adopted the INA policy "as
far as applicable."
Sometime after February 12, CBG allegedly experienced mechanical
problems in its Guinea operation, resulting in a business
interruption loss in excess of $10 million. Contending that the
loss was covered under its policies, CBG brought suit when the
insurers refused to indemnify CBG for the loss. Whatever the
mechanical problems experienced by CBG, they were perhaps minor
compared to the legal difficulties encountered in the courts.
Page 456 U. S. 698
In December, 1975, CBG filed a two-count suit in the Western
District of Pennsylvania, asserting jurisdiction based on diversity
of citizenship. The first count was against INA; the second against
the excess insurers. INA did not challenge personal or subject
matter jurisdiction of the District Court. The answer of the excess
insurers, however, raised a number of defenses, including lack of
in personam jurisdiction. Subsequently, this alleged lack
of personal jurisdiction became the basis of a motion for summary
judgment filed by the excess insurers. [
Footnote 5] The issue in this case requires an account of
respondent's attempt to use discovery in order to demonstrate the
court's personal jurisdiction over the excess insurers.
Respondent's first discovery request -- asking for "[c]opies of
all business interruption insurance policies issued by Defendant
during the period from January 1, 1972, to December 31, 1975" --
was served on each defendant in August, 1976. In January, 1977, the
excess insurers objected, on grounds of burdensomeness, to
producing such policies. Several months later, respondent filed a
motion to compel petitioners to produce the requested documents. In
June, 1978, the court orally overruled petitioners' objections.
This was followed by a second discovery request in which respondent
narrowed the files it was seeking to policies which "were delivered
in . . . Pennsylvania . . . or covered a risk located in . . .
Pennsylvania." Petitioners now objected that these documents were
not in their custody or control; rather, they were kept by the
brokers in London. The court ordered petitioners to request the
information from the brokers, limiting the request to policies
covering the period from 1971 to date. That was in July, 1978;
petitioners were given 90 days to produce the information. On
November 8, petitioners
Page 456 U. S. 699
were given an additional 30 days to complete discovery. On
November 24, petitioners filed an affidavit offering to make their
records, allegedly some 4 million files, available at their offices
in London for inspection by respondent. Respondent countered with a
motion to compel production of the previously requested documents.
On December 21, 1978, the court, noting that no conscientious
effort had yet been made to produce the requested information and
that no objection had been entered to the discovery order in July,
gave petitioners 60 more days to produce the requested information.
The District Judge also issued the following warning:
[I]f you don't get it to him in 60 days, I am going to enter an
order saying that, because you failed to give the information as
requested, that I am going to assume, under Rule of Civil Procedure
37(b), subsection 2(A), that there is jurisdiction.
1 App. 115a. A few moments later, he restated the warning as
follows:
"I will assume that jurisdiction is here with this court unless
you produce statistics and other information in that regard that
would indicate otherwise"
Id. at 116a.
On April 19, 1979, the court, after concluding that the
requested material had not been produced, imposed the threatened
sanction, finding that,
"for the purpose of this litigation, the Excess Insurers are
subject to the
in personam jurisdiction of this Court due
to their business contacts with Pennsylvania."
Id. at 201a. Independently of the sanction, the
District Court found two other grounds for holding that it had
personal jurisdiction over petitioners. First, on the record
established, it found that petitioners had sufficient business
contacts with Pennsylvania to fall within the Pennsylvania long-arm
statute. Second, in adopting the terms of the INA contract with CBG
-- a Pennsylvania insurance contract -- the excess insurers
implicitly agreed to submit to the jurisdiction of the court.
[
Footnote 6]
Page 456 U. S. 700
Except with respect to three excess insurers, the Court of
Appeals for the Third Circuit affirmed the jurisdictional holding,
relying entirely upon the validity of the sanction. [
Footnote 7]
Compagnie des Bauxites de
Guinea v. Insurance Co. of North America, 651 F.2d 877 (1981).
That court specifically found that the discovery orders of the
District Court did not constitute an abuse of discretion, and that
imposition of the sanction fell within the limits of trial court
discretion under Rule 37(b):
"The purpose and scope of the ordered discovery were directly
related to the issue of jurisdiction, and the rule 37 sanction was
tailored to establish as admitted those jurisdictional facts that,
because of the insurers' failure to comply with discovery orders,
CBG was unable to adduce through discovery."
651 F.2d at 885. Furthermore, it held that the sanction did not
violate petitioners' due process rights, because it was no broader
than "reasonably necessary" under the circumstances.
Because the decision below directly conflicts with the decision
of the Court of Appeals for the Fifth Circuit in
Familia de
Boom v. Arosa Mercantil, S.A., 629 F.2d 1134 (1980), we
granted certiorari. 454 U.S. 963 (1981). [
Footnote 8]
Page 456 U. S. 701
II
In
McDonald v. Mabee, 243 U. S. 90
(1917), another case involving an alleged lack of personal
jurisdiction, Justice Holmes wrote for the Court, "great caution
should be used not to let fiction deny the fair play that can be
secured only by a pretty close adhesion to fact."
