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FederalizingClass Actions:
The Future of the Jurisdictional Requirements for Diversity-Based Class
Actions
I. INTRODUCTION
The future of the jurisdictional requirements for diversity-based class actions has suddenly
become unclear. Legislative and judicial movements threaten to “federalize”[1] class actions by
removing the traditional jurisdictional bars[2] that deny access to the federal courts.
Proposed legislation currently before Congress threatens the future existence of the complete
diversity requirement as it applies to class actions. The complete diversity requirement has been
entrenched in American jurisprudence since the Supreme Court’s opinion in Strawbridge v.
Curtis.[3] This requirement allows a district court to exercise original jurisdiction over a claim
only if all of the plaintiffs are from different states than all of the defendants.[4] The Interstate
Class Action Jurisdiction Act of 1999[5] and the Class Action Fairness Act of 1999[6] would
alter this jurisdictional requirement. Both bills, if enacted, would simply require the presence of
minimal diversity to satisfy this first requirement of diversity jurisdiction.
The aforementioned bills and a recent Supreme Court decision[7] also threaten the future
existence of the matter in controversy provision as applied to class actions. The matter in
controversy provision of 28 U.S.C. § 1332 requires that each plaintiff in a class action have a
claim that meets the statutory matter in controversy requirement in order for the federal court to
exercise jurisdiction over the claim.[8] The district court must dismiss any class members’ claim
that does not meet the matter in controversy requirement.[9] Furthermore, the district court
cannot aggregate the separate and distinct claims of the class members to satisfy the
requirement.[10]
These requirements, as applied to class actions, have been called into question by the
Supreme Court’s recent decision in Free v. Abbott Laboratories, Inc.[11] and the future
enactment of the Interstate Class Action Jurisdiction Act of 1999[12] or the Class Action
Fairness Act of 1999.[13] The Abbott Laboratories litigation presented the Supreme Court with
the opportunity to examine whether 28 U.S.C. § 1367, the supplemental jurisdiction statute,
abrogates its holding in Zahn, requiring each plaintiff in a class action to satisfy the matter in
controversy requirement in order to proceed in the federal action.[14] The proposed bills would
also abrogate the traditional matter in controversy requirement because they would allow a
district court to aggregate the claims of all the class members to determine whether the matter in
controversy requirement has been fulfilled.[15]
This Comment will examine the future effects of these current judicial and legislative
movements on the traditional jurisdictional requirements for diversity-based class actions. Part II
of this Comment will summarize the key Supreme Court decisions establishing these
jurisdictional requirements and will explore the issue the Supreme Court faced in Abbott
Laboratories. Part III will analyze the key provisions of the proposed pieces of legislation
designed to alter the diversity jurisdiction requirements for class actions. Part IV will examine

Page 2
the potential effects of these judicial and legislative movements on the traditional diversity
jurisdiction requirements for class actions.
II. JUDICIAL MOVEMENTS
A. The Foundational Cases: Snyder and Zahn
In Snyder v. Harris,[16] the Supreme Court addressed whether separate and distinct claims
could be added together in a diversity-based class action to meet the jurisdictional amount in
controversy requirement.[17] The Supreme Court granted certiorari to address a conflict between
the Eighth and Tenth Circuits regarding the proper use of aggregation in diversity-based class
actions.[18]
The conflict arose when the Eighth Circuit held that aggregation of claims would not be
allowed to satisfy the section 1332 amount in controversy requirement.[19] The Eighth Circuit
had to determine whether aggregation of claims was permissible in a shareholders’ derivative
suit.[20] The petitioner only sought damages of $8,740, which was below the then applicable
amount in controversy requirement of $10,000.[21] The petitioner argued that if the 4,000
potential claims were aggregated the amount in controversy would be $1,200,000.[22] The
district court refused to aggregate the claims to meet the statutory amount needed for jurisdiction
and the Court of Appeals for the Eighth Circuit affirmed.[23]
The Tenth Circuit reached a contrary conclusion when it addressed this issue.[24] The
petitioner claimed a local gas company had illegally collected a city franchise tax from
approximately 18,000 customers.[25] Although the petitioner only claimed damages in the
amount of $7.81, he argued that the aggregation of the claims would produce damages in excess
of the $10,000 statutory requirement.[26] The district court overruled the gas company’s motion
to dismiss and the Tenth Circuit affirmed.[27] The Tenth Circuit held that Rule 23 of the Federal
Rules of Civil Procedure allowed separate and distinct claims to be aggregated in class actions to
meet the jurisdictional amount in controversy requirement in diversity cases.[28]
The Supreme Court was not persuaded that Rule 23 intended to change its longstanding rule
that separate and distinct claims of two or more plaintiffs could not be aggregated to attain the
jurisdictional amount in controversy requirement.[29] Justice Black, writing for the majority,
explained that the doctrine that separate and distinct claims could not be aggregated was not
based on the old categories of Rule 23 or on any rule of procedure.[30] Rather, the doctrine was
based on the Supreme Court’s interpretation of the statutory phrase “matter in controversy.”[31]
According to Justice Black, the Supreme Court’s restrictive interpretation of the phrase “matter
in controversy” predated the 1938 Federal Rules of Civil Procedure.[32] Justice Black quoted the
Supreme Court’s opinion in Troy Bank v. G.A. Whitehead & Co.[33] to support this proposition:
“When two or more plaintiffs, having separate and distinct demands, unite for convenience and
economy in a single suit, it is essential that the demand of each be of the requisite jurisdictional
amount.”[34] Justice Black further explained that the Court subsequently established this rule as
a “settled doctrine” in Pinel v. Pinel.[35] He even noted the Supreme Court had previously
applied the Pinel doctrine in the class action context after the enactment of the Federal Rules of
Civil Procedure in 1938.[36]

Page 3
The case Justice Black relied on for this assertion was Clark v. Paul Gray, Inc.[37] In Clark,
various individuals, partnerships and corporations challenged a Californiastatute imposing a $15
fee on each automobile driven into the state.[38] The Court raised the jurisdictional amount
question sua sponte in Clark.[39] According to Justice Black, the Court applied the Pinel
doctrine and held that since there was no joint and common interest involved the separate and
distinct claims of the plaintiffs could not be aggregated to meet the jurisdictional amount.[40]
After this examination of the Supreme Court’s traditional interpretation of the phrase “matter
in controversy” and its preclusion of aggregation, Justice Black concluded that “[n]othing in the
amended Rule 23 changes this doctrine.”[41] The majority agreed with Justice Black’s
assessment that the changes in the categories of Rule 23 class actions could not alter the Court’s
interpretation of the statutory phrase “matter in controversy.”[42] Consequently, the Court held
that the “adoption of amended Rule 23 did not and could not have brought about this change in
the scope of the congressionally enacted grant of jurisdiction to the district courts.”[43]
Four years later, the Supreme Court again examined whether plaintiffs in a diversity-based
class action satisfied the jurisdictional amount in controversy requirement. In Zahn v.
International Paper Co.,[44] Vermont lake-front property owners filed a lawsuit against a New
York corporation, alleging that the corporation polluted the waters of Lake Champlain by
illegally discharging waste.[45] The named plaintiffs’ claims satisfied the $10,000 jurisdictional
amount.[46] However, the district court found that the unnamed plaintiffs in the diversity-based
class action did not suffer damages “to a legal certainty” surpassing the jurisdictional
amount.[47] Therefore, the district court refused to certify a class of plaintiffs because of the
Supreme Court’s guidance in Snyder v. Harris.[48] The district court interpreted Snyder to
“preclud[e] maintenance of the action by any member of the class whose separate and distinct
claim did not individually satisfy the jurisdictional amount and concluding that it would not be
feasible to define a class of property owners each of whom had more than a $10,000 claim.”[49]
A divided Court of Appeals for the Second Circuit affirmed this decision.[50] The Supreme
Court began its analysis by reiterating the congressional mandate that diversity-based actions
were only maintainable in the district courts if the “matter in controversy” meets the statutorily
required amount.[51] Justice White outlined the Court’s historic approach of determining when
multiple plaintiff suits satisfy this jurisdictional bar.[52] He explained the “firmly rooted”
principle regarding the jurisdictional amount in controversy required that “multiple plaintiffs
with separate and distinct claims must each satisfy the jurisdictional-amount requirement for suit
in the federal courts . . . .”[53] Furthermore, this principle required a court to dismiss litigants
whose claims did not meet the jurisdictional amount, even when other litigants possessed claims
sufficient to qualify for jurisdiction.[54]
After announcing these general principles, Justice White focused on their application to class
action lawsuits.[55] Justice White addressed the Supreme Court’s recent decision in Snyder v.
Harris to explain how the statutory phrase “matter in controversy” had been interpreted in the
class action context.[56] In Snyder, a case in which none of the class plaintiffs had claims
exceeding the jurisdictional amount, the Court applied the traditional principle that multiple
plaintiffs alleging separate and distinct claims must each satisfy the jurisdictional amount
requirement in order to invoke the district court’s jurisdiction.[57] Furthermore, the Court

