Filed 11/21/14 opinion after granting rehearing on our own motion
                        CERTIFIED FOR PARTIAL PUBLICATION*

             IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                 SECOND APPELLATE DISTRICT

                                            DIVISION THREE


BOBBIE IZELL et al.,                                                B245085

        Plaintiffs and Respondents,                                 (Los Angeles County
                                                                    Super. Ct. No. BC469931)
        v.

UNION CARBIDE CORPORATION,

        Defendant and Appellant.




        APPEAL from judgment of the Superior Court of Los Angeles County,
Steven J. Kleifeld, Judge. Affirmed.

        Mayer Brown LLP, Michele Odorizzi; McKenna, Long & Aldridge LLP and
David K. Schultz for Defendant and Appellant.

        Baron & Budd, P.C., John Langdoc, Denyse Clancy and Christine Tamer for
Plaintiffs and Respondents.

                                        _____________________




*
        Pursuant to California Rules of Court, rules 8.1100 and 8.1110, this opinion is
certified for publication with the exception of section 2 of the Discussion.
                                    INTRODUCTION
       Union Carbide Corporation appeals from a judgment entered in favor of Plaintiffs
Bobbie Izell and Helen Izell on claims for personal injuries and loss of consortium
stemming from Mr. Izell’s alleged exposure to Union Carbide asbestos and subsequent
diagnosis with mesothelioma. After a four-week trial the jury returned special verdicts
finding Union Carbide 65 percent comparatively at fault for Plaintiffs’ injuries and
awarding Plaintiffs $30 million in compensatory damages plus $18 million in punitive
damages against Union Carbide. By remittitur, which Plaintiffs accepted, the trial court
reduced the compensatory damage award to $6 million, but declined to disturb the
punitive damages.
       On appeal, Union Carbide contends the evidence was insufficient to support the
liability finding, apportionment of comparative fault, and the remitted compensatory
damage award. Union Carbide also challenges the punitive damage award as excessive.
We conclude the evidence was sufficient to support the verdict, as well as the
compensatory and punitive damage awards. Accordingly, we affirm.
                    FACTS AND PROCEDURAL BACKGROUND
       Union Carbide purchased an asbestos mine near Coalinga, California in 1963.
Until 1985, Union Carbide supplied asbestos to companies that manufactured and
marketed products for the construction industry.
       Mr. Izell owned a construction business that built approximately 200 homes in
southern California from 1964 until 1994. Mr. Izell did not work as a laborer or
supervisor on these projects, but he regularly visited and walked through the construction
jobsites. All the homes were constructed with drywall interiors. Mr. Izell’s workers
applied various brands of premixed joint compound to cover nail heads, fill the seams
between drywall boards, and fill corner sections of drywall. Once the joint compound
dried, the workers sanded it one to three times, usually with sandpaper on a long pole,
then by hand. Mr. Izell often was present when his workers sanded the joint compound.
He described the resulting dust as a “little fog in the air.” He also recalled breathing dust
that was disturbed when his workers swept the excess joint compound from the floor.


                                              2
       Mr. Izell’s workers also used gun plastic cement to apply stucco to the homes’
exterior. Mr. Izell was present when his workers tore open bags of gun plastic cement,
and he breathed the dust from those products as well.
       Mr. Izell recalled seeing four different brands of joint compound on his jobsites
and two brands of gun plastic cement. Of the joint compound brands, Mr. Izell believed
Georgia Pacific was the most common brand because it was the “dominate seller in those
days,” followed by Hamilton Red Dot, Kaiser Gypsum, and Kelly-Moore’s Paco brand.
Mr. Izell also saw his workers use Riverside and Colton gun plastic cement. At varying
times from 1970 to 1978, Union Carbide supplied asbestos to each of the four joint
compound manufacturers and to Riverside for use in its gun plastic cement.
       In July 2011, at the age of 85, Mr. Izell was diagnosed with mesothelioma.
Initially, Plaintiffs sued more than 20 defendants who were allegedly responsible for the
asbestos-containing products to which he claimed he was exposed. By trial, only five
defendants remained, including Union Carbide, one joint compound manufacturer
(Kaiser Gypsum), one stucco manufacturer (La Habra) and two gun plastic cement
manufacturers (Colton and Riverside).
       After hearing percipient witness and expert medical and scientific testimony, the
jury returned a special verdict finding all defendants liable on all theories of strict product
liability and negligence. The jury awarded Plaintiffs a total of $30 million in
compensatory damages, consisting of $5 million in past and $10 million in future non-
economic damages to Mr. Izell and $5 million in past and $10 million in future loss of
consortium damages to Mrs. Izell.
       The special verdict form also asked the jury to apportion comparative fault among
the defendants, Mr. Izell, and six other entities, consisting of three joint compound
manufacturers (Georgia Pacific, Hamilton, and Kelly-Moore), two asbestos suppliers
(Carey Canadian and Johns-Manville), and an unnamed asbestos-cement pipe
manufacturer. The jury apportioned 95 percent of the fault to the five defendants,
assigning 65 percent to Union Carbide, 20 percent to Kaiser Gypsum, and a total of 10
percent to the three stucco and gun plastic cement manufacturers. The jury allocated the