Id. at
243 U. S. 91.
Petitioners' basic submission is that to apply Rule 37(b)(2) to
jurisdictional facts is to allow fiction to get the better of fact,
and that it is impermissible to use a fiction to establish judicial
power where, as a matter of fact, it does not exist. In our view,
this represents a fundamental misunderstanding of the nature of
personal jurisdiction.
The validity of an order of a federal court depends upon that
court's having jurisdiction over both the subject matter and the
parties.
Stoll v. Gottlieb, 305 U.
S. 165,
305 U. S.
171-172 (1938);
Thompson v.
Whitman, 18 Wall. 457,
85 U. S. 465
(1874). The concepts of subject matter and personal jurisdiction,
however, serve different purposes, and these different purposes
affect the legal character of the two requirements. Petitioners
fail to recognize the distinction between the two concepts --
speaking instead in general terms of "jurisdiction" -- although
their argument's strength comes from conceiving of jurisdiction
only as subject matter jurisdiction.
Federal courts are courts of limited jurisdiction. The character
of the controversies over which federal judicial authority may
extend are delineated in Art. III, § 2, cl. 1. Jurisdiction of
the lower federal courts is further limited to those subjects
encompassed within a statutory grant of jurisdiction. Again, this
reflects the constitutional source of federal judicial power: apart
from this Court, that power only
Page 456 U. S. 702
exists "in such inferior Courts as the Congress may from time to
time ordain and establish." Art. III, § 1
Subject matter jurisdiction, then, is an Art. III, as well as a
statutory, requirement; it functions as a restriction on federal
power, and contributes to the characterization of the federal
sovereign. Certain legal consequences directly follow from this.
For example, no action of the parties can confer subject matter
jurisdiction upon a federal court. Thus, the consent of the parties
is irrelevant,
California v. LaRue, 409 U.
S. 109 (1972), principles of estoppel do not apply,
American Fire & Casualty Co. v. Finn, 341 U. S.
6,
341 U. S. 17-18
(1951), and a party does not waive the requirement by failing to
challenge jurisdiction early in the proceedings. Similarly, a
court, including an appellate court, will raise lack of subject
matter jurisdiction on its own motion.
"[T]he rule, springing from the nature and limits of the
judicial power of the United States, is inflexible and without
exception, which requires this court, of its own motion, to deny
its jurisdiction and, in the exercise of its appellate power, that
of all other courts of the United States, in all cases where such
jurisdiction does not affirmatively appear in the record."
Mansfield, C. & L. M. R. Co. v. Swan, 111 U.
S. 379,
111 U. S. 382
(1884). [
Footnote 9]
None of this is true with respect to personal jurisdiction. The
requirement that a court have personal jurisdiction flows not from
Art. III, but from the Due Process Clause: the personal
jurisdiction requirement recognizes and protects an individual
liberty interest. It represents a restriction on judicial power not
as a matter of sovereignty, but as a matter of individual liberty.
[
Footnote 10] Thus, the test
for personal jurisdiction
Page 456 U. S. 703
requires that "the maintenance of the suit . . . not offend
traditional notions of fair play and substantial justice.'"
International Shoe Co. v. Washington, 326 U.
S. 310, 326 U. S. 316
(1945), quoting Milliken v. Meyer, 311 U.
S. 457, 311 U. S. 463
(1940).
Because the requirement of personal jurisdiction represents
first of all an individual right, it can, like other such rights,
be waived. In
McDonald v. Mabee, supra, the Court
indicated that, regardless of the power of the State to serve
process, an individual may submit to the jurisdiction of the court
by appearance. A variety of legal arrangements have been taken to
represent express or implied consent to the personal jurisdiction
of the court. In
National Equipment Rental, Ltd. v.
Szukhent, 375 U. S. 311,
375 U. S. 316
(1964), we
Page 456 U. S. 704
stated that "parties to a contract may agree in advance to
submit to the jurisdiction of a given court," and, in
Petrowski
v. Hawkeye-Security Co., 350 U. S. 495
(1956), the Court upheld the personal jurisdiction of a District
Court on the basis of a stipulation entered into by the defendant.
In addition, lower federal courts have found such consent implicit
in agreements to arbitrate.
See Victory Transport Inc. v.
Comisaria General de Abastecimientos y Transportes, 336 F.2d
354 (CA2 1964); 2 J. Moore & J. Lucas, Moore's Federal Practice
� 4.02[3], n. 22 (1982), and cases listed there.
Furthermore, the Court has upheld state procedures which find
constructive consent to the personal jurisdiction of the state
court in the voluntary use of certain state procedures.
See
Adam v. Saenger, 303 U. S. 59,
303 U. S. 67-68
(1938) ("There is nothing in the Fourteenth Amendment to prevent a
state from adopting a procedure by which a judgment
in
personam may be rendered in a cross-action against a plaintiff
in its courts. . . . It is the price which the state may exact as
the condition of opening its courts to the plaintiff ");
Chicago Life Ins. Co. v. Cherry, 244 U. S.