Page 4
announced that aggregation of claims would not be allowed in Rule 23 actions and any plaintiff
not meeting the jurisdictional amount must be dismissed from the action.[58]
Although the named plaintiffs in Zahn had claims satisfying the statutorily required amount,
Justice White concluded in light of Snyder that “there is no doubt that the rationale of that case
controls this one.”[59] Accordingly, the majority held “[e]ach plaintiff in a Rule 23(b)(3) class
action must satisfy the jurisdictional amount, and any plaintiff who does not must be dismissed
from the case.”[60]
Justice Brennan, in a strong dissent, found the fact that the named petitioners in Zahn each
had claims meeting the jurisdictional amount provided a significant distinction from the situation
addressed in Snyder.[61] He agreed with the petitioners’ contention that the doctrine of ancillary
jurisdiction supported a finding that the claims of the unnamed class members not meeting the
jurisdictional amount could be entertained.[62] According to Justice Brennan, the principle of
utilizing ancillary jurisdiction to determine claims that could not be reconciled within the
aggregation rules had long been acknowledged by courts.[63] Courts had applied ancillary
jurisdiction over compulsory counterclaims under Rule 13(a), cross-claims permitted by Rule
13(g), claims by impleaded defendants under Rule 14, and over defendants interpleaded under
Rule 22.[64] Justice Brennan argued that class actions under Rule 23(b)(3) were “equally
appropriate for such treatment” because the requirements of Rule 23(b)(3) assured “that ‘the
question of law or fact common to the members of the class [must] predominate over any
questions affecting only members,’ to guarantee that ancillary jurisdiction will not become a
facade hiding attempts to secure federal adjudication of nondiverse parties’ disputes over
unrelated claims.”[65]
Justice Brennan also suggested that providing for ancillary jurisdiction over the unnamed
petitioners’ claims had a practical advantage of promoting judicial economy.[66] By refusing to
certify the class and allowing ancillary jurisdiction to attach to the jurisdictionally insufficient
claims, a court forces the individual litigants to engage in “redundant litigation of common
issues.”[67] This course of action would create a greater burden on the state and federal judiciary
as a whole because of the various individual claims that would be pursued.[68]
In concluding, Justice Brennan asserted that ancillary jurisdiction should have been allowed
because of the Court’s decisions sustaining “ancillary jurisdiction over the nonappearing
members in a class action who do not meet the requirements of traditional rule of complete
diversity laid down in Strawbridge v. Curtis.”[69] Under the Court’s benchmark decision in
Supreme Tribe of Ben Hur v. Cauble,[70] only the originally named plaintiff and defendant had
to be diverse parties to satisfy the diversity requirement.[71] The Cauble Court also explained
that the intervention of nondiverse class members would not invalidate the district court’s
jurisdiction.[72] Justice Brennan simply could not understand why Cauble’s practical approach
of examining the qualifications of the named plaintiffs for determining diversity could not be
applied to determining whether the statutory amount in controversy had been established.[73]
With Snyder and Zahn, two principles regarding federal jurisdiction pertaining to diversity-
based class actions emerged. First, a district court could not aggregate the separate and distinct
claims of the class members to satisfy the jurisdictionally required amount in controversy.[74]

Page 5
Second, the district court must dismiss any class member’s claim not meeting the jurisdictional
amount in controversy requirement.[75] These two principles remained unscathed until an
unwitting statute changed the jurisdictional landscape for diversity-based class actions.
B. Finley and the Judicial Improvements Act of 1990
The next major movements in this federal jurisdiction drama involved the Supreme Court’s
controversial decision in Finley v. United States[76] and Congress’ response in the Judicial
Improvements Act of 1990. In Finley, the Supreme Court addressed whether the Federal Tort
Claims Act (“FTCA”) allowed an assertion of pendent jurisdiction over additional parties.[77]
Although Finley did not involve a class action, its significance to this Comment’s analysis of the
potential lifting of the jurisdictional requirements for diversity-based class actions lies in its
prompting of Congress to enact the supplemental jurisdiction statute.
In Finley, the petitioner had lost her husband and two of her children when their plane struck
electric transmission lines during its approach toward an airfield in San Diego.[78] The petitioner
brought a claim against the Federal Aviation Administration (“FAA”) under the FTCA asserting
the FAA was negligent in its operation and “maintenance of the runway lights and performance
of air traffic control functions.”[79] Approximately a year later, the petitioner attempted to
amend her federal complaint to contain a state law tort claim against the City of San Diego and
the San Diego Gas and Electric Company.[80] Although no independent basis for federal
jurisdiction existed,[81] the district court allowed the addition of these defendants under the
pendent jurisdiction doctrine established by the Supreme Court in United Mine Workers of
America v. Gibbs.[82] An interlocutory appeal was certified in the Court of Appeals for the
Ninth Circuit.[83] The Ninth Circuit reversed the district court’s decision and the Supreme Court
granted certiorari.[84]
In analyzing the issue presented, Justice SClass Action Litigationa distinguished the Supreme Court’s application
of pendent claim and pendent party jurisdiction.[85] Under the Supreme Court’s holding in
Gibbs, federal courts have “pendent claim jurisdiction—that is, jurisdiction over nonfederal
claims between parties litigating other matters properly before the court—to the full extent
permitted by the Constitution.”[86] However, Justice SClass Action Litigationa explained that the Supreme Court’s
decisions involving pendent party claims reflected the Court’s preference for not assuming that
the full constitutional power has been authorized by Congress.[87] To support this assertion,
Justice SClass Action Litigationa cited the Supreme Court’s decision in Aldinger v. Howard.[88] In Aldinger, the
Supreme Court refused to allow a plaintiff to append a state claim against a county to the federal
claim brought under 42 U.S.C. § 1983 against individual defendants.[89] The Supreme Court
explained that “the addition of a completely new party . . . would run counter to the well-
established principle that federal courts . . . are courts of limited jurisdiction marked out by
Congress.”[90] According to Justice SClass Action Litigationa, the Aldinger opinion indicated that the Supreme
Court would not extend Gibbs’ pendent claim approach to the pendent party field.[91]
In light of this analysis, Justice SClass Action Litigationa emphasized that the Court must examine the text of the
jurisdictional statute at issue to determine whether the statute would allow pendent party
jurisdiction.[92] Under the FTCA, section 1346(b) conferred jurisdiction over “claims against
the United States.”[93] The majority was not persuaded to read this language to provide

Page 6
jurisdiction for “civil actions on claims against the United States.”[94] Consequently, the
majority announced that the FTCA does not allow the federal courts to exercise jurisdiction over
parties other than the government of the United States.[95] In his conclusion, Justice SClass Action Litigationa
extended a clear invitation to Congress to give the Supreme Court guidance concerning the scope
of the federal courts’ jurisdiction in this area: “Whatever we say regarding the scope of
jurisdiction conferred by a particular statute can of course be changed by Congress.”[96]
Congress accepted this invitation and the fruit of its labor manifested itself in the Judicial
Improvements Act of 1990.
In the Judicial Improvements Act of 1990, Congress codified as “supplemental jurisdiction”
the judicially created doctrines of pendent and ancillary jurisdiction.[97] The supplemental
jurisdiction statute, 28 U.S.C. § 1367, is divided into three subsections. Subsection (a) allows a
district court to have supplemental jurisdiction over related claims forming part of the same case
or controversy under Article III as the claims within the original jurisdiction of the court.[98]
Subsection (b) limits the broad authority granted in subsection (a) by prohibiting supplemental
jurisdiction over certain diversity actions.[99] Subsection (c) enunciates discretionary factors the
district court may consider when determining whether to exercise supplemental
jurisdiction.[100]
After the statute’s enactment, legal scholars debated whether the text of 28 U.S.C. § 1367
overruled Zahn.[101] A plain reading of the text leaves the reader with the impression that
Zahn’s amount in controversy rule had been abrogated. Once original jurisdiction attaches to the
claim of a named class representative, subsection (a) “provides supplemental jurisdiction over
the jurisdictionally insufficient but related claims of the additional class members.”[102]
Furthermore, subsection (b) “does not specify an exception for claims joined under Rule
23.”[103] Consequently, the broad grant of jurisdiction in subsection (a) appears to allow the
district courts to exercise supplemental jurisdiction over diversity-based class actions when at
least one diverse plaintiff has a jurisdictionally sufficient claim.[104] This conclusion produced
an interpretational rift in the circuit courts of appeal.[105]
C. Abbott Laboratories and the Judicial Response
The Fifth Circuit Court of Appeals was the first circuit court to interpret whether the Judicial
Improvements Act of 1990 overruled the Supreme Court’s decision in Zahn v. International
Paper Company. In In re Abbott Laboratories,[106] the Fifth Circuit held that a federal district
court had jurisdiction over a diversity-based class action in which only the named plaintiffs met
the jurisdictional amount in light of the supplemental jurisdiction provision created in the
Judicial Improvements Act of 1990.[107]
Abbott Laboratories began as a class action filed in the State of Louisiana under its antitrust
laws.[108] The plaintiffs alleged Abbott Laboratories, Bristol-Meyers Squibb Company, Inc.,
and Mead Johnson & Company had conspired to fix prices on infant formula products.[109] The
defendants removed the action to federal court.[110] The plaintiffs moved to remand and the
district court granted the remand.[111] The district court held that it only had diversity
jurisdiction over the named plaintiffs’ claims and declined to exercise supplemental jurisdiction