                                              3
remaining 5 percent to the non-defendant joint compound manufacturers and asbestos
suppliers, finding each responsible for a 1 percent share of the comparative fault. No
fault was apportioned to Mr. Izell or the asbestos-cement pipe manufacturer.
       The jury also found Union Carbide and Kaiser Gypsum acted with “malice,
oppression or fraud.” (Boldface omitted.) Kaiser Gypsum settled before the jury was
asked to decide the amount of punitive damages.
       For the punitive damage phase, Union Carbide stipulated that it had a present net
worth of $4.2 billion. The court instructed the jury that it should consider a variety of
factors in deciding the amount, if any, of punitive damages to award, including a
“reasonable relationship between the amount of punitive damages” and the harm to Mr.
Izell. The jury also was instructed that it could consider evidence of harm caused to
others for purposes of assessing reprehensibility, but not for purposes of “punishing the
defendant directly for harm caused to others.”
       In his argument to the jury, Plaintiffs’ counsel commented there was probably no
amount of money that could deter Union Carbide, given its $4.2 billion net worth. Thus,
counsel suggested the jury award something in the range of $8.6 million ($100,000 for
each year of Mr. Izell’s life) and $18 million ($1 million for each year Union Carbide
sold asbestos after it knew its product caused cancer). The jury returned a verdict
awarding Plaintiffs $18 million in punitive damages.
       Union Carbide moved for judgment notwithstanding the verdict (JNOV) and a
new trial on all issues, including punitive damages. The trial court denied the JNOV
motion, but conditionally granted a new trial “on the ground of excessive compensatory
damages only,” unless Plaintiffs consented to a remittitur reducing the compensatory
damage award from $30 million to $6 million. The court declined to disturb the punitive
damage award, concluding Union Carbide’s stipulated $4.2 billion net worth and the
evidence concerning the reprehensibility of its conduct supported the amount of the
award, notwithstanding the substantial reduction in compensatory damages. Plaintiffs
accepted the remittitur and the court entered judgment against Union Carbide.



                                              4
                                       DISCUSSION
       1.     Substantial Evidence Supports the Jury’s Causation Finding
       “In the context of a cause of action for asbestos-related latent injuries, the plaintiff
must first establish some threshold exposure to the defendant’s defective asbestos-
containing products, and must further establish in reasonable medical probability that a
particular exposure or series of exposures was a ‘legal cause’ of his injury, i.e., a
substantial factor in bringing about the injury. . . . [T]he plaintiff may meet the burden of
proving that exposure to defendant’s product was a substantial factor causing the illness
by showing that in reasonable medical probability it was a substantial factor contributing
to the plaintiff’s or decedent’s risk of developing cancer.” (Rutherford v. Owens-Illinois,
Inc. (1997) 16 Cal.4th 953, 982-983, fn. omitted (Rutherford).) We review a jury’s
causation finding for substantial evidence. (Jones v. John Crane, Inc. (2005)
132 Cal.App.4th 990, 997-999.)
       Union Carbide contends the jury necessarily speculated in finding Mr. Izell was
exposed to Union Carbide asbestos and that the exposure contributed to his risk of
developing mesothelioma. We conclude the evidence of causation was sufficient.
              a.     Substantial evidence supports the finding that Mr. Izell was exposed
                     to asbestos supplied by Union Carbide
       “A threshold issue in asbestos litigation is exposure to the defendant’s product.”
(McGonnell v. Kaiser Gypsum Co. (2002) 98 Cal.App.4th 1098, 1103 (McGonnell);
Rutherford, supra, 16 Cal.4th at p. 982.) It is axiomatic that, “[i]f there has been no
exposure, there is no causation.” (McGonnell, at p. 1103.) Further, “[t]he mere
‘possibility’ of exposure” is insufficient to establish causation. (Andrews v. Foster
Wheeler LLC (2006) 138 Cal.App.4th 96, 108; Dumin v. Owens–Corning Fiberglas
Corp. (1994) 28 Cal.App.4th 650, 654-656 (Dumin).) “[P]roof that raises mere
speculation, suspicion, surmise, guess or conjecture is not enough to sustain [the
plaintiff’s] burden” of persuasion. (Ulwelling v. Crown Coach Corp. (1962)
206 Cal.App.2d 96, 104-105.)