25,
244 U. S. 29-30
(1917) ("[W]hat acts of the defendant shall be deemed a submission
to [a court's] power is a matter upon which States may differ").
Finally, unlike subject matter jurisdiction, which even an
appellate court may review
sua sponte, under Rule 12(h),
Federal Rules of Civil Procedure, "[a] defense of lack of
jurisdiction over the person . . . is waived" if not timely raised
in the answer or a responsive pleading.
In sum, the requirement of personal jurisdiction may be
intentionally waived, or, for various reasons, a defendant may be
estopped from raising the issue. These characteristics portray it
for what it is -- a legal right protecting the individual. The
plaintiff's demonstration of certain historical facts may make
clear to the court that it has personal jurisdiction over the
defendant as a matter of law --
i.e., certain factual
showings will have legal consequences -- but this is not the only
way in which the personal jurisdiction of the court may arise. The
actions of the defendant may amount to a legal submission
Page 456 U. S. 705
to the jurisdiction of the court, whether voluntary or not.
The expression of legal rights is often subject to certain
procedural rules: the failure to follow those rules may well result
in a curtailment of the rights. Thus, the failure to enter a timely
objection to personal jurisdiction constitutes, under Rule
12(h)(1), a waiver of the objection. A sanction under Rule
37(b)(2)(A) consisting of a finding of personal jurisdiction has
precisely the same effect. As a general proposition, the Rule 37
sanction applied to a finding of personal jurisdiction creates no
more of a due process problem than the Rule 12 waiver. Although "a
court cannot conclude all persons interested by its mere assertion
of its own power,"
Chicago Life Ins. Co. v. Cherry, supra,
at
244 U. S. 29,
not all rules that establish legal consequences to a party's own
behavior are "mere assertions" of power.
Rule 37(b)(2)(A) itself embodies the standard established in
Hammond Packing Co. v. Arkansas, 212 U.
S. 322 (1909), for the due process limits on such rules.
[
Footnote 11] There the
Court held that it did not violate due process for a state court to
strike the answer and render a default judgment against a defendant
who failed to comply with a pretrial discovery order. Such a rule
was permissible as an expression of
"the undoubted right of the lawmaking power to create a
presumption of fact as to the bad faith and untruth of an answer
begotten from the suppression or failure to produce the proof
ordered. . . . [T]he preservation of due process was secured by the
presumption that the refusal to produce evidence material to the
administration of due process was but an admission of the want of
merit in the asserted defense."
Id. at
212 U. S.
350-351.
Page 456 U. S. 706
The situation in
Hammond was specifically distinguished
from that in
Hovey v. Elliott, 167 U.
S. 409 (1897), in which the Court held that it did
violate due process for a court to take similar action as
"punishment" for failure to obey an order to pay into the registry
of the court a certain sum of money. Due process is violated only
if the behavior of the defendant will not support the
Hammond
Packing presumption. A proper application of Rule 37(b)(2)
will, as a matter of law, support such a presumption.
See
Societe Internationale v. Rogers, 357 U.
S. 197,
357 U. S.
209-213 (1958). If there is no abuse of discretion in
the application of the Rule 37 sanction, as we find to be the case
here (
see 456 U. S. then the
sanction is nothing more than the invocation of a legal
presumption, or what is the same thing, the finding of a
constructive waiver.
Petitioners argue that a sanction consisting of a finding of
personal jurisdiction differs from all other instances in which a
sanction is imposed, including the default judgment in
Hammond
Packing, because a party need not obey the orders of a court
until it is established that the court has personal jurisdiction
over that party. If there is no obligation to obey a judicial
order, a sanction cannot be applied for the failure to comply.
Until the court has established personal jurisdiction, moreover,
any assertion of judicial power over the party violates due
process.
This argument again assumes that there is something unique about
the requirement of personal jurisdiction which prevents it from
being established or waived like other rights. A defendant is
always free to ignore the judicial proceedings, risk a default
judgment, and then challenge that judgment on jurisdictional
grounds in a collateral proceeding.
See Baldwin v. Traveling
Men's Assn., 283 U. S. 522,
283 U. S. 525
(1931). By submitting to the jurisdiction of the court for the
limited purpose of challenging jurisdiction, the defendant agrees
to abide by that court's determination on the issue of
jurisdiction: that decision will be
res judicata on that
issue in any further proceedings.
Id. at
283 U. S. 524;
American Surety
Co.
Page 456 U. S. 707
v. Baldwin, 287 U. S. 156,
287 U. S. 166
(1932). As demonstrated above, the manner in which the court
determines whether it has personal jurisdiction may include a
variety of legal rules and presumptions, as well as straightforward
factfinding. A particular rule may offend the due process standard
of
Hammond Packing, but the mere use of procedural rules
does not, in itself, violate the defendant's due process
rights.