Page 7
over the unnamed plaintiffs’ claims because they raised “novel issues of state law.”[112] The
defendants appealed the decision to remand the action to the state court.[113]
The Fifth Circuit panel first examined whether the district court correctly held that it had
jurisdiction over the named plaintiffs.[114] The named plaintiffs only asserted claims of $20,000
in damages, which was far below the required amount of $50,000 in effect at that time.[115] The
district court examined a Louisiana law applying all of a class attorney’s fees to the named
plaintiffs and found this statute increased the named plaintiffs’ claims to an amount satisfying the
$50,000 requirement.[116] The Fifth Circuit affirmed this interpretation of the statute and
announced that the individual claims of the named class representatives met the jurisdictional
amount.[117]
The Fifth Circuit next analyzed whether the supplemental jurisdiction statute would allow the
district court to exercise jurisdiction over the unnamed class members’ claims.[118] The
defendants argued that 28 U.S.C. § 1367, the supplemental jurisdiction statute, was Congress’
effort to “change[] the jurisdictional landscape in 1990.”[119] Their argument was based on a
plain reading of the statute.[120] First, section 1367(a) states “the district courts shall have
supplemental jurisdiction over all other claims that are so related to claims in the action within
such original jurisdiction that they form part of the same case or controversy under Article III of
the United States Constitution.”[121] Second, section 1367(b) follows and carves out exceptions
for diversity-based actions.[122] Finally, the panel noted that Rule 23 class actions were
conspicuously missing from these enumerated exceptions.[123]
The Fifth Circuit panel recognized that the district courts which had addressed this issue were
split on whether Zahn survived the enactment of section 1367.[124] The panel also
acknowledged plaintiffs’ argument that there was some legislative history that could lead to a
finding that Congress did not intend the Judicial Improvements Act of 1990 to overrule
Zahn.[125] However, the panel refused to give any weight to the legislative history surrounding
the Judicial Improvements Act.[126] Judge Patrick Higginbotham, writing for the panel,
explained its refusal to probe the legislative history in an effort to uncover legislative intent: “We
cannot search legislative history for congressional intent unless we find the statute unclear or
ambiguous. Here, it is neither.”[127] According to Judge Higginbotham, the statute “is the sole
repository of congressional intent where the statute is clear and does not demand an absurd
result.”[128] Stating that the destruction of the restrictions established in Zahn was not an
“absurd” result,[129] the panel held that under section 1367 a district court could exercise
supplemental jurisdiction over members of a class even though they did not meet the
jurisdictional amount in controversy requirement.[130] Consequently, the panel found that the
district court had diversity jurisdiction over the named class representatives and that section 1367
granted supplemental jurisdiction over the claims of the unnamed class members.[131]
One of the next circuits to address this issue was the Tenth Circuit. In Leonhardt v. Western
Sugar Co.,[132] the Tenth Circuit held that section 1367 did not alter the requirement that each
plaintiff in a diversity-based class action meet the $75,000 amount in controversy
requirement.[133]

Page 8
The plaintiffs in Leonhardt brought a class action against the defendant alleging a violation
of the Agricultural Fair Practices Act (“AFPA”) and certain state laws.[134] The district court
dismissed the federal AFPA claim for failure to state a claim.[135] The district court further
found that no plaintiff met the required $75,000 amount in controversy necessary for the exercise
of diversity jurisdiction.[136] It made this finding even though a motion was pending to amend
the complaint to add a request for punitive damages to one of the state claims that would increase
a claim of one of the plaintiffs over the $75,000 jurisdictional bar.[137] The plaintiffs appealed
the dismissal of the state law claims.[138]
On appeal, the Tenth Circuit framed the issue as “whether the enactment of 28 U.S.C. §
1367, concerning supplemental jurisdiction, altered the historical aggregation rules under section
1332 for class actions.”[139] The plaintiffs asserted that since one class member met the
jurisdictional amount in controversy, the plain language of section 1367(a) allowed the district
court to exercise supplemental jurisdiction over the entire class of plaintiffs.[140] The Tenth
Circuit did not agree. The panel acknowledged that in determining whether section 1367 permits
the exercise of supplemental jurisdiction in class actions it must first examine the statutory
language to determine if Congress has spoken clearly.[141] If the language of the statute is not
clear, the panel noted, it could then examine the legislative history surrounding the statute to aid
in its determination of legislative intent.[142]
The panel examined the text of section 1367 and came to a conclusion opposite that of the
Fifth Circuit’s opinion in Abbott Laboratories.[143] According to the panel, section 1367(a) only
addresses “any civil action of which the district courts have original jurisdiction.”[144] In the
present case, section 1332 conferred original jurisdiction on the district court and it “expressly
requires that the ‘matter in controversy exceed[] the sum or value of $75,000.’”[145] Since the
district court must have original jurisdiction before it can exercise supplemental jurisdiction, the
district court must apply the traditional rule regarding aggregation of claims when it determines
if the matter in controversy meets the jurisdictional amount in controversy requirement.[146]
Therefore, according to the Tenth Circuit panel, section 1367(a) and (b) could be “read literally,
and unambiguously, to require each plaintiff in a class action diversity case to satisfy the Zahn
definition of ‘matter in controversy’ and to individually meet the $75,000 requirement.”[147]
The Tenth Circuit panel did not end its analysis at this point. Since the panel came to an
opposite conclusion from the Fifth Circuit, it argued the statute was therefore ambiguous and it
could examine the legislative history to clear up the ambiguity.[148] It examined the legislative
history and concluded that it supported its opinion that section 1367(a) and (b) were not intended
by Congress to overrule Zahn.[149] Consequently, the panel concluded that its analysis of the
language of section 1367 and the relevant legislative history supported its conclusion that the
enactment of section 1367 did not overrule Zahn’s holding that each plaintiff in a diversity-based
class action must meet the statutory amount in controversy under section 1332.[150]
D. Abbott Laboratories and the Supreme Court’s Reply
Thus, a clear split among the circuits had emerged regarding whether 28 U.S.C. § 1367
abrogated Zahn’s amount in controversy requirement. On November 29, 1999, the Supreme
Court reacted to this split by granting certiorari to the plaintiffs in the Abbott Laboratories

Page 9
litigation.[151] The issue presented before the Supreme Court was “[w]hether the supplemental
jurisdiction statute, 28 U.S.C. § 1367, authorizes federal courts to exercise supplemental
jurisdiction over the claims of absent class members where, as here, those courts have original
jurisdiction over the claims of the named plaintiffs.”[152] The petitioners and respondents’
major contention was whether the language of the statute was clear and unambiguous.[153]
The petitioners, Robin and Renee Free, argued Congress intended the supplemental
jurisdiction statute, 28 U.S.C. § 1367, to “preserve the well-established rule that federal courts do
not have original jurisdiction over state-law multi-plaintiff actions (including class actions)
unless each and every plaintiff in the action has claims that satisfy the matter-in-controversy
requirement of 28 U.S.C. § 1332(a).”[154] According to the petitioners, section 1367(a) only
grants supplemental jurisdiction when there is first a “‘civil action of which the district courts
have original jurisdiction.’”[155] In their estimation, Congress did not intend to alter the original
jurisdiction requirements established by the Supreme Court.[156] They explained Congress did
not intend to change the Supreme Court’s traditional interpretation that the phrase “matter in
controversy” to mean that each and every plaintiff’s claim in a class action must satisfy the
jurisdictional amount in controversy requirement.[157] Consequently, they contended that if the
Supreme Court applies its traditional “matter in controversy” rule it should hold the matter in
controversy requirement of diversity was not satisfied because none of the absent class members
have claims satisfying the jurisdictional minimum.[158] Since this element of diversity
jurisdiction is not fulfilled, petitioners argued that the Court should hold that the district court
does not have original jurisdiction over the class action and, consequently, the district court may
not exercise supplemental jurisdiction under 28 U.S.C. § 1367.[159]
Naturally, the respondents disagreed with the petitioners’ characterization of how the Court
should apply 28 U.S.C. § 1367. They explained that the petitioners’ argument that the “statute
requires original jurisdiction over all claims in a particular ‘civil action’ as a predicate for
exercising supplemental jurisdiction” simply “makes no sense.”[160] According to the
respondents, the entire purpose of the supplemental jurisdiction statute is to allow the district
court to exercise jurisdiction over claims not otherwise within their original jurisdiction.[161]
Their position was that the application of the statute should be a fairly straightforward
process.[162] The claims of the unnamed class members fall within the scope of section 1367(a)
because they “form part of the same Article III case or controversy as the named plaintiffs’
claims, which are within the federal courts’ original jurisdiction.”[163] Furthermore, these
claims are not carved out by section 1367(b) because that subsection does not include claims
brought under Rule 23 of the Federal Rules of Civil Procedure.[164] Consequently, the
respondents urged the Court to find that a textual interpretation of 28 U.S.C. § 1367 has the
“result of superseding the implicit holding in” Zahn.[165]
Although the Court appeared to be ready to settle the split among the circuits when it granted
certiorari, the judgment rendered by the Court allows the issue to survive another day. The Court
affirmed the Fifth Circuit’s opinion by an equally divided court.[166] Consequently, lower
federal courts are free to decide whether Congress intended for section 1367 to implicitly
abrogate the Supreme Court’s holding in Zahn. The courts can follow the Fifth Circuit’s decision
in Abbott Laboratories and hold that section 1367 abrogates Zahn.[167] On the other hand,