                                               5
       In McGonnell, the court affirmed summary judgment in favor of the defendant,
concluding the plaintiffs’ limited circumstantial evidence was insufficient to establish
more than the mere possibility that the decedent had been exposed to the defendant’s
asbestos-containing joint compound. In opposing summary judgment, the plaintiffs in
McGonnell offered “invoices showing the sale of [the defendant’s] joint compound to a
contractor in 1972,” which indicated the materials were purchased for a project at the
decedent’s workplace. (McGonnell, supra, 98 Cal.App.4th at p. 1105.) Based on this
evidence, the McGonnell court acknowledged it was “at least within the realm of
possibility” that the decedent “encountered a wall with [the defendant’s] [asbestos-
containing] joint compound during his 24 years of employment.” (Ibid.) However, the
court held this possibility alone was insufficient to create a triable issue of fact, because a
finding of exposure would necessarily require “speculation that at some time [the
decedent] might have cut into a wall that might have contained [the defendant’s] joint
compound that might have contained asbestos.” (Ibid.) The McGonnell court concluded
the evidence, viewed in the light most favorable to the plaintiffs, “create[d] only ‘a
dwindling stream of probabilities that narrow into conjecture,’ ” and thus summary
judgment was properly granted. (Ibid.; accord Dumin, supra, 28 Cal.App.4th at p. 656
[affirming directed verdict where defendant’s product “was only one of many asbestos
insulation products used at the shipyard,” such that a conclusion that plaintiff was
exposed to defendant’s product “would require a stream of conjecture and surmise”];
Whitmire v. Ingersoll-Rand Co. (2010) 184 Cal.App.4th 1078, 1094 [evidence that
defendant specified asbestos insulation at plant in the 1950’s was insufficient to create
triable issue where plaintiffs submitted no evidence that “the asbestos-containing
materials installed in the early 1950’s were more likely than not still present when
[decedent] was employed there” in 1961].)
       Union Carbide contends the evidence in this case, as in McGonnell, established
only the mere possibility that Mr. Izell was exposed to Union Carbide asbestos at some
unspecified time during the 20-year period in question. In support of this contention,
Union Carbide cites evidence indicating there were multiple asbestos suppliers for the


                                               6
joint compound and gun plastic cement products that Mr. Izell remembers encountering
at his jobsites. Thus, while Union Carbide concedes it supplied asbestos that could have
been in one or all of these products, it argues the jury necessarily speculated in
concluding Mr. Izell was more likely than not exposed to Union Carbide asbestos, as
opposed to asbestos from one of the other suppliers.
       As we shall explain, though we agree the evidence allowed only speculation with
respect to the products manufactured by Kelly-Moore, Georgia Pacific, Kaiser Gypsum
and Riverside, with respect to the Hamilton joint compound, we conclude the evidence
was sufficient to permit a reasonable inference that Mr. Izell was exposed to Union
Carbide asbestos.
                     (i)    Kelly-Moore
       At trial, Plaintiffs presented a collection of invoices showing Union Carbide
supplied Kelly-Moore’s San Carlos, California plant with several hundred thousand
pounds of raw asbestos from 1971 to 1976. However, the uncontradicted evidence
established that Kelly-Moore had multiple asbestos suppliers during this time period, of
which Union Carbide was only a minor supplier. Specifically, a former Kelly-Moore
employee offered undisputed testimony that Union Carbide supplied only 8 percent of the
asbestos Kelly-Moore purchased for its Paco Textures division—the division that
manufactured the company’s asbestos containing products—while Carey Canadian
supplied 72 percent and Johns-Manville supplied 20 percent.1




1
       Without disputing the numbers, Plaintiffs note these percentages are based on
Kelly-Moore’s “nationwide” asbestos purchases. The portion of the record cited by
Plaintiffs says nothing about “nationwide” purchases. But even if the record supported
Plaintiffs’ assertion, this fact alone would not supplant the need for speculation, inasmuch
as Plaintiffs, who bore the burden of proof on exposure, failed to present evidence
showing how Kelly-Moore used or geographically distributed its various suppliers’
asbestos.


                                              7
       Because the invoices show Union Carbide supplied asbestos to Kelly-Moore’s San
Carlos, California plant, Plaintiffs argue a reasonable inference, beyond speculation, can
be drawn that joint compound containing Union Carbide asbestos made its way to one of
the southern California jobsites where Mr. Izell inhaled dust from a Kelly-Moore product.
We disagree. In view of the uncontested evidence that Kelly-Moore had multiple
asbestos suppliers during the relevant time period, the fact that Union Carbide supplied
asbestos to a plant in California does not remove the issue from the realm of speculation.
As Union Carbide points out, Plaintiffs failed to show what percentage of the asbestos
supplied to Kelly-Moore’s San Carlos plant came from Union Carbide, as opposed to
some other supplier, let alone that Kelly-Moore’s Paco Textures division had other plants
outside of San Carlos, California. Moreover, even if supplying Kelly-Moore’s San
Carlos plant enhanced the possibility that Union Carbide asbestos made its way to one of
Mr. Izell’s jobsites, this still leaves speculation about whether Mr. Izell was present when
his workers sanded joint compound that might have contained Union Carbide asbestos, as
opposed to asbestos from one of Kelly-Moore’s other suppliers. (McGonnell, supra,
98 Cal.App.4th at p. 1105.)
                     (ii)     Georgia Pacific
       Mr. Izell testified that he inhaled dust from Georgia Pacific Ready-Mix joint
compound on jobsites in Southern California during the mid to late 1970’s. He identified
the Georgia Pacific joint compound as “a pasty thing”—i.e., the premixed compound—
that came in five gallon buckets weighing 62.5 pounds. Plaintiffs contend the jury could
have reasonably inferred that Mr. Izell was more likely than not exposed to Union
Carbide asbestos from Georgia Pacific joint compound because the evidence showed that
all Ready-Mix manufactured at Georgia Pacific’s Acme, Texas plant between September
1971 and May 1977 contained Union Carbide asbestos. This assertion would have merit
if the joint compound from the Texas plant had been the only premixed product that
Georgia Pacific sold in California under the Ready-Mix brand during the relevant time
period. The undisputed evidence established it was not.



                                                8
       Because Ready-Mix was “33 percent water” and “the freight on the water would
make it uncompetitive” for Georgia Pacific to ship the product from Texas to California,
the undisputed evidence showed that from 1968 to 1971, Georgia Pacific had a “formal
rebranding agreement in which a Paco [Kelly-Moore] facility in California made . . . joint
compounds and cements at their facility and put them in Georgia Pacific containers.”
After the rebranding agreement expired in 1971, Georgia Pacific’s “individual
distribution centers” in California were allowed to “purchase [rebranded Ready-Mix]
from anybody they wanted,” including Kelly-Moore. According to the uncontested
testimony of a former Georgia Pacific employee, the reason for this distribution
arrangement was the same as had motivated the former rebranding agreement—Georgia
Pacific “couldn’t get the product economically to California.”
       Plaintiffs argue the evidence was in conflict as to whether Ready-Mix joint
compound from Georgia Pacific’s Texas plant made its way to the Southern California
market. They stress that, on appeal, this conflict must be resolved in favor of the jury’s
verdict.2 However, even if we assume a genuine conflict exists, when viewed in the light
most favorable to the judgment, the evidence still required the jury to speculate as to
whether Mr. Izell might have inhaled dust from Ready-Mix joint compound
manufactured at Georgia Pacific’s Texas plant (where Union Carbide asbestos was used),
or Kelly-Moore’s California facility (where asbestos from multiple suppliers was used),


2
       To support this assertion, Plaintiffs rely exclusively on the testimony of their
materials expert, Dr. William Longo, who claimed “I don’t have the document in front of
me, but California was one of the places it [Ready-Mix from the Texas plant] [was]
sold.” Dr. Longo admitted he lacked personal knowledge on the issue, and Plaintiffs did
not offer the unidentified document he mentioned into evidence. Thus, were we to
resolve the issue on this basis, we would conclude Dr. Longo’s testimony is entitled to no
weight and cannot alone support the judgment. (See Roddenberry v. Roddenberry (1996)
44 Cal.App.4th 634, 651 [“Expert opinion testimony constitutes substantial evidence only
if based on conclusions or assumptions supported by evidence in the record”]; Casey v.
Perini Corp. (2012) 206 Cal.App.4th 1222, 1234 [expert declaration that did “nothing
more than suggest the possibility of [asbestos] exposure without any basis in fact”
properly excluded].)