III
Even if Rule 37(b)(2) may be applied to support a finding of
personal jurisdiction, the question remains as to whether it was
properly applied under the circumstances of this case. Because the
District Court's decision to invoke the sanction was accompanied by
a detailed explanation of the reasons for that order, and because
that decision was upheld as a proper exercise of the District
Court's discretion by the Court of Appeals, this issue need not
detain us for long. What was said in
National Hockey League v.
Metropolitan Hockey Club, Inc., 427 U.
S. 639,
427 U. S. 642
(1976), is fully applicable here:
"The question, of course, is not whether this Court, or whether
the Court of Appeals, would, as an original matter, have [applied
the sanction]; it is whether the District Court abused its
discretion in so doing."
(Citations omitted.) For the reasons that follow, we hold that
it did not.
Rule 37(b)(2) contains two standards -- one general and one
specific -- that limit a district court's discretion. First, any
sanction must be "just"; second, the sanction must be specifically
related to the particular "claim" which was at issue in the order
to provide discovery. While the latter requirement reflects the
rule of
Hammond Packing, supra, the former represents the
general due process restrictions on the court's discretion.
In holding that the sanction in this case was "just," we rely
specifically on the following. First, the initial discovery request
was made in July, 1977. Despite repeated orders from the court to
provide the requested material, on December 21, 1978, the District
Court was able to state that the petitioners
Page 456 U. S. 708
"haven't even made any effort to get this information up to this
point." 1 App. 112a. The court then warned petitioners of a
possible sanction. Confronted with continued delay and an obvious
disregard of its orders, the trial court's invoking of its powers
under Rule 37 was clearly appropriate. Second, petitioners
repeatedly agreed to comply with the discovery orders within
specified time periods. In each instance, petitioners failed to
comply with their agreements. Third, respondent's allegation that
the court had personal jurisdiction over petitioners was not a
frivolous claim, and its attempt to use discovery to substantiate
this claim was not, therefore, itself a misuse of judicial process.
The substantiality of the jurisdictional allegation is demonstrated
by the fact that the District Court found, as an alternative ground
for its jurisdiction, that petitioners had sufficient contacts with
Pennsylvania to fall within the State's long-arm statute.
Supra at
456 U. S. 699.
Fourth, petitioners had ample warning that a continued failure to
comply with the discovery orders would lead to the imposition of
this sanction. Furthermore, the proposed sanction made it clear
that, even if there was not compliance with the discovery order,
this sanction would not be applied if petitioners were to "produce
statistics and other information" that would indicate an absence of
personal jurisdiction. 1 App. 116a. In effect, the District Court
simply placed the burden of proof upon petitioners on the issue of
personal jurisdiction. [
Footnote
12] Petitioners failed to comply with the discovery order; they
also failed to make any attempt to meet this burden of proof. This
course of behavior, coupled with the ample warnings, demonstrates
the "justice" of the trial court's order.
Neither can there be any doubt that this sanction satisfies the
second requirement. CBG was seeking through discovery
Page 456 U. S. 709
to respond to petitioners' contention that the District Court
did not have personal jurisdiction. Having put the issue in
question, petitioners did not have the option of blocking the
reasonable attempt of CBG to meet its burden of proof. It surely
did not have this option once the court had overruled petitioners'
objections. Because of petitioners' failure to comply with the
discovery orders, CBG was unable to establish the full extent of
the contacts between petitioners and Pennsylvania, the critical
issue in proving personal jurisdiction. Petitioners' failure to
supply the requested information as to its contacts with
Pennsylvania supports "the presumption that the refusal to produce
evidence . . . was but an admission of the want of merit in the
asserted defense."
Hammond Packing, 212 U.S. at
212 U. S. 351.
The sanction took as established the facts -- contacts with
Pennsylvania -- that CBG was seeking to establish through
discovery. That a particular legal consequence -- personal
jurisdiction of the court over the defendants -- follows from this
does not in any way affect the appropriateness of the sanction.
IV
Because the application of a legal presumption to the issue of
personal jurisdiction does not, in itself, violate the Due Process
Clause, and because there was no abuse of the discretion granted a
district court under Rule 37(b)(2), we affirm the judgment of the
Court of Appeals.
So ordered.
[
Footnote 1]
The petition with which we deal in this case was filed as a
cross-petition in response to the petition for certiorari filed in
No. 81-290,
Compagnie des Bauxites de Guinee v. Insurance Corp.
of Ireland, Ltd. We granted the cross-petition, limiting the
grant to the question of the validity of the Rule 37(b)(2)
sanction. 454 U.S. 963 (1981). We shall refer to the
cross-petitioners as "petitioners" and to the cross-respondent as
"respondent."
[
Footnote 2]
The District Court described these excess insurers as
follows:
"Of the 21 Excess Insurers, five are English companies
representing English domestic interests but insuring risks
throughout the world, particularly in Pennsylvania. Seven are
English companies which represent non English parents, or
affiliates. The United States, Japan and Israel are the
nationalities of two each of the Excess Insurer Defendants.
Switzerland and the Republic of Ireland are the nationalities of
one each of the Excess Insurer Defendants. The remaining Excess
Insurer Defendant is a Belgium Company which represents the United
States parent."
App. 196a.
[
Footnote 3]
Four of the excess insurers did not contest personal
jurisdiction in the District Court.
Id. at 105a. The Court
of Appeals directed the dismissal of the complaint with respect to
three others.
Compagnie des Bauxites de Guinee v. Insurance Co.
of North America, 651 F.2d 877, 886 (1981). CBG challenges the
latter action in its petition for certiorari in No. 81-290.
[
Footnote 4]
One of the excess insurers, L'Union Atlantique S.A.
d'Assurances, does business in Brussels, and was sent a separate
placing slip.
[
Footnote 5]
The motion for summary judgment was filed on May 20, 1977. In
it, 17 of the excess insurers alleged a lack of
in
personam jurisdiction and all 21 excess insurers sought
dismissal on the ground of
forum non conveniens. The
District Court denied the motion on April 19, 1979.
[
Footnote 6]
On March 22, 1979, the excess insurers instituted a suit against
CBG in England, attacking the validity of the insurance contract.
In its April 19 decision, the District Court found that "the
commencement of the separate action in England [was] oppressive,
unfair, and an act of bad faith under all of the circumstances." 1
App. 203a. It,therefore enjoined the continuation of that suit.
This aspect of the District Court decision was reversed by the
Court of Appeals. Respondent seeks certiorari review of that
decision (
see n 1,
supra).
[
Footnote 7]
It reversed as to three of the excess insurers on the grounds
that they had complied with the discovery orders and that their
contacts with Pennsylvania were not sufficient to justify exercise
of the Pennsylvania long-arm statute. It also held that the
District Court had abused its discretion in enjoining the action in
England. Judge Gibbons dissented on the propriety of the sanction,
arguing that the District Court had abused its discretion. He also
expressed some doubt that a Rule 37 sanction could ever be used as
the source of personal jurisdiction. 651 F.2d at 892, n. 4.
[
Footnote 8]
In
Familia de Boom, the Fifth Circuit held that a
sanction under Rule 37(b)(2) is valid only if the court has
personal jurisdiction over the party that has refused compliance
with a court order. Personal jurisdiction must, it held, appear
from the record independently of the sanction. The Courts of
Appeals for the Fourth and Eighth Circuits, on the other hand, have
agreed with the Third Circuit on the appropriateness of a sanction
on the issue of personal jurisdiction.
Lekkas v. Liberian MIV
Caledonia, 443 F.2d 10, 11 (CA4 1971);
English v. 21st
Phoenix Corp., 590 F.2d 723 (CA8 1979).
[
Footnote 9]
A party that has had an opportunity to litigate the question of
subject matter jurisdiction may not, however, reopen that question
in a collateral attack upon an adverse judgment. It has long been
the rule that principles of
res judicata apply to
jurisdictional determinations -- both subject matter and personal.
See Chicot County Drainage Dist. v. Baxter State Bank,
308 U. S. 371
(1940);
Stoll v. Gottlieb, 305 U.
S. 165 (1938).
[
Footnote 10]
It is true that we have stated that the requirement of personal
jurisdiction, as applied to state courts, reflects an element of
federalism and the character of state sovereignty
vis-a-vis other States. For example, in
World-Wide
Volkswagen Corp. v. Woodson, 444 U. S. 286,
444 U. S.
291-292 (1980), we stated:
"[A] state court may exercise personal jurisdiction over a
nonresident defendant only so long as there exist 'minimum
contacts' between the defendant and the forum State. The concept of
minimum contacts, in turn, can be seen to perform two related, but
distinguishable, functions. It protects the defendant against the
burdens of litigating in a distant or inconvenient forum. And it
acts to ensure that the States, through their courts, do not reach
out beyond the limits imposed on them by their status as coequal
sovereigns in a federal system."
(Citation omitted.) Contrary to the suggestion of JUSTICE
POWELL,
post at 713-714, our holding today does not alter
the requirement that there be "minimum contacts" between the
nonresident defendant and the forum State. Rather, our holding
deals with how the facts needed to show those "minimum contacts"
can be established when a defendant fails to comply with
court-ordered discovery. The restriction on state sovereign power
described in
World-Wide Volkswagen Corp., however, must be
seen as ultimately a function of the individual liberty interest
preserved by the Due Process Clause. That Clause is the only source
of the personal jurisdiction requirement, and the Clause itself
makes no mention of federalism concerns. Furthermore, if the
federalism concept operated as an independent restriction on the
sovereign power of the court, it would not be possible to waive the
personal jurisdiction requirement: individual actions cannot change
the powers of sovereignty, although the individual can subject
himself to powers from which he may otherwise be protected.