Page 10
courts can follow the Tenth Circuit’s guidance in Leonhardt and hold that section 1367 does not
alter the historic aggregation rules under section 1332 for class actions.[168]
III. LEGISLATIVE MOVEMENTS
A. The Interstate Class Action Jurisdiction Act of 1999
On May 19, 1999, Representative Bob Goodlatte (R.-Va.) introduced the Interstate Class
Action Jurisdiction Act of 1999 in the House of Representatives.[169] The sponsors of the bill
introduced it to “correct a serious flaw in our federal jurisdictional statutes.”[170] In their
estimation, this “serious flaw” has led to a dramatic increase in the number of class actions
brought in state courts.[171] According to the sponsors, there are several reasons why class
actions are “flooding into certain state courts.”[172] First, there is a perception that state courts
favor local lawyers over out-of-state corporations.[173] Second, attorneys take advantage of
“major loopholes” in federal jurisdiction statutes thereby preventing the removal of class actions
that, in the sponsors’ opinion, belong in federal court.[174] These attorneys achieve this result by
naming parties as defendants not pertinent to the class claims in order to defeat the complete
diversity requirement of section 1332.[175] They also can waive federal law claims or reduce the
amount in controversy to prevent removal to federal court.[176] Finally, the sponsors of the bill
claimed that some state courts utilize very lenient certification requirements which allow most
controversies to be subject to class treatment.[177] In concluding his remarks during his
introduction of the bill, Representative Goodlatte suggested the bill “merely closes the loophole”
preventing interstate disputes involving substantial sums of money from being filed as class
actions in federal courts.[178]
The Interstate Class Action Jurisdiction Act of 1999 contains three significant provisions
altering the traditional jurisdictional requirements of diversity-based class actions. First, the bill
allows a federal district court to exercise original jurisdiction over a diversity-based class action
if there is “minimal diversity.”[179] Second, the district court can also aggregate the claims of
the potential class members to reach the necessary amount in controversy requirement.[180]
Finally, the bill provides a liberal removal provision that applies to both the unnamed plaintiff
class members or any defendant.[181]
First, the bill will alter federal jurisdiction requirements for diversity-based class actions by
eliminating the complete diversity requirement. Section 3 of the bill eliminates the traditional
requirement of complete diversity[182] by allowing federal district courts to exercise original
jurisdiction over class actions when there is only minimal diversity.[183] The bill would amend
28 U.S.C. § 1332 to allow the district court to exercise original jurisdiction over a class action if
any plaintiff class member and defendant are from different states.[184] This provision will
prevent plaintiffs’ counsel from keeping certain class actions in state courts by naming a nominal
in-state defendant who is not the true target of the litigation.[185] Although the district court can
exercise original jurisdiction if there is minimal diversity, the bill provides three major
exceptions in which the district court cannot exercise jurisdiction. The district court cannot
exercise jurisdiction over a civil action if the action is an (1) intrastate action,[186](2) a limited
scope case,[187] or (3) a state action case.[188]

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Second, the bill will alter federal jurisdiction requirements for class actions by allowing the
district court to aggregate the plaintiffs’ claims to meet the amount in controversy needed to
avoid the exception for a “limited scope case.”[189] This provision would abrogate the Supreme
Court’s holding in Snyder v. Harris.[190] It could also potentially make the Supreme Court’s
holding in Zahn useless.[191]
As previously mentioned, the district court cannot exercise jurisdiction over a “limited scope
case.”[192] This term is defined as “a class action in which the record indicates that all matters in
controversy asserted by all members of all proposed plaintiff classes do not in the aggregate
exceed the sum or value of $1,000,000, exclusive of interest and cost . . . .”[193] In light of this
definition, it would appear the district court can aggregate the claims of the plaintiffs to
determine whether the action surpasses the $1,000,000 jurisdictional bar. The district court
cannot only aggregate the claims of the plaintiffs but can also aggregate the number of plaintiffs
in an effort to determine whether jurisdiction attaches.[194] Both of these provisions appear to
be efforts of the sponsors to ensure that class actions involving a limited number of plaintiffs and
minor class damages remain in state courts. This interpretation would be consistent with
Representative Goodlatte’s explanation that the bill merely allows “federal courts to hear big
lawsuits involving truly interstate issues, while ensuring that purely local controversies remain in
state courts.”[195]
The final alteration that greatly expands federal diversity jurisdiction requirements for class
actions is the liberal removal provision. Section 4 of the Act establishes who can remove a class
action and when it can be removed.[196] The class action can be removed “(1) by any defendant
without the consent of all defendants; or (2) by any plaintiff class member who is not a named or
representative class member of the action for which removal is sought, without the consent of all
members of such class.”[197] The class action could be removed from state court before or after
any order certifying a class, with the minor exception that unnamed plaintiffs cannot seek
removal before the class has been certified.[198]
The Interstate Class Action Jurisdiction Act of 1999 passed the House on September 23,
1999, by a margin of 227-207.[199] The bill was received in the Senate on September 24, 1999,
and referred to the Senate Judiciary Committee on November 19, 1999.[200]
B. The Class Action Fairness Act of 1999
Members of the Senate have also introduced a bill in the 106th Congress that, if enacted,
would alter the traditional jurisdictional requirements for diversity-based class actions. Senator
Charles Grassley (R.- Iowa) introduced the Class Action Fairness Act of 1999 on February 3,
1999.[201] The bill was referred to the Senate Committee on the Judiciary[202] and had hearings
before the Senate Subcommittee on Administrative Oversight and the Courts on May 4,
1999.[203] Like the Interstate Class Action Jurisdiction Act of 1999, it removes the complete
diversity requirement, permits aggregation of claims, and provides a liberal removal provision
for class actions.[204]
The bill removes the traditional complete diversity requirement for diversity-based actions
brought under 28 U.S.C. § 1332. Section 3 of the bill provides that the district court will have