                                             9
or some other joint compound manufacturer that contracted with one of Georgia Pacific’s
individual distribution centers during the period. Absent a minimum evidentiary showing
that Ready-Mix joint compound manufactured at Georgia Pacific’s Texas plant was used
on one of Mr. Izell’s jobsites, the jury could only speculate as to whether Mr. Izell
inhaled dust containing Union Carbide asbestos. (See Dumin, supra, 28 Cal.App.4th at
p. 656.)
                     (iii)   Kaiser Gypsum and Riverside
       For the reasons already discussed with respect to Kelly-Moore and Georgia
Pacific, we also conclude the evidence was insufficient to support anything more than
speculation that Mr. Izell was exposed to Union Carbide asbestos from Kaiser Gypsum
joint compound or Riverside gun plastic cement.
       With respect to Kaiser Gypsum, the undisputed evidence showed that Kaiser
Gypsum purchased asbestos from “many different suppliers,” of which Carey Canadian
and Johns-Manville were the two largest. As they did with Kelly-Moore, Plaintiffs
offered Union Carbide invoices showing that it supplied several hundred thousand
pounds of raw asbestos to a Kaiser Gypsum plant in southern California between 1970 to
1975—part of the period during which Mr. Izell testified he inhaled dust from Kaiser
Gypsum joint compound. Plaintiffs, however, failed to offer evidence establishing that
Union Carbide was the exclusive asbestos supplier for this plant, let alone evidence
showing that joint compound from this plant found its way to one of Mr. Izell’s jobsites.
       The evidence was even more speculative with respect to Riverside gun plastic
cement. The parties stipulated that Union Carbide was a minority supplier to Riverside
during only one year—1978—and Mr. Izell testified he saw workers dump Riverside gun
plastic cement into a mixer in the “late ‘70s.” Even if we accept as a reasonable
inference from this testimony that Mr. Izell inhaled dust from Riverside gun plastic
cement in 1978, there still is no evidence establishing this dust contained asbestos from
Riverside’s “minority supplier”—Union Carbide—as opposed to any of its larger
suppliers. Any finding of exposure based on this evidence would have been speculative.
(Dumin, supra, 28 Cal.App.4th at p. 656.)


                                             10
                     (iv)   Hamilton
       In contrast to the foregoing, the evidence adduced with respect to Hamilton
supported a reasonable inference that Union Carbide was Hamilton’s exclusive asbestos
supplier during the time period when Mr. Izell inhaled dust from Hamilton Red Dot joint
compound. Hamilton’s president, Willis Hamilton, testified that, from the 1960’s
through 1977, all of Hamilton’s taping and embedding joint compound contained
asbestos. Mr. Hamilton also affirmed that, during this same period, the asbestos used to
make Hamilton’s joint compound was “all Union Carbide.” (Italics added.)
       As for exposure, Mr. Izell testified that, apart from Georgia Pacific, which was the
dominate joint compound seller at that time, he most frequently encountered “Hamilton
Red Dot” joint compound on his jobsites. Hamilton described its Red Dot product as an
“ ‘All Purpose Joint System.’ ” Mr. Izell testified that his workers used the joint
compound to fill in seams between sections of drywall, cover nail heads, and fill in
corner sections. When the joint compound dried, the workers sanded it, dispersing a
“fog” of dust into the air. Mr. Izell testified that he inhaled dust from Hamilton Red Dot
joint compound during the mid to late 1970’s. Coupled with Mr. Hamilton’s testimony,
this evidence was sufficient to support a reasonable inference that Mr. Izell more likely
than not inhaled Union Carbide asbestos.
       Union Carbide argues Mr. Hamilton’s “memory was too faulty” to credit his
testimony that Union Carbide was ever Hamilton’s exclusive asbestos supplier. In
support of the contention, Union Carbide cites its own records as evidence that it did not
start selling asbestos to Hamilton until 1974, which it argues undisputedly refutes Mr.
Hamilton’s testimony that his company used “all Union Carbide” asbestos in its “joint
taping compound from the 1960’s through [the] 1970’s.” (Italics added.) Union Carbide
also points out that when Mr. Hamilton was asked about these records, he conceded he
could not recall when Hamilton started purchasing asbestos from Union Carbide.
       Though the foregoing discrepancies suggest that Mr. Hamilton’s memory was not
perfect, Union Carbide’s objection concerns only his credibility and the weight of his
testimony—not the sufficiency of the evidence. (See Wright v. Best (1942) 19 Cal.2d


                                             11
368, 379-380 [“inconsistencies” evidencing “a faulty memory . . . do not go to the
admissibility or sufficiency of the evidence, but rather to the weight of the testimony and
the credibility of the witnesses, matters wholly within the exclusive province of the trier
of fact, whose determination upon them will not be disturbed by an appellate court”].)
While the jury could have entirely disregarded Mr. Hamilton’s testimony based on these
inconsistencies, it also could reasonably have inferred that he was confused about the
start date, but correct in his recollection that Union Carbide became his company’s
exclusive supplier once it started selling asbestos to Hamilton.3
       Union Carbide also contends it is speculative whether Mr. Izell ever inhaled
asbestos from a Hamilton product, because the evidence showed that, in addition to its
asbestos-containing joint compound, Hamilton also sold a drywall topping compound
that did not contain asbestos. The record does not support this contention. Though there
was evidence of Hamilton’s asbestos-free topping compound, there was no evidence that
it ever was used on any of Mr. Izell’s jobsites. Mr. Izell’s testimony exclusively
concerned Hamilton’s Red Dot all purpose joint compound, which his workers used to
fill in seams, cover nail heads, and fill corner sections of drywall—functions that cannot
be performed with a topping compound due to its lower adhesive content.4 Mr. Izell
never mentioned Hamilton’s topping compound, and Union Carbide made no attempt to
elicit this testimony from him.




3
       For the same reason, Mr. Hamilton’s testimony that his company had other
asbestos suppliers “from the 1960’s and 1970’s” did not compel a finding that Union
Carbide never became Hamilton’s exclusive supplier. The jury could have concluded
that Hamilton had other suppliers in the 1960’s and 1970’s, but those relationships ended
once Hamilton began purchasing asbestos from Union Carbide in 1974—just around the
mid to late 1970’s when Mr. Izell testified he inhaled dust from Hamilton Red Dot joint
compound.
4
       In contrast to a joint compound, which must be used to fill in seams and cover nail
heads, the evidence showed that a topping compound has less adhesive. Thus, it is
customarily used on top of joint compound for finishing, as it is easier to sand.


                                             12
       Viewed in the light most favorable to the judgment, the evidence was sufficient to
support a finding that Mr. Izell was exposed to Union Carbide asbestos when he inhaled
dust from Hamilton Red Dot joint compound.
              b.     Substantial evidence supports the finding that Union Carbide’s
                     asbestos was a substantial factor in increasing Mr. Izell’s risk of
                     developing mesothelioma
       In addition to establishing “some threshold exposure to the defendant’s defective
asbestos-containing products,” a plaintiff in an asbestos-related cancer case “must further
establish in reasonable medical probability that a particular exposure or series of
exposures was a ‘legal cause’ of his injury, i.e., a substantial factor in bringing about the
injury.” (Rutherford, supra, 16 Cal.4th at p. 982.) However, “given the long latency
period of asbestos-related disease, and the occupational settings that commonly exposed
the worker to multiple forms and brands of asbestos products with varying degrees of
toxicity,” our Supreme Court has held that a plaintiff “need not prove with medical
exactitude that fibers from a particular defendant’s asbestos-containing products were
those, or among those, that actually began the cellular process of malignancy.” (Id. at
pp. 957-958.) Rather, a “plaintiff may meet the burden of proving that exposure to
defendant’s product was a substantial factor causing the illness by showing that in
reasonable medical probability it was a substantial factor contributing to the plaintiff’s or
decedent’s risk of developing cancer.” (Id. at pp. 982-983.)
       As our Supreme Court explained in Rutherford, “[t]he substantial factor standard
is a relatively broad one, requiring only that the contribution of the individual cause be
more than negligible or theoretical.” (Rutherford, supra, 16 Cal.4th at p. 978.) Thus,
“[a] plaintiff who suffers from an asbestos-related cancer and has proven exposure to
inhalable asbestos fibers from several products will not, generally speaking, face
insuperable difficulties in convincing a jury that a particular one of these product
exposures, or several of them, were substantial factors in creating the risk of asbestos
disease or latent injury.” (Ibid.) Under Rutherford, a plaintiff is free to “establish that his
particular asbestos disease is cumulative in nature, with many separate exposures each


                                              13
having constituted a ‘substantial factor’ [citation] that contributed to his risk of injury,”
and “a defendant cannot escape liability simply because it cannot be determined with
medical exactitude the precise contribution that exposure to fibers from defendant’s
products made to plaintiