IN THE UNITED STATES BANKRUPTCY COURT FOR THE WESTERN DISTRICT OF NORTH CAROLINA
Charlotte Division
IN RE:
GARLOCK SEALING TECHNOLOGIES LLC, et al.,
Debtors.1
Case No. 10-BK-31607
Chapter 11
Jointly Administered
MOTION OF DEBTORS TO REMOVE CONFIDENTIALITY DESIGNATIONS
FROM CERTAIN EVIDENCE FOR PURPOSES OF TRIAL Debtors bring this motion under section 5 of the Stipulated Protective Order (Docket No.
1225) to remove confidentiality designations from certain evidence that law firms have
designated as confidential under that order. Debtors do not seek to make this information public
before trial, but rather bring this motion to ensure that the evidence is aired openly at trial, as it
must be under standards of trial publicity applicable in this circuit.
Background
1. As the Court is aware, the Official Committee of Asbestos Personal Injury
Claimants (the “Committee”) and the Future Claimants’ Representative (the “FCR”) will at the
estimation trial use Debtors’ past settlements of mesothelioma claims in an attempt to
demonstrate Debtors’ liability for current and future mesothelioma claims.2
2. This use of settlements is premised on an assumption that Debtors had full
information about the exposures experienced by mesothelioma plaintiffs when Debtors settled
1 The debtors in these jointly administered cases are Garlock Sealing Technologies LLC (“Garlock”); Garrison Litigation Management Group, Ltd. (“Garrison”); and The Anchor Packing Company (hereinafter, collectively, “Debtors”).
2 Debtors have objected to this use of their settlements under Rule 408, and preserve and expressly do not waive this objection.
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the cases. Debtors have sought and obtained discovery in this case showing that this premise is
not true. The evidence currently subject to the Stipulated Protective Order that Debtors wish to
present publicly consists of the following:
a. Documents produced by law firms pursuant to subpoena relating to seventeen
“Designated Plaintiffs,” consisting of documents pertaining to the plaintiffs’
asbestos exposures produced during tort cases and Trust claims, ballots, and Rule
2019 statements filed for these plaintiffs;
b. Testimony from six law firms provided under subpoena about the exposures
identified to Garlock during the tort case; Trust claims, ballots, and 2019
statements filed for these plaintiffs; exposures underlying those Trust claims,
ballots, and 2019 statements; and law firms’ practices with respect to exposure
evidence, Trust claims, ballots, and 2019 statements;
c. The report of Professor Lester Brickman, which Debtors have designated
confidential solely because it references in part the above evidence that has been
designated confidential.
3. In recent years, the problem of discrepancies between tort disclosures and Trust
claims and other bankruptcy filings has become an issue of major public concern. One such
incident happened in a case presided over by Judge Peggy Ableman, who until last year
supervised all asbestos litigation in the state of Delaware. The plaintiff in that case alleged she
was exposed to asbestos only through her husband’s work clothes. But twenty Trust claims that
the plaintiff failed to disclose, in violation of Delaware discovery orders, showed not only
additional products to which she was exposed, but also that she had direct exposure to asbestos
through her own work.
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4. Moved by her experience in that case, Judge Ableman recently testified before the
Judiciary Committee of the United States House of Representatives in support of the Furthering
Asbestos Claim Transparency Act (the “FACT Act”), which would amend Bankruptcy Code
section 524(g) to require Trusts to publish the identities of persons who assert claims against
them—just as those identities would be published if claims were filed in the bankruptcy cases
that created the Trusts. Judge Ableman testified:
The problem that I came to recognize . . . is far more serious because it goes to the very heart and integrity of this litigation. Absent full disclosure, the defendants cannot be informed of the full extent of an individual’s exposure. . . . In the final analysis, there can be no real justice or fairness if the law imposes any obstacles to ascertaining and determining the complete truth. From my perspective as a judge, it is not simply the sheer waste of resources that occurs when one conducts discovery or trials without knowledge of all the facts, although that circumstance is indeed unfortunate and one that courts can ill afford in this day and age. What is most significant is the fact that the very foundation and integrity of the judicial process is compromised by the withholding of information that is critical to the ultimate goal of all litigation—a search for, and discovery of, the truth.3
James Stengel of the Orrick Herrington firm, which represents the FCR in this case, also
provided testimony about this issue, which the Judiciary Committee relied upon when it
composed its report on the FACT Act.4
5. On May 21, 2013, the Judiciary Committee approved the FACT Act.5 Within the
past year, Ohio, after considering similar evidence, passed a law requiring asbestos plaintiffs to
disclose all of their Trust claims before they can go to trial against asbestos defendants.6 The law
was upheld against constitutional challenge in an opinion rendered on July 2, 2013.7 Oklahoma’s
3 Testimony of Judge Peggy L. Ableman (ret.) (March 13, 2013) (attached as Ex. A) at 1-2, 8-9. 4 See FACT Act Report, available at http://www.gpo.gov/fdsys/pkg/CRPT-112hrpt687/html/CRPT-112hrpt687.htm. 5 http://judiciary.house.gov/news/2013/05212013_3.html 6 Ohio Rev. Code §§ 2307.951 to 2307.954 (Ohio Am Sub. H.B. 380 (2012)). 7 Administrative Order, In re All Cuyahoga County Asbestos Cases, Case No. CV-MC-073958 (July 2, 2013) (Hanna, J.).