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original jurisdiction over any civil action in which the amount in controversy exceeds $75,000,
exclusive of interest and costs, and is a class action falling within one of three categories.[205]
The first category provides jurisdiction if “any member of a class of plaintiffs is a citizen of a
State different from any defendant.”[206] The second category provides jurisdiction if “any
member of a class of plaintiffs is a foreign state or a citizen or subject of a foreign state and any
defendant is a citizen of a State.”[207] The final category provides jurisdiction if “any member
of a class of plaintiffs is a citizen of a State and any defendant is a foreign state or a citizen or
subject of a foreign state.”[208] Although the district court can exercise jurisdiction if there is
minimal diversity,[209] the bill carves out three exceptions when the district court shall abstain
from exercising jurisdiction.[210]
The bill also permits the district court to aggregate the claims of the plaintiffs in order to
meet the jurisdictional requirement. It retains the current jurisdictional amount in controversy
requirement for diversity actions under 28 U.S.C. § 1332 by requiring that “the matter in
controversy exceed[] the sum or value of $75,000, exclusive of interest and costs.”[211] It also
explicitly permits the district court to aggregate the claims of each plaintiff: “In any class action,
the claims of the individual members of any class shall be aggregated to determine whether the
matter in controversy exceeds the sum or value of $75,000, exclusive of interest and cost.”[212]
This proposed provision will essentially invalidate the Supreme Court’s holdings in Snyder[213]
and Zahn.[214] The drafters of the bill did not raise the matter in controversy amount like the
modest effort found in The Interstate Class Action Jurisdiction Act of 1999.[215] The bill also
does not allow the district court to aggregate the number of plaintiffs in the class in an effort to
confer jurisdiction, unlike its House counterpart.[216]
The bill also provides for a virtually identical removal provision contained in The Interstate
Class Action Jurisdiction Act of 1999.[217] The bill permits a class action to be removed to a
district court “(1) by any defendant without the consent of all defendants” or “(2) by any plaintiff
class member who is not a named or representative class member without the consent of all
members of such class.”[218] The class action can be removed by these individuals before or
after the class has been certified by the state court.[219]
IV. “FEDERALIZINGCLASS ACTIONS
The Supreme Court’s holding in Abbott Laboratories and the current bills before Congress
threaten to redefine the diversity jurisdiction requirements for class actions. These judicial and
legislative movements have the potential to “federalize” class actions by removing the
jurisdictional bars currently preventing some diversity-based class actions from being filed in
federal court.
A. The Potential Effects of Abbott Laboratories
Abbott Laboratories presented the Court with the opportunity to overrule Zahn and hold the
supplemental jurisdiction statute, 28 U.S.C. § 1367, authorizes federal courts to exercise
supplemental jurisdiction over the claims of unnamed class members not meeting the jurisdiction
amount whenever it has original jurisdiction over the claims of at least one named plaintiff.[220]
The Supreme Court did not seize the opportunity to settle the split among the circuits. Its opinion

Page 13
affirming Abbott Laboratories by an equally divided court provides lower federal courts the
freedom to determine whether section 1367 abrogates Zahn.[221]
Allowing supplemental jurisdiction over the jurisdictionally insufficient claims could
potentially “federalize” diversity-based class actions. It would give more classes the option of
filing their action originally in federal court because the class would only need one member to
satisfy the jurisdictional amount in controversy requirement. Furthermore, it would allow more
defendants in class actions the opportunity to remove the litigation to federal court because the
district court would have original jurisdiction in more instances.[222] Overruling Zahn would
not only have the potential effect of increasing the number of class actions filed in federal court,
it also would create a “sensible symmetry” between the two requirements of the diversity
jurisdiction statute, aid judicial economy, and prevent the distasteful options currently facing
potential class members not meeting the amount in controversy requirement.
Overruling Zahn will create a “sensible symmetry” between the two requirements for
diversity jurisdiction.[223] In Supreme Tribe of Ben Hur v. Cauble,[224] the Supreme Court
established the “requirement of complete diversity of citizenship in class actions is assessed
solely by reference to the citizenship of the named plaintiffs, not the absent class
members.”[225] However in Zahn, the Supreme Court refused to examine only the qualifications
of the named plaintiffs in determining whether the jurisdictional amount in controversy
requirement had been met.[226] The Court instead decided to examine whether every plaintiff in
the proposed class satisfied the statutory matter in controversy requirement.[227] Overruling
Zahn will provide symmetry because the district court will only be required to examine whether
any of the named plaintiffs have claims that satisfy the jurisdictional amount in controversy
requirement. If any plaintiff satisfies this requirement, and there is complete diversity between
the named plaintiffs and defendants, the district court can exercise original jurisdiction over
those claims. Consequently, the district court can exercise supplemental jurisdiction over the rest
of the claims of the other class members. Not only would this create symmetry between the two
diversity jurisdiction requirements, it would also aid in judicial economy.
Overruling Zahn will preserve judicial resources. The fundamental purpose of supplemental
jurisdiction is to “avoid[] the necessity of litigating the same factual issues twice.”[228] Zahn’s
holding has burdened judicial economy by creating concurrent actions in state and federal
courts.[229] Under Zahn’s rule, the named plaintiffs having jurisdictionally sufficient claims
may proceed in federal court while the plaintiffs with insufficient claims are forced to seek
redress elsewhere.[230] This creates a scenario in which judicial resources are wasted by the
filing of concurrent actions in federal and state courts. This problem can be compounded if the
plaintiffs remaining in federal courts are not allowed to proceed as a class. Each plaintiff may
then be required to file a separate action in federal court. Instead of presiding over one class
action, the same court adjudicates the same issues in several separate actions.[231] This not only
increases the litigation in federal courts but has a similar effect on state court case levels.[232]
Not only will overruling Zahn aid judicial economy, it will also alleviate some of the
“unsavory options” facing unnamed class action plaintiffs with jurisdictionally insufficient
claims.[233] Zahn’s holding has had harsh effects on the litigation options of unnamed plaintiffs
dismissed from the federal action because of their jurisdictionally insufficient claims. These

Page 14
individuals appear to only have three future courses of action.[234] These plaintiffs may be
forced to file an individual action in state court.[235] In reality this is not a viable option. The
meager amount of their claim, when weighed against their potential legal bills, will give most
potential litigants pause for concern.[236] The dismissed plaintiffs may also attempt to refile the
class action in state court.[237] There are several substantial barriers to this option. For example,
some states require that class action plaintiffs must have minimum contacts with the states.[238]
Also, a significant barrier to maintaining multi-state class actions in state court arises “where the
injury suffered by the plaintiffs occurs in multiple states.”[239] The final option facing these
dismissed class members is to forego litigation altogether.[240] This is an undesirable result
because it allows corporations to succeed at “mass ‘nickle-and-dime’ theft.”[241] When
thousands of individuals suffer minor losses they have little financial incentive to hold
unscrupulous businesses accountable. By following the Fifth Circuit’s decision that section 1367
abrogates Zahn and permits supplemental jurisdiction in diversity-based class actions, lower
federal courts would provide the public with a powerful tool to curb these abuses in federal
court.
B. The Potential Effects of the Passage of the Interstate Class Action Jurisdiction Act of 1999
or the Class Action Fairness Act of 1999
The two bills currently being considered by Congress, if enacted,[242] would essentially
rewrite the federal diversity jurisdiction requirements for class actions.[243] Both bills are bold
attempts to “federalize” class actions by removing the current diversity jurisdictional bars. They
would essentially abrogate the Supreme Court’s decisions in Cauble, Snyder and Zahn. As
previously discussed in Part III, these bills would greatly increase the number of class actions
eligible to be filed in federal courts by requiring only minimal diversity, allowing aggregation of
claims, and by providing a liberal removal provision.[244]
Although there is uncertainty surrounding whether either of these bills will be enacted, one
thing is quite clear: the decision to broaden the scope of diversity jurisdiction in class actions is
not a constitutional one but a political one.[245] Congress’ only limitation is Article III’s
requirement that the controversy be “between Citizens of different States.”[246] As Professor E.
Donald Elliott explains: “The Supreme Court has regularly recognized that the decision to
require complete diversity, and the decision to set a minimum amount in controversy, are
political decisions not mandated by the Constitution.”[247] Accordingly, it is within Congress’
discretion to increase the scope of diversity jurisdiction as long as there are at least two diverse
parties to the lawsuit.
The passage of either bill would have the positive effect of abrogating the restrictions of
Cauble, Snyder, and Zahn regarding diversity jurisdiction for class actions. Allowing the
aggregation of claims in class actions would produce two beneficial effects. First, it would
protect the original intention of the Founders when they created diversity jurisdiction. Second, it
would place class actions in a judicial forum that has the appropriate resources and procedural
devices to handle this complex litigation.
By allowing the district court to aggregate the claims of plaintiffs in an effort to satisfy the
jurisdictional bar, these bills protect the original intent of the Founders by providing a neutral

Page 15
forum to litigate interstate disputes. Although there is some debate concerning why diversity
jurisdiction was created,[248] the “traditional theory is that diversity jurisdiction was intended to
protect out-of-state residents from the bias that they might experience, or at least fear that they
might face, in state courts.”[249] The Founders were concerned with stimulating interstate
commerce and protecting businesses[250] from the actual or perceived biases of state
courts.[251] Expanding diversity jurisdiction for class actions would support these goals because
“in a constitutional sense, they implicate interstate commerce, foreclose discrimination by a local
state, and tend to guard against any bias against interstate enterprises.”[252] These two bills will
eliminate the diversity jurisdiction requirements established in Cauble, Snyder, and Zahn and
will provide an opportunity for more class action to be litigated in a neutral federal forum.
These bills will not only support the original intent of the Founders concerning diversity
jurisdiction, but will also place class actions in a judicial forum having the appropriate resources
and procedural devices to handle this complex litigation. The federal courts have more resources
to adjudicate class actions than do state courts.[253] Federal judges generally have access to two
or more law clerks on their staffs while state court judges typically have none.[254] These judges
are also usually able to delegate some aspect of their class action cases to magistrate judges or
special masters while state court judges typically do not have these resources available.[255] The
federal courts also have appropriate procedural mechanisms for managing diversity-based class
actions that are filed in various districts.[256] Federal courts are authorized “to consolidate
before a single judge any similar class actions that are filed around the country.”[257] The state
courts do not have this procedural device to coordinate similar class actions filed in several
states.[258] Consequently, defendants are forced to expend extra financial resources by
defending in multiple forums against “these duplicative lawsuits.”[259] Therefore, allowing
diversity-based class actions to proceed in federal court aids judicial economy by placing
litigants before a tribunal having the necessary resources and procedural devices to adjudicate
their claims.
V. CONCLUSION
The Supreme Court’s decision in Abbott Laboratories and Congress’ current consideration of
interstate class action legislation leave the future of the traditional diversity jurisdiction
requirements for class actions in a sea of uncertainty. The Supreme Court had the opportunity to
affirmatively open the federal jurisdictional gate to more class actions by utilizing Abbott
Laboratories to overturn its opinion in Zahn. This course of action would allow district courts to
exercise supplemental jurisdiction over the jurisdictionally insufficient claims of class members
when the court has at least one named representative satisfying the jurisdictional requirements.
The Supreme Court refused to take this broad step. By affirming the Fifth Circuit’s opinion in
Abbott Laboratories, the Supreme Court has left this issue open for future debate.[260]
The Supreme Court’s decision in Abbott Laboratories possibly opens the federal
jurisdictional gate a crack. The district court must still find a named representative satisfying the
jurisdictional requirements before it can exercise jurisdiction. However, the two class action
jurisdiction bills before Congress have the potential to take this gate off its hinges. The bills will
have the effect of “federalizing” essentially every diversity-based class action by requiring only

Page 16
minimal diversity between the parties, allowing the district court to aggregate the plaintiffs’
claims, and by providing a liberal removal provision.
Stephen Daniel Kaufmann

Page 17
[1].
The term “federalize” is utilized in this Comment simply to signify the increased
opportunities for the filing of class actions in federal court once the traditional jurisdictional bars
are removed.
[2]. The two jurisdictional bars for diversity based actions are the complete diversity requirement and the matter
in controversy requirement. See 28 U.S.C. § 1332 (1994).
[3]. 7 U.S. (3 Cranch) 267 (1806).
[4]. Strawbridge, 7 U.S. at 267.
[5]. H.R. 1875, 106th Cong. (1999).
[6]. S. 353, 106th Cong. (1999).
[7]. See Free v. Abbott Lab., Inc., 176 F.3d 298 (5th Cir. 1999), aff’d, 529 U.S. 333 (2000).
[8]. 28 U.S.C. § 1332 (1994). See Zahn v. International Paper Co., 414 U.S. 291, 301 (1973).
[9]. Zahn, 414 U.S. at 301.
[10]. Snyder v. Harris, 394 U.S. 332, 336 (1969).
[11]. Abbott Lab., 176 F.3d 298.
[12]. H.R. 1875, 106th Cong. (1999).
[13]. S. 353, 106th Cong. (1999).
[14]. Zahn, 414 U.S. at 301.
[15]. H.R. 1875, 106th Cong. § 3 (1999); S. 353, 106th Cong. § 3 (1999).
[16]. 394 U.S. 332 (1969).
[17]. Snyder, 394 U.S. at 333.
[18]. Id. at 334. The Eighth and Tenth Circuits’ opinions were consolidated on appeal in Snyder. Id.
[19]. Id.
[20]. Id.
[21]. Snyder, 394 U.S. at 333.
[22]. Id.
[23]. Id.
[24]. Id. at 334.

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[25]. Id.
[26]. Snyder, 394 U.S. at 334.
[27]. Id.
[28]. Id.
[29]. Id. at 336.
[30]. Id.
[31]. Snyder, 394 U.S. at 336.
[32]. Id.
[33]. 222 U.S. 39 (1911).
[34]. Snyder, 394 U.S. at 336 (quoting Troy Bank v. G.A. Whitehead & Co., 222 U.S. 39, 40 (1911)).
[35]. Id. at 336 (citing Pinel v. Pinel, 240 U.S. 594 (1916)).
[36]. Id. at 336-37.
[37]. 306 U.S. 583 (1939).
[38]. Snyder, 394 U.S. at 337.
[39]. Id.
[40]. Id.
[41]. Id.
[42]. Id. at 338.
[43]. Snyder, 394 U.S. at 336.
[44]. 414 U.S. 291 (1973).
[45]. Zahn, 414 U.S. at 292.
[46]. Id.
[47]. Id.
[48]. Id.
[49]. Id.

Page 19
[50]. Zahn, 414 U.S. at 292.
[51]. Id. at 292-93.
[52]. Id. at 294-95.
[53]. Id. at 294.
[54]. Id. at 295.
[55]. Zahn, 414 U.S. at 295.
[56]. Id. at 298.
[57]. Id. at 300.
[58]. Id.
[59]. Id.
[60]. Zahn, 414 U.S. at 301.
[61]. Id. at 305.
[62]. Id.
[63]. Id.
[64]. Id. at 306.
[65]. Zahn, 414 U.S. at 306-07.
[66]. Id. at 307.
[67]. Id.
[68]. Id. at 308.
[69]. Id. at 309.
[70]. 255 U.S. 356 (1921).
[71]. Zahn, 414 U.S. at 309 (Brennan, J., dissenting).
[72]. Id. at 309 (citing Cauble, 255 U.S. at 366).
[73]. Zahn, 414 U.S. at 309.
[74]. Snyder, 394 U.S. at 338.

Page 20
[75]. Zahn, 414 U.S. at 301.
[76]. 490 U.S. 545 (1989).
[77]. Finley, 490 U.S. at 547.
[78]. Id. at 546.
[79]. Id.
[80]. Id.
[81]. Id. at 547. Federal jurisdiction did not exist as to the state law claims brought against the City of San
Diego and the San Diego Gas and Electric Company because no federal question was alleged and the complete
diversity requirement was not satisfied. See 28 U.S.C. §§ 1331-1332 (1994).
[82]. Finley, 490 U.S. at 547 (citing United Mine Workers of Am. v. Gibbs, 383 U.S. 715 (1966)).
[83]. Id. at 547.
[84]. Id.
[85]. Id. at 548-49.
[86]. Id. at 548.
[87]. Finley, 490 U.S. at 549.
[88]. Id. at 550 (citing Aldinger v. Howard, 427 U.S. 1 (1976)).
[89]. Id.
[90]. Id. at 550 (quoting Aldinger, 427 U.S. at 15 (internal citations omitted)).
[91]. Id. at 556.
[92]. Finley, 490 U.S. at 551.
[93]. Id.
[94]. Id. at 554.
[95]. Id. at 555.
[96]. Id. at 556.
[97]. Mark C. Cawley, The Right Result for the Wrong Reasons: Permitting Aggregation of Claims Under 28
U.S.C. § 1367 in Multi-Plaintiff Diversity Litigation, 73 NOTRE DAME L. REV. 1045, 1045 (1998).
[98]. 28 U.S.C. § 1367(a) (1994) provides in relevant part:

Page 21
(a) Except as provided in subsections (b) and (c) or as expressly provided otherwise by Federal statute, in any civil
action of which the district courts have original jurisdiction, the district courts shall have supplemental jurisdiction
over all other claims that are so related to claims in the action within such original jurisdiction that they form part of
the same case or controversy under Article III of the United States Constitution. Such supplemental jurisdiction shall
include claims that involve the joinder or intervention of additional parties.
[99]. 28 U.S.C. § 1367(b) provides in relevant part:
(b) In any civil action of which the district courts have original jurisdiction founded solely on section 1332 of this
title, the district courts shall not have supplemental jurisdiction under subsection (a) over claims by plaintiffs against
persons made parties under Rule 14, 19, 20, or 24 of the Federal Rules of Civil Procedure, or over claims by persons
proposed to be joined as plaintiffs under Rule 19 of such rules, or seeking to intervene as plaintiffs under Rule 24 of
such rules, when exercising supplemental jurisdiction over such claims would be inconsistent with the jurisdictional
requirements of section 1332.
[100]. 28 U.S.C. § 1367(c) provides in relevant part:
(c) The district courts may decline to exercise supplemental jurisdiction over a claim under subsection (a) if -- (1)
the claim raises a novel or complex issue of State law, (2) the claim substantially predominates over the claim or
claims over which the district court has original jurisdiction, (3) the district court has dismissed all claims over
which it has original jurisdiction, or (4) in exceptional circumstances, there are other compelling reasons for
declining jurisdiction.
[101]. See generally Richard D. Freer, Compounding Confusion and Hampering Diversity: Life After Finley and
the Supplemental Jurisdiction Statute, 40 EMORY L.J. 445, 485 (1991) and Thomas D. Rowe, Jr. et al.,
Compounding Confusion or Creating Confusion About Supplemental Jurisdiction? A Reply to Professor Freer, 40
EMORY L.J. 943, 960 (1991).
[102]. See James E. Pfander, Supplemental Jurisdiction and Section 1367: The Case for a Sympathetic
Textualism, 148 U. PA. L. Rev. 109, 123 (1999).
[103]. Id.
[104]. Several commentators have reached this conclusion. See Pfander, supra note 102, at 123; Joel E. Tasca,
Judicial Interpretation of the Effect of the Supplemental Jurisdiction Statute on the Complete Amount in Controversy
Rule: A Case for Plain Meaning Statutory Construction, 46 EMORY L.J. 435, 449-50 (1997).
[105]. Compare In re Abbott Lab., 51 F.3d 524, 529 (5th Cir. 1995) (finding that under section 1367 a district
court can exercise supplemental jurisdiction over members of a class even though their claims did not meet the
amount in controversy requirement) with Leonhardt v. Western Sugar Co., 160 F.3d 631, 640 (10th Cir. 1998)
(finding that enactment of section 1367 was not intended to overrule Zahn).
[106]. 51 F.3d 524 (5th Cir. 1995), aff’d, 529 U.S. 333 (2000).
[107]. Abbott Lab., 51 F.3d at 527.
[108]. Id. at 525.
[109]. Id.
[110]. Id.
[111]. Id.

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[112]. Abbott Lab., 51 F.3d at 525.
[113]. Id.
[114]. Id. at 526.
[115]. Id.
[116]. Id.
[117]. Abbott Lab., 51 F.3d at 527.
[118]. Id.
[119]. Id.
[120]. Id.
[121]. Id. at n.4.
[122]. Abbott Lab., 51 F.3d at 527 n.4.
[123]. Id at 527.
[124]. Id. at 528.
[125]. Id. The panel conceded that some statements in the legislative history supported a finding that the statute
was not intended to overrule Zahn: “The House Committee on the Judiciary considered the bill that became § 1367
to be a ‘noncontroversial’ collection of ‘relatively modest proposals,’ not the sort of legislative action that would
upset any long-established precedent like Zahn.” Id. (citing H.R. REP. NO. 734, 101ST CONG. at 27 (1990),
reprinted in 1990 U.S.C.C.A.N. 6860, 6860-61).
[126]. Abbott Lab., 51 F.3d at 528.
[127]. Id.
[128]. Id. at 529.
[129]. Id.
[130]. Id.
[131]. Abbott Lab., 51 F.3d at 530; see also Stromberg Metal Works, Inc. v. Press Mechanical, Inc., 77 F.3d 928
(7th Cir. 1996) (holding section 1367 overruled Zahn).
[132]. 160 F.3d 631 (10th Cir. 1998).
[133]. Leonhardt, 160 F.3d at 641.
[134]. Id. at 633.

Page 23
[135]. Id.
[136]. Id.
[137]. Id.
[138]. Leonhardt, 160 F.3d at 633.
[139]. Id. at 638.
[140]. Id.
[141]. Id.
[142]. Id.
[143]. Leonhardt, 160 F.3d at 640.
[144]. Id.
[145]. Id.
[146]. Id.
[147]. Id.
[148]. Leonhardt, 160 F.3d at 640.
[149]. Id. The panel’s survey of the legislative history led it to conclude that Congress did not intend to alter
traditional jurisdictional requirements for diversity jurisdiction: “The House Report also states that the statute
provides that ‘in diversity cases, the district courts may exercise supplemental jurisdiction, except when doing so
would be inconsistent with the jurisdictional requirement of the diversity statute.’” Id. (citing H.R. REP. NO. 101-
734, supra note 125, at 6874).
[150]. Id.; see also Meritcare, Inc. v. St. Paul Mercury Ins. Co., 166 F.3d 214 (3d Cir. 1999) (holding section
1367 did not overrule Zahn).
[151]. Brief for Petitioners at *i, Free v. Abbott Lab., Inc., 2000 WL 35848 (No. 99-391).
[152]. Brief for Respondents at *i, Free v. Abbott Lab., Inc., 2000 WL 177169 (No. 99-391).
[153]. Brief for Petitioners at *6, Abbott Lab. (No. 99-391); Brief for Respondents at *6-*7, Abbott Lab. (No. 99-
391).
[154]. Brief for Petitioners at *6, Abbott Lab. (No. 99-391).
[155]. Id. (quoting 28 U.S.C. § 1367(a) (1994)).
[156]. Id.
[157]. Id. *6-*7.

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[158]. Id. at *7.
[159]. Brief for Petitioners at *8, Abbott Lab. (No. 99-391).
[160]. Brief for Respondents at *6, Free v. Abbott Lab., Inc., 2000 WL 177169 (No. 99-391).
[161]. Brief for Respondents at *6, Abbott Lab. (No. 99-391).
[162]. Id.
[163]. Id.
[164]. Id.
[165]. Id. at *7.
[166]. The Court was equally divided because Justice O’Connor took no part in the consideration or decision.
Abbott Lab., 529 U.S. at 333.
[167]. See supra Part II.C.
[168]. Id. Early signs demonstrate that the circuits are aligning themselves with the Tenth Circuit on this issue.
See Del Vecchio v. Conseco, 230 F.3d 974 (7th Cir. 2000) (holding that insureds could not aggregate claims of class
members to satisfy amount in controversy requirement); Morrison v. Allstate Indem. Co., 228 F.3d 1255 (11th Cir.
2000) (holding that claims for compensatory damages, punitive damages, and attorneys fees in a putative class
action could not be aggregated to meet the matter in controversy requirement).
[169]. 145 CONG. REC. E1026-01 (daily ed. May 19, 1999) (statement of Rep. Goodlatte).
[170]. Id.
[171]. Id. The sponsors cite a 1999 survey that indicated that the “number of state court class actions pending
against surveyed companies ha[d] increased by 1,042 percent over the ten-year period 1988-1998.” Id.
[172]. Id.
[173]. Id.
[174]. 145 CONG. REC. E1026-01 (daily ed. May 19, 1999) (statement of Rep. Goodlatte).
[175]. Id.
[176]. Id.
[177]. Id.
[178]. Id.
[179]. H.R. 1875, 106th Cong. § 3 (1999).
[180]. Id.

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[181]. Id.
[182]. In Supreme Tribe of Ben Hur v. Cauble, 255 U.S. 356 (1921), the Supreme Court explained that the
complete diversity rule applied to class actions. However, complete diversity was only to be determined by
examining the domicile of the named class representatives and the named defendants. Cauble, 255 U.S. at 364-67.
[183]. H.R. 1875.
[184]. Section 3 of the Act provides in relevant part:
(b)(1) The district courts shall have original jurisdiction of any civil action which is brought as a class action and in
which--
(A) any member of a proposed plaintiff class is a citizen of a State different from any defendant;
(B) any member of a proposed plaintiff class is a foreign state and any defendant is a citizen of a State or;
(C) any member of a proposed plaintiff class is a citizen of a State and any defendant is a citizen or subject of a
foreign state.
[185]. Harvey Berkman, Tort Reform Measures, Facing Stiff Opposition, Unlikely to Become Law, NAT’L L.J.,
Oct. 4, 1999, at A5.
[186]. The term “intrastate case” is defined in the Act as a class action in which the record ignore that:
(I) the claims asserted therein will be governed primarily by the laws of the State in which the action was originally
filed; and
(II) the substantial majority of the members of all proposed plaintiff classes, and the primary defendants, are citizens
of the State in which the action was originally filed . . . .
H.R. 1875, § 3.
[187]. The term “limited scope case” is defined in the Act as a class action:
in which the record indicates that all matters in controversy asserted by all members of all proposed plaintiff classes
do not in the aggregate exceed the sum or value of $1,000,000, exclusive of interest and costs, or a class action in
which the number of members of all proposed plaintiff classes in the aggregate is less than 100 . . . .
Id.
[188]. The term “State action case” is defined in the Act as a “class action in which the primary defendants are
States, State officials, or other governmental entities against whom the district court may be foreclosed from
ordering relief.” Id.
[189]. Id.
[190]. As previously mentioned in Part II, the Supreme Court’s longstanding rule announced in Snyder v. Harris,
394 U.S. 332, 338 (1969), states that separate and distinct claims by class plaintiffs can not be aggregated to provide
the necessary jurisdictional amount.

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[191]. No longer would every plaintiff in the class be required to meet the $75,000 jurisdictional amount. The
district court will simply have to determine whether the aggregate claims of the class exceed $1,000,000. H.R. 1875,
§ 3.
[192]. Id.
[193]. Id. (emphasis added).
[194]. The definition of a “limited scope case” also provides that a district court cannot exercise jurisdiction over
“a class action in which the number of all proposed plaintiff classes in the aggregate is less than 100.” Id.
[195]. 145 CONG. REC. E1026-01 (daily ed. May 19, 1999) (statement of Rep. Goodlatte).
[196]. H.R. 1875, 106th Cong. § 4 (1999).
[197]. Id.
[198]. Id.
[199]. Berkman, supra note 185, at A5.
[200]. H.R. 1875.
[201]. 145 CONG. REC. S1144 (daily ed. Feb. 3, 1999) (statement of Sen. Grassley).
[202]. Id.
[203]. 145 CONG. REC. D478 (daily ed. May 4, 1999).
[204]. See supra Part III.A.
[205]. S. 353, 106th Cong. § 3 (1999).
[206]. Id.
[207]. Id.
[208]. Id.
[209]. The district court can exercise jurisdiction when the amount in controversy requirement has been met and
“any member of a class of plaintiffs is a citizen of a State different from any defendant.” Id.
[210]. The Act provides an abstention provision that states the following:
(3) The district court shall abstain from hearing a civil action described under paragraph (2) if -
(A)(i) the substantial majority of the members of the proposed plaintiff class are citizens of a single State of which
the primary defendants are also citizens; and
(ii) the claims asserted will be governed primarily by the laws of that State; or

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(B) the primary defendants are States, State officials, or other governmental entities against whom the district court
may be foreclosed from ordering relief.
S. 353, § 3.
[211]. Id.
[212]. Id. (emphasis added).
[213]. The Snyder Court established that class plaintiffs would not be able to aggregate their separate and distinct
claims to satisfy the jurisdictional amount in controversy requirement. Snyder v. Harris, 394 U.S. 332, 338 (1969).
[214]. The Zahn Court established that any class plaintiff that did not satisfy the jurisdictional amount in
controversy must be dismissed from the action, even if one or more members of the class satisfied the jurisdictional
requirement. Zahn v. International Paper Co., 414 U.S. 291 301 (1973).
[215]. This Act requires that the aggregate claims of the class exceed $1,000,000 before jurisdiction is conferred.
H.R. 1875, 106th Cong. § 3 (1999).
[216]. The district court can exercise jurisdiction over claims with 100 or more plaintiffs in a class. Id.
[217]. See supra Part II.C.
[218]. S. 353, 106th Cong. § 4 (1999).
[219]. Id.
[220]. Brief for Respondent at *i, Free v. Abbott Lab., Inc., 2000 WL 177169 (No. 99-391).
[221]. See supra Part II.D.
[222]. This is precisely what happened in Abbott Laboratories. The defendants successfully removed the class
action from state court because the named plaintiffs satisfied the jurisdictional amount in controversy requirement.
51 F.3d 524, 529 (5th Cir. 1995).
[223]. Brief for Respondent at *21, Abbott Lab. (No. 99-391). The two requirements for diversity jurisdiction to
attach are that the matter in controversy exceed $75,000, exclusive of interest and costs, and there be complete
diversity between the parties. See 28 U.S.C. § 1332 (1994).
[224]. 255 U.S. 356 (1921).
[225]. Cauble, 255 U.S. at 366.
[226]. Zahn, 414 U.S. at 308-09 (Brennan, J., dissenting).
[227]. Id. at 301.
[228]. Tasca, supra note 104, at 442.
[229]. Afshin Ashourzadeh, Supplemental Jurisdiction in Class Action Lawsuits: Recovering Supplemental
Jurisdiction From the Jaws of Aggregation, 26 SW. U. L. REV. 89, 130-31 (1996).

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[230]. Zahn, 414 U.S. at 301.
[231]. Ashourzadeh, supra note 229, at 130-31.
[232]. Crawley, supra note 97, at 1055.
[233]. Id.
[234]. Id.
[235]. Id.
[236]. Id.
[237]. Crawley, supra note 97, at 1055.
[238]. Patricia M. Noonan, Note, State Personal Jurisdictional Requirements and the Non-Aggregation Rule in
Class Action, 1987 U. ILL. L. REV. 445, 454.
[239]. Crawley, supra note 97, at 1055.
[240]. Id.
[241]. Id. One commentator succinctly described this phenomenon in this fashion:
Thus, unnamed class members may face the real possibility of being left without a forum if the named plaintiffs
choose to stay in federal court rather than refile in state court. Such a scenario is fertile breeding ground for wide-
scale penny-ante theft. Theft on a grand scale can be achieved by stealing nickels and dimes from a large number of
people who would have little incentive to sue because of the high costs of litigation.
Ashourzadeh, supra note 229, at 128-29.
[242]. The analysis that follows assumes that either bill is enacted by Congress.
[243]. See supra Part III.B-C.
[244]. Id.
[245]. Summary of Key Points Testimony of Prof. E. Donald Elliot Before the Subcomm. on Admin. Oversight
and the Courts of the Senate Committee on the Judiciary Concerning S. 353, The Class Action Fairness Act of 1999,
Federal Document Clearing House, May 4, 1999, available in 1999 WL 273299, U.S. Testimony Database, at Part
II.A.
[246]. U.S. CONST. art. III, § 2, cl. 1.
[247]. The Class Action Fairness Act of 1999: Hearings on S. 353 Before the Subcomm. on Admin. Oversight and
the Courts of the Senate Comm. on the Judiciary, 106th Cong. 99 (1999) (statement by Professor E. Donald Elliott).
See also Newman-Green, Inc. v. Alfonzo-Larrian, 490 U.S. 826, 829 n.1 (1989) (explaining that the complete
diversity requirement is based on the diversity statute, not Article III of the Constitution).
[248]. See generally ERWIN CHEMERINSKY, FEDERAL JURISDICTION § 5.3.2, at 286 (1982) and
CHARLES ALAN WRIGHT, LAW OF FEDERAL COURTS, ch. 4, § 23 (4th ed. 1983).

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[249]. CHEMERINSKY, supra note 248, § 5.3.2.
[250]. According to Professor Elliott, the use of state judicial processes to discriminate against out-of-state
businesses was regarded as a “great threat to the growth and economic health of the nation.” Hearings on S. 353,
supra note 247, at 100.
[251]. Chief Justice Marshall explained this rationale for diversity jurisdiction:
However true the fact may be, that the tribunals of the states will administer justice as impartially as those of the
nation, to parties of every description, it is not less true, that the constitution itself either entertains apprehensions on
this subject, or views with such indulgence the possible fears and apprehensions of suitors, that it has established
national tribunals for the decision of controversies between aliens and a citizen, or between citizens of different
states.
Bank of United States v. Deveaux, 9 U.S. (5 Cranch) 61, 87 (1809).
[252]. Interstate Class Action Jurisdiction Act of 1999: Hearings on H.R. 1875 Before the House Comm. on the
Judiciary, 106th Cong. 50 (1999) (statement of the Honorable Griffin B. Bell).
[253]. Cf. The Class Action Fairness Act of 1999: Hearings on S. 353 Before the Subcomm. on Admin. Oversight
and the Courts of the Senate Comm. on the Judiciary, Federal Document Clearing House, May 4, 1999, available in
1999 WL 273272, U.S. Testimony Database, at Part II (statement of Stephen G. Morrison). The Department of
Justice does not support this assertion. According to Assistant Attorney General Eleanor D. Acheson, the
Department is “concerned about the potential impact of this legislation on the Federal judiciary at a time when the
Chief Justice of the United States has expressed serious concern about the marked expansion of caseloads of Federal
courts.” Class Action Fairness Act of 1999: Hearings on S. 353 Before Subcomm. on Admin. Oversight and the
Courts of the Senate Comm. on the Judiciary, Federal Document Clearing House, May 4, 1999, available in 1999
WL 273276, U.S. Testimony Database, at Parts III & IV. (statement of Eleanor D. Acheson, Assistant Attorney
General, Dep’t of Justice).
[254]. Hearings on S. 353 (statement of Morrison), supra note 253, at Part II.
[255]. Id.
[256]. 28 U.S.C. § 1407 (1994) provides in relevant part: “When civil actions involving one or more common
questions of fact are pending in different districts, such actions may be transferred to any district for coordinated or
consolidated pretrial proceedings.”
[257]. Interstate Class Action Jurisdiction Act of 1999: Hearings on H.R. 1875 Before the House Comm. on the
Judiciary, 106th Cong. 51 (1999) (statement of the Honorable Griffin B. Bell).
[258]. Id.
[259]. The Class Action Fairness Act of 1999: Hearings on S. 353 Before the Subcomm. on Admin. Oversight and
the Courts of the Senate Comm. on the Judiciary, 106th Cong. 113 (1999) (statement of Stephen G. Morrison).
[260]. See Free v. Abbott Lab., Inc., 529 U.S. 333 (2000).