[
Footnote 11]
The Advisory Committee Notes to the Rule specifically stated
that "the provisions of the rule find support in [
Hammond
Packing Co. v. Arkansas, 212 U. S. 322
(1909)]." Final Report of Advisory Committee on Rules for Civil
Procedure 25 (1937).
See also Societe Internationale v.
Rogers, 357 U. S. 197,
357 U. S. 209
(1958).
[
Footnote 12]
Counsel for petitioners agreed to this characterization of the
sanction at oral argument. Tr. of Oral Arg. 47-48.
JUSTICE POWELL, concurring in the judgment.
The Court rests today's decision on a constitutional distinction
between "subject matter" and "
in personam" jurisdiction.
Under this distinction, subject matter jurisdiction defines an Art.
III limitation on the power of federal courts. By contrast, the
Court characterizes the limits on
in personam jurisdiction
solely in terms of waivable personal rights and notions of "fair
play." Having done so, it determines
Page 456 U. S. 710
that fundamental questions of judicial power do not arise in
this case concerning the personal jurisdiction of a federal
district court.
In my view, the Court's broadly theoretical decision
misapprehends the issues actually presented for decision. Federal
courts are courts of limited jurisdiction. Their personal
jurisdiction, no less than their subject matter jurisdiction, is
subject both to constitutional and to statutory definition. When
the applicable limitations on federal jurisdiction are identified,
it becomes apparent that the Court's theory could require a
sweeping, but largely unexplicated, revision of jurisdictional
doctrine. This revision could encompass not only the personal
jurisdiction of federal courts but "sovereign" limitations on state
jurisdiction as identified in
World-Wide Volkswagen Corp. v.
Woodson, 444 U. S. 286,
444 U. S.
291-293 (1980). Fair resolution of this case does not
require the Court's broad holding. Accordingly, although I concur
in the Court's judgment, I cannot join its opinion.
I
This lawsuit began when the respondent Compagnie des Bauxites
brought a contract action against the petitioner insurance
companies in the United States District Court for the Western
District of Pennsylvania. Alleging diversity jurisdiction,
respondent averred that the District Court had personal
jurisdiction of the petitioners, all foreign corporations, under
the long-arm statute of the State of Pennsylvania.
See
Compagnie des Bauxites de Guinea v. Insurance Co. of North
America, 651 F.2d 877, 880-881 (CA3 1981). Petitioners,
however, denied that they were subject to the court's personal
jurisdiction under that or any other statute. Viewing the question
largely as one of fact, the court ordered discovery to resolve the
dispute.
Meantime, while respondent unsuccessfully sought compliance with
its discovery requests, petitioners brought a parallel action in
England's High Court of Justice, Queens Bench
Page 456 U. S. 711
Division. It was at this juncture that the current issues arose.
Seeking to enjoin the English proceedings, respondent sought an
injunction in the District Court. Petitioners protested that they
were not subject to that court's personal jurisdiction, and thus
that they lay beyond its injunctive powers. But the District Court
disagreed. As a jurisdictional prerequisite to its entry of the
injunction, the court upheld its personal jurisdiction over
petitioners. [
Footnote 2/1] It
characterized its finding of jurisdiction partly as a sanction for
petitioners' noncompliance with its discovery orders under Federal
Rule of Civil Procedure 37(b). [
Footnote 2/2]
Rule 37(b) is not, however, a jurisdictional provision. As
recognized by the Court of Appeals, the governing jurisdictional
statute remains the long-arm statute of the State of Pennsylvania.
See 651 F.2d at 881. In my view, the Court fails to make
clear the implications of this central fact: that the District
Court in this case relied on state law to obtain personal
jurisdiction.
As courts of limited jurisdiction, the federal district courts
possess no warrant to create jurisdictional law of their own. Under
the Rules of Decision Act, 28 U.S.C. § 1652, they must apply
state law "except where the Constitution or treaties of the United
States or Acts of Congress otherwise require or provide. . . ."
See generally Erie R. Co. v. Tompkins, 304 U. S.
64 (1938). Thus, in the absence of a federal rule or
statute establishing a federal basis for the assertion of personal
jurisdiction, the personal jurisdiction of the district courts is
determined in diversity cases by the law of the forum State.
See, e.g., Intermeat, Inc. v. American Poultry Co., 575
F.2d 1017 (CA2 1978);
Wilkerson v. Fortuna Corp.,
Page 456 U. S. 712
554 F.2d 745 (CA5),
cert. denied, 434 U.S. 939 (1977);
Poyner v. Erma Werke Gmbh, 618 F.2d 1186, 1187 (CA6 1980);
Lakeside Bridge & Steel Co. v. Mountain State Constr.
Co., 597 F.2d 596 (CA7 1979),
cert. denied,
445 U. S. 907
(1980);
Lakota Girl Scout Council, Inc. v. Havey Fundraising
Management, Inc., 519 F.2d 634 (CA8 1975);
Arrowsmith v.
United Press International, 320 F.2d 219, 226 (CA2 1963);
Forsythe v. Overmyer, 576 F.2d 779, 782 (CA9),
cert.
denied, 439 U.S. 864 (1978);
Quarles v. Fuqua Industries,
Inc., 504 F.2d 1358 (CA10 1974). [
Footnote 2/3]
As a result of the District Court's dependence on the law of
Pennsylvania to establish personal jurisdiction -- a dependence
mandated by Congress under 28 U.S.C. § 1652 -- its
jurisdiction in this case normally would be subject to the same due
process limitations as a state court.
See, e.g., Forsythe v.
Overmyer, supra, at 782;
Washington v. Norton Mfg.,
Inc., 588 F.2d 441, 445 (CA5 1979);
Fisons Ltd. v. United
States, 458 F.2d 1241, 1250 (CA7 1972). [
Footnote 2/4] Thus, the question arises how today's
decision is related to cases restricting the personal jurisdiction
of the States.
Before today, our decisions had established that "minimum
contacts" represented a constitutional prerequisite to the exercise
of
in personam jurisdiction over an unconsenting
defendant.
See, e.g., World-Wide Volkswagen Corp. v.
Woodson,
Page 456 U. S. 713
444 U.S. at
444 U. S.
291-293;
Hanson v. Denckla, 357 U.
S. 235,
357 U. S. 251
(1958);
International Shoe Co. v. Washington, 326 U.
S. 310,
326 U. S. 316
(1945). In the absence of a showing of minimum contacts, a finding
of personal jurisdiction over an unconsenting defendant, even as a
sanction, therefore would appear to transgress previously
established constitutional limitations. The cases cannot be
reconciled by a simple distinction between the constitutional
limits on state and federal courts. Because of the District Court's
reliance on the Pennsylvania long-arm statute -- the applicable
jurisdictional provision under the Rules of Decisions Act -- the
relevant constitutional limits would not be those imposed directly
on federal courts by the Due Process Clause of the Fifth Amendment,
but those applicable to state jurisdictional law under the
Fourteenth.
The Court's decision apparently must be understood as related to
our state jurisdictional cases in one of two ways. Both involve
legal theories that fail to justify the doctrine adopted by the
Court in this case.
A
Under traditional principles, the due process question in this
case is whether "minimum contacts" exist between petitioners and
the forum State that would justify the State in exercising personal
jurisdiction.
See, e.g., World-Wide Volkswagen Corp. v.
Woodson, supra, at
444 U. S.
291-293;
Shaffer v. Heitner, 433 U.
S. 186,
433 U. S. 216
(1977);
Hanson v. Denckla, supra, at
357 U. S. 251.
By finding that the establishment of minimum contacts is not a
prerequisite to the exercise of jurisdiction to impose sanctions
under Federal Rule of Civil Procedure 37, the Court may be
understood as finding that "minimum contacts" no longer are a
constitutional requirement for the exercise by a state court of
personal jurisdiction over an unconsenting defendant. [
Footnote 2/5] Whenever the Court's
notions
Page 456 U. S. 714
of fairness are not offended, jurisdiction apparently may be
upheld.
Before today, of course, our cases had linked minimum contacts
and fair play as
jointly defining the "sovereign" limits
on state assertions of personal jurisdiction over unconsenting
defendants.
See World-Wide Volkswagen Corp. v. Woodson,
supra, at
444 U. S.
292-293;
see Hanson v. Denckla, supra, at
357 U. S. 251.
The Court appears to abandon the rationale of these cases in a
footnote.
See ante at
456 U. S.
702-703, n. 10. But it does not address the implications
of its action. By eschewing reliance on the concept of minimum
contacts as a "sovereign" limitation on the power of States -- for,
again, it is the State's long-arm statute that is invoked to obtain
personal jurisdiction in the District Court -- the Court today
effects a potentially substantial change of law. For the first
time, it defines personal jurisdiction solely by reference to
abstract notions of fair play. And, astonishingly to me, it does so
in a case in which this rationale for decision was neither argued
nor briefed by the parties.
B
Alternatively, it is possible to read the Court opinion not as
affecting state jurisdiction, but simply as asserting that Rule 37
of the Federal Rules of Civil Procedure represents a
congressionally approved basis for the exercise of personal
jurisdiction by a federal district court. On this view, Rule 37
vests the federal district courts with authority to take
jurisdiction over persons not in compliance with discovery orders.
This of course would be a more limited holding. Yet the Court does
not cast its decision in these terms. And it provides no support
for such an interpretation, either in the language or in the
history of the Federal Rules.
Page 456 U. S. 715
In the absence of such support, I could not join the Court in
embracing such a construction of the Rules of Civil Procedure.
[
Footnote 2/6] There is nothing in
Rule 37 to suggest that it is intended to confer a grant of
personal jurisdiction. Indeed, the clear language of Rule 82 seems
to establish that Rule 37 should not be construed as a
jurisdictional grant: "These rules shall not be construed to extend
. . . the jurisdiction of the United States district courts or the
venue of actions therein." Moreover, assuming that minimum contacts
remain a constitutional predicate for the exercise of a State's
in personam jurisdiction over an unconsenting defendant,
constitutional questions would arise if Rule 37 were read to permit
a plaintiff in a diversity action to subject a defendant to a
"fishing expedition" in a foreign jurisdiction. A plaintiff is not
entitled to discovery to establish essentially speculative
allegations necessary to personal jurisdiction. Nor would the use
of Rule 37 sanctions to enforce discovery orders constitute a mere
abuse of discretion in such a case. [
Footnote 2/7] For me, at least, such a use of discovery
would raise serious questions as to the constitutional, as well as
the statutory, authority of a federal court -- in a diversity case
-- to exercise personal jurisdiction
Page 456 U. S. 716
absent some showing of minimum contacts between the unconsenting
defendant and the forum State.
II
In this case, the facts alone -- unaided by broad jurisdictional
theories -- more than amply demonstrate that the District Court
possessed personal jurisdiction to impose sanctions under Rule 37,
and otherwise to adjudicate this case. I would decide the case on
this narrow basis.
As recognized both by the District Court and the Court of
Appeals, the respondent adduced substantial support for its
jurisdictional assertions. By affidavit and other evidence, it made
a
prima facie showing of "minimum contacts."
See
651 F.2d at 881-882, 886, and n. 9. In the view of the District
Court, the evidence adduced actually was sufficient to sustain a
finding of personal jurisdiction independently of the Rule 37
sanction. App. to Pet. for Cert. 51a, 53a. [
Footnote 2/8]
Where the plaintiff has made a
prima facie showing of
minimum contacts, I have little difficulty in holding that its
showing was sufficient to warrant the District Court's entry of
discovery orders. And where a defendant then fails to comply with
those orders, I agree that the
prima facie showing may be
held adequate to sustain the court's finding that minimum contacts
exist, either under Rule 37 or under a theory of "presumption" or
"waiver."
Finding that the decision of the Court of Appeals should be
affirmed on this ground, I concur in the judgment of the Court.
[
Footnote 2/1]
A district court must have personal jurisdiction over a party
before it can enjoin its actions.
Zenith Radio Corp. v.
Hazeltine Research, Inc., 395 U. S. 100,
395 U. S.
111-112 (1969).
[
Footnote 2/2]
The court also found that petitioners, in fact, had undertaken
sufficient business activity in the State to bring them within the
reach of the Pennsylvania long-arm statute.
See App. to
Pet. for Cert. 51a, 53a.
[
Footnote 2/3]
As Judge Friendly explained in the leading case of
Arrowsmith v. United Press International, 320 F.2d at
226:
"State statutes determining what foreign corporations may be
sued, for what, and by whom, are not mere whimsy; like most
legislation they represent a balancing of various considerations --
for example, affording a forum for wrongs connected with the state
and conveniencing resident plaintiffs, while avoiding the
discouragement of activity within the state by foreign
corporations. We see nothing in the concept of diversity
jurisdiction that should lead us to read into the governing
statutes a Congressional mandate, unexpressed by Congress itself,
to disregard the balance thus struck by the states."
[
Footnote 2/4]
It is not contended that there is any federal basis for the
exercise of personal jurisdiction by the District Court.
[
Footnote 2/5]
The Court refers to the respondent's
prima facie
showing of "minimum contacts" only as one factor indicating that
the District Court did not abuse its discretion in entering a
finding of personal jurisdiction as a sanction under Rule 37(b).
See ante at
456 U. S. 708.
Generally it views the requirement of personal jurisdiction as a
right that may be "established or waived like other rights."
Ante at
456 U. S.
706.
[
Footnote 2/6]
Jurisdiction over the person generally is dealt with by Rule 4,
governing the methods of service through which personal
jurisdiction may be obtained. Although Rule 4 deals expressly only
with service of process, not with the underlying jurisdictional
prerequisites, jurisdiction may not be obtained unless process is
served in compliance with applicable law.
See, e.g., Intermeat,
Inc. v. American Poultry Co., 575 F.2d 1017 (CA2 1978);
Washington v. Norton Mfg., Inc., 588 F.2d 441, 445 (CA5
1979); D. Currie, Federal Courts 858 (2d ed.1975). For this reason,
Rule 4 frequently has been characterized as a jurisdictional
provision.
See, e.g., 374 U.S. 869 (1963) (statement of
Black and Douglas, JJ., dissenting from adoption of amendments to
the Federal Rules of Civil Procedure); Currie,
supra, at
858; Foster, Long-Arm Jurisdiction in Federal Courts, 1969
Wis.L.Rev. 9, 11. As applicable here, Rule 4 relies expressly on
state law.
See Fed.Rules Civ.Proc. 4(d)(7) and (e).
[
Footnote 2/7]
Compare the Court's view.
Ante at
456 U.S. 707.
[
Footnote 2/8]
The Court of Appeals deemed it unnecessary to review this
alternative basis for the District Court's finding of jurisdiction.
See 651 F.2d at 886, and n. 9.