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legislature also just passed such a bill, which the governor is expected to sign, and bills have also
been introduced in Illinois, Wisconsin, and Mississippi.8 In addition, countless courts in
important jurisdictions have adopted case management orders designed to ensure that defendants
learn the full story about a plaintiff’s asbestos exposures before trial, as the search for truth in
asbestos litigation demands.9
6. The law firms designated as Confidential Information, pursuant to the Stipulated
Protective Order, almost all of the documents they produced in response to Debtors’ subpoenas,
as well as their deposition testimony. They continue to designate as Confidential Information
documents such as Trust claim forms and supporting submissions, plan confirmation ballots,
Rule 2019 statements filed in other asbestos bankruptcy cases and other documents, as well as
testimony related to the Designated Plaintiffs’ exposures to products of Garlock’s former,
bankrupt co-defendants. None of these documents or testimony could be protected from
disclosure in asbestos trials, but instead would be evidence highly probative of the causes of the
plaintiffs’ diseases. Garlock will offer this evidence at the estimation trial to prove, among other
things, that plaintiffs in asbestos suits against Garlock routinely failed to identify injury-causing
exposures to the asbestos products of bankrupt co-defendants, that certain law firms pursued a
strategy of concealing their clients’ claims against asbestos Trusts (and exposure evidence
supporting such claims) in order to maximize the trial and settlement values of their claims
against Garlock, and that such practices in fact did drive up Garlock’s litigation costs and trial
risk.
8 See, e.g., http://legalnewsline.com/issues/asbestos/239253-miss-bill-would-require-more-asbestos-claim-transparency. 9 See, e.g., In re New York City Asbestos Litig., 37 Misc. 3d 1232(A), 2012 WL 6554893, at *10 (N.Y. Sup. Ct. N.Y. County Nov. 15, 2012) (rejecting plaintiff challenge to CMO provision requiring all New York City plaintiffs to file and disclose all intended Trust claims before trial).
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7. On March 1, 2013, Debtors notified the law firms, as well as counsel for the
Committee and FCR, that they challenged the blanket designations as Confidential Information
of the deposition testimony and documents produced in discovery, under section 5 of the
Stipulated Protective Order. Debtors excluded certain information from this challenge, including
any medical information, all but the last four digits of social security numbers and taxpayer
identification numbers, all but the year of any individual’s birth, the names of any minors, and all
but the last four digits of any financial account number.
8. In response, the law firms refused to remove confidentiality designations from
Trust claims, ballots, and Rule 2019 statements, or from deposition testimony, but failed to
provide any basis for claims of confidentiality.
9. Debtors met and conferred in good faith with counsel for the law firms, as
required by the Stipulated Protective Order. These conferences have not yet resulted in resolution
of the disputes that led to this motion. Debtors will continue to meet and confer with counsel for
the law firms to pursue resolution of any continuing disputes related to their Confidentiality
Designations.
10. Meanwhile, during the pendency of this case, counsel for the Committee and one
of the law firms subject to the discovery have made public statements that Debtors believe
contradict the discovery Debtors have obtained. The uniform theme of these statements is that
asbestos defendants such as Garlock have not been able to produce any evidence at all of
incomplete disclosure of exposure facts in the tort system.
11. In 2011, Mr. Charles Siegel, a partner in the Waters & Kraus firm, testified before
a subcommittee of the Judiciary Committee that “despite the asbestos defendants scouring the
legal system looking for examples of inconsistencies between tort litigation and trust
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submissions, they were able to come up with only three isolated examples of alleged
inconsistencies between the trust submissions and discovery responses filed by those clients in
the tort system. And in each of these cases, current law provided a remedy.”
12. On February 20, 2013, Mr. Elihu Inselbuch and other lawyers from Caplin &
Drysdale, published an article on these issues where they stated, specifically referencing this
bankruptcy case, “In recent bankruptcy filings, such as the Garlock case . . . defendants have
created a narrative in which the existence of trusts is somehow unfair to them while presenting
asbestos victims with an opportunity to commit fraud. Repeatedly invoking one case (out of
hundreds of thousands of asbestos claims filed) [the Kananian case]. . . asbestos defendants have
justified these legislative initiatives . . .”10
13. Mr. Inselbuch testified similarly before the Judiciary Committee, in opposition to
the FACT Act, on March 13, 2013: “Lastly, the bill also ignores the fact that despite trying to
find instances of widespread fraud and abuse, there is none. Defendants have no evidence to
support their assertions of fraud by plaintiffs. The Kananian case, on which they so heavily rely,
was an isolated incident, remedied by a state court, involving inconsistent trust claims with
respect to a single claimant, one of the millions who have filed claims with asbestos trusts.”11
14. These public statements are directly contradicted by discovery obtained from the
law firms in these cases, as Debtors will prove at trial. To influence policy makers who are
considering federal legislation that would remedy abuse facilitated by the lack of Trust
transparency, however, the law firms and Committee counsel are publicly, and inaccurately,
stating that Garlock has been unable to discover evidence supporting its allegations of Trust-
10 Elihu Inselbuch, et al., The Effrontery of the Asbestos Trust Transparency Legislation Efforts, 28-2 Mealey’s Litig. Rep. Asb. 17 (Feb. 20, 2013). 11 Statement of Elihu Inselbuch at 11, available at http://judiciary.house.gov/hearings/113th/03132013_3/Inselbuch%2003132013.pdf.
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related discovery abuse. In so doing, they are using confidentiality designations to prevent
Garlock from offering an accurate account of evidence it has uncovered, evidence that would
provide strong support for proposed legislation that would remedy Trust abuse and ensure that
Garlock and other companies are able to obtain evidence relevant to asbestos products that
contributed to the diseases of plaintiffs who assert claims against them.
15. In short, the designations applied to this evidence will, if imposed at trial, prevent
Congress, the public, state legislatures, state and federal courts, other defendants, and other
interested parties from getting the full story on these issues of major public concern. Most
important, they will prevent Garlock from having an open trial, as guaranteed by the Constitution
and the law of this circuit.
Relief Requested
16. Debtors request that certain evidence they intend to offer at the estimation trial
relevant to the issue of incomplete disclosure of exposure information not be sealed or otherwise
protected from public access. Debtors do not intend to publicize this evidence before it is
introduced at trial, but wish to ensure that when they do present the evidence, it will be publicly
available.
17. Specifically, the following evidence should not be sealed:
a. Trust claim forms (and attachments), ballots, and Rule 2019 statements of
Designated Plaintiffs, which contain admissions of exposure to asbestos and show
incomplete disclosure of exposure information in tort litigation; and
b. Testimony by law firms concerning their practices with respect to filing Trust
claims and disclosing exposure evidence to tort defendants, including the
testimony Debtors have designated today from Waters & Kraus, Williams
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Kherkher, Belluck & Fox, Shein Law Center, the David Law Firm, and Simon
Greenstone Panatier Bartlett.
18. Debtors agree that certain information that may be contained in the documents is
legitimately protected and should be redacted before the documents are introduced into evidence
at the trial, including any medical information, all but the last four digits of social security
numbers and taxpayer identification numbers, all but the year of any individual’s birth, the
names of any minors, and all but the last four digits of any financial account number.
Argument
I. This Case Does Not Present the “Unusual” Circumstances That Would Justify the Abrogation of the Public’s Right to Access, Especially in Light of the Strong Presumption Favoring Public Access
19. Federal civil trials and the evidence presented therein are presumptively open to
the public. The right of public access is guaranteed by section 107 of the Bankruptcy Code, see
11 U.S.C. § 107, as well as by both the U.S. Constitution and federal common law, see Stone v.
Univ. of Md. Med. Sys. Corp., 855 F.2d 178, 180 (4th Cir. 1988).
20. In particular, section 107 provides that “a paper filed in a case under this title and
the dockets of a bankruptcy court are public records and open to examination by an entity at
reasonable times without charge.” 11 U.S.C. § 107(a). Section 107 recognizes only three
exceptions to public access: (1) to protect a trade secret or confidential research, development, or
commercial information, 11 U.S.C. § 107(b)(1); (2) to protect a person “with respect to
scandalous or defamatory matter contained in a paper filed in [the] case,” 11 U.S.C. § 107(b)(2);
and (3) to protect against an “undue risk of identity theft or other unlawful injury to the
individual or the individual’s property.” 11 U.S.C. § 107(c)(1). These exceptions are construed
narrowly in order to effectuate Congress’s intent to provide broad public access to bankruptcy
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proceedings. See Ferm v. United States Trustee (In re Crawford), 194 F.3d 954, 960 n.8 (9th Cir.
1999). The proponent of sealing bears the burden of proof. See In re Waring, 406 B.R. 763, 768
(Bankr. N.D. Ohio 2009) (proponent of sealing failed to demonstrate protected information is a
trade secret or protectable commercial information).
21. In addition to section 107, the common law and First Amendment protect the
public’s right to access civil trials and evidence presented therein.12 See Am. Civil Liberties
Union v. Holder, 673 F.3d 245, 252 (4th Cir. 2011). Under these sources of law, a party seeking
to close a hearing or seal documents must overcome “a strong presumption in favor of
openness.” In re Knight Pub. Co., 743 F.2d 231, 234 (4th Cir. 1984). The Fourth Circuit has
explicitly stated that “‘[c]losed proceedings . . . must be rare and only for cause shown that
outweighs the value of openness,’” id. (quoting Press-Enterprise Co. v. Superior Court, 464 U.S.
501, 509 (1984)), and has held that the right of access “may be abrogated only in unusual
circumstances,” Va. Dep’t of State Police v. Wash. Post, 386 F.3d 567, 576 (4th Cir. 2004)
(quoting Stone v. Univ. of Md. Med. Sys. Corp., 855 F.2d 178, 182 (4th Cir. 1988)). A court
proposing to close a hearing or seal documents therefore “must state its reasons on the record,
supported by specific findings,” and “must state its reasons for rejecting alternatives to closure.”
Rushford v. New Yorker Magazine, Inc., 846 F.2d 249, 253-54 (4th Cir. 1988) (quoting In re
Knight Pub. Co., 743 F.2d 231, 234–35 (4th Cir. 1984)). At its core, the right-to-access doctrine
protects “the public’s right to monitor the functioning of our courts, thereby insuring quality,
honesty and respect for our legal system.” In re Cont’l Ill. Sec. Litig., 732 F.2d 1302, 1308 (7th
12 The Fourth Circuit does not appear to have addressed whether section 107 provides narrower grounds for closing trials than in other federal courts, as some courts have held. Debtors contend, and expressly do not waive, the argument that section 107’s exceptions are the exclusive circumstances under which documents in this bankruptcy case may be sealed.
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Cir. 1984) (cited by Rushford, 846 F.2d at 252-53); see also Globe Newspaper Co. v. Superior
Court for Norfolk Cnty., 457 U.S. 596, 606, (1982).
22. Under the First Amendment, the party seeking closure bears the burden of
showing a “compelling” interest sufficient to override the presumption in favor of openness and
“must present specific reasons in support of its position.” Va. Dep’t of State Police, 386 F.3d at
575; Rushford, 846 F.2d at 252. Further, any closure must be “narrowly tailored to serve that
interest.” Id.
23. The common law provides an additional source of support for the public right to
access, independent of the First Amendment and section 107. See In re Wash. Post Co., 807 F.2d
383, 390 (4th Cir. 1986). The common law requires that the party seeking closure bear the
burden of showing a “significant interest” that outweighs the presumption in favor of openness
by presenting specific reasons in support of its position. Va. Dep’t of State Police, 386 F.3d at
575 (and recognizing that if access would enhance the public’s understanding of important issues
and events, case for access is stronger); Knight, 743 F.2d at 235; In re Gitto Global Corp., 422
F.3d 1, 6 (1st Cir. 2005) (noting that, although possible to limit the common law right of public
access, “only the most compelling reasons can justify non-disclosure of judicial records”
(internal quotation omitted)).
II. Evidence Showing Incomplete Disclosure of Exposure Evidence in Mesothelioma Litigation Cannot Be Protected From Public Access
24. The law firms’ designations as confidential of evidence relating to incomplete
disclosure of exposure evidence in cases against Garlock cannot meet the legal standards for
closure and sealing in this circuit. Those designations should be removed for purposes of the
estimation trial.
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25. In the first place, none of this evidence satisfies any of the exceptions to
Bankruptcy Code section 107. The evidence does not constitute a “trade secret.” There is no
“risk of identity theft or other unlawful injury” to individuals, because Debtors have committed
to redacting all but the last four digits of social security numbers as well as any medical
information. The plaintiffs in cases against Garlock have already appeared and offered evidence
of their injuries (and the alleged causes thereof) in public courts. In several of these cases,
plaintiff firms issued press releases about the outcome of the case, specifying the plaintiff by
name, and discussed one case openly in Congressional testimony.
26. Nor does the evidence contain “scandalous or defamatory matter” within the
meaning of section 107. The evidence contains facts about plaintiffs’ exposures and what was
disclosed in the tort cases, including admissions by plaintiffs and law firms, not scandalous or
defamatory statements.
27. In addition, with respect to the First Amendment and the common law, there is
neither a “compelling” nor “significant” interest that could override or outweigh the public’s
right to access here. In general, evidence of exposure to asbestos is not confidential when
presented in court—whether evidenced by interrogatories, depositions, or Trust claims. A
plaintiff’s exposures are, in a real way, the substance of these trials, and are never kept private.
See Craig v. Harney, 331 U.S. 367, 374 (1947) (“A trial is a public event. What transpires in the
court room is public property.”).
28. Nor does such evidence become confidential when it tends to show that
disclosures of exposure evidence were incomplete. In each of the high profile incidents where
incomplete disclosure has been uncovered, the evidence was presented in open court, which is
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how they came to the attention of the press, legislators, and the general public. See Testimony of
Judge Peggy Ableman (ret.), supra.
29. In contrast to the non-existent interest in keeping this information sealed, the
public has an especially weighty interest in having access. See Under Seal v. Under Seal, 27 F.3d
564, 1994 WL 283977, at *2 (4th Cir. June 27, 1994) (unpublished) (“Courts have also
recognized that when cases involve matters of particular public interest . . . the rationale for
public access is even greater.”). The issue of incomplete disclosure of exposure evidence is one
of major public concern, which militates in favor of access. See Va. Dep’t of State Police, 386
F.3d at 575 (stating that access would be favored where it “would enhance the public’s
understanding of an important historical event” (citing Nixon v. Warner Communications, Inc.,
435 U.S. 589, 602 (1978)).
30. Congress has held three sets of hearings on the subject. The Judiciary Committee
has approved a bill that would help remedy this issue. Ohio has enacted into law a bill aimed at
remedying the issue, and the Oklahoma legislature has passed a similar bill that is expected to
become law. Other state legislatures are currently considering similar bills. Courts across the
country have taken or are taking steps to impose case management order provisions that will
prevent incomplete disclosure in the future. Courts dealing with cases where this happened have
received significant coverage in the press. The issue has received sustained attention from some
of the nation’s leading publications, including Forbes and the Wall Street Journal.13 Legislators,
courts, the press, and participants in asbestos litigation will likely be monitoring the July
estimation trial, and will be highly interested in evidence of this nature submitted there. See
Newman v. Graddick, 696 F.2d 796, 801 (11th Cir. 1983) (“[O]pen proceedings may be
13 See Dionne Searcey and Rob Barry, “As Asbestos Claims Rise, So Do Worries About Fraud,” Wall Street Journal (March 11, 2013) (attached as Ex. B).
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imperative if the public is to learn about the crucial legal issues that help shape modern society.
Informed public opinion is critical to effective self-governance.”); see also Va. Dep’t of State
Police, 386 F.3d at 575 (stating that purpose for seeking access is a relevant factor in the
common law test).
31. In addition to the public in general, persons with a financial stake in this case have
an interest in seeing this evidence when presented at the estimation trial. The owner of Garlock’s
parent is a publicly traded company. Its shareholders, as well as the market for public securities,
are highly interested in all evidence submitted at the estimation trial, especially evidence
submitted on a matter of major public concern such as this. Debtors also have numerous creditors
who are not asbestos claimants, and they too have an interest in monitoring the estimation trial.
See Richmond Newspapers v. Virginia, 448 U.S. 555, 572 (1980) (Burger, C.J.) (“People in an
open society do not demand infallibility from their institutions, but it is difficult for them to
accept what they are prohibited from observing.”); see also Press–Enterprise Co. v. Superior
Court, 464 U.S. 501, 508 (1984) (“The value of openness lies in the fact that people not actually
attending trials can have confidence that standards of fairness are being observed; the sure
knowledge that anyone is free to attend gives assurance that established procedures are being
followed and that deviations will become known.” (emphasis in original)).
32. Finally, it would be especially inappropriate to seal this evidence in light of the
public statements made by Mr. Inselbuch (counsel for the Committee) and Mr. Siegel (partner at
Waters & Kraus, which serves on the Committee) that are directly contradicted by the evidence.
Mr. Siegel has testified that there are only “three isolated examples of alleged inconsistencies
between the trust submissions and discovery responses” and that “in each of these cases, current
law provided a remedy.” Mr. Inselbuch has testified that “despite trying to find instances of
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widespread fraud and abuse, there is none,” and that “[t]he Kananian case . . . was an isolated
incident, remedied by a state court.” Debtors will show at the estimation trial that these
statements are contradicted by the evidence obtained through discovery in this case.
33. As the Supreme Court has previously recognized, the constitutional and common
law arguments that underlie the public’s right to access apply with particular force where a party
in the action—Garlock, in this case—seeks an open proceeding. See Richmond Newspapers, Inc.
v. Virginia, 448 U.S. 555, 596 (1980) (Brennan, J., concurring) (“[A] trial aims at true and
accurate factfinding. Of course, proper factfinding is to the benefit of criminal defendants and of
the parties in civil proceedings . . . . Facilitation of the trial factfinding process, therefore, is of
concern to the public as well as to the parties.”); Brown & Williamson Tobacco Corp. v. FTC,
710 F.2d 1165, 1179 (6th Cir. 1983) (identifying the impact of open access on the parties, noting
that “secrecy insulates the participants, masking impropriety, obscuring incompetence, and
concealing corruption;” open trials facilitate accurate fact finding, and “[o]penness in the
courtroom discourages perjury and may result in witnesses coming forward with new
information regardless of the type of the proceeding”); Press-Enter. Co. v. Superior Court of
California for Riverside Cnty., 478 U.S. 1, 7 (1986) (holding, in the criminal context, that “[t]he
right to an open public trial is a shared right of the accused and the public, the common concern
being the assurance of fairness”).
34. And, to be sure, common sense says that when one party wants to shroud an issue
of great importance that has already received extensive coverage behind a veil of secrecy, that
fact alone may be an indication of why the other party has a particularly acute interest in having
the court, the parties, and the public carefully scrutinize the facts underlying the dispute in order
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to reach their own conclusions. See Brown & Williamson Tobacco Corp. v. FTC, 710 F.2d 1165,
1180 (6th Cir. 1983).
35. In sum, the public is entitled to see and evaluate this evidence and determine for
itself whether Mr. Inselbuch and Mr. Siegel’s testimony—and any similar testimony that the
Committee and FCR may offer at this trial—is accurate. It would be fundamentally unfair for
Congress, the public, state legislators, state and federal courts, other asbestos defendants,
shareholders in Debtors’ parent, and Debtors’ other creditors to have to rely on an inaccurate and
one-sided public account of this important issue. An open trial will enable all of those with an
interest involved to determine the truth for themselves as to whether the heretofore publicized
instances of this conduct were, in fact, merely “isolated” occurrences. Because, as the Supreme
Court has observed, “[f]or many centuries, both civil and criminal trials have traditionally been
open to the public. As early as 1685, Sir John Hawles commented that open proceedings were
necessary so ‘that truth may be discovered in civil as well as criminal matters.’” See Gannett
Co., Inc. v. DePasquale, 443 U.S. 368, 387 n.15 (1979) (quoting Remarks upon Mr. Cornish’s
Trial, 11 How. St. Tr. 455, 460)); see also Louis D. Brandeis, Other People’s Money 92 (1914)
(“Sunshine is said to be the best of disinfectants.”).
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This 3rd day of July 2013 Respectfully submitted, /s/ Garland S. Cassada Garland S. Cassada N.C. Bar No. 12352 Jonathan C. Krisko N.C. Bar No. 28625 Richard C. Worf, Jr. N.C. Bar No. 37143
ROBINSON BRADSHAW & HINSON, P.A. 101 North Tryon Street, Suite 1900 Charlotte, North Carolina 28246 Telephone: (704) 377-2536 Facsimile: (704) 378-4000 [email protected] [email protected] [email protected] Special Corporate and Litigation Counsel to the Debtors Garlock Sealing Technologies LLC, Garrison Litigation Management Group, Ltd., and The Anchor Packing Company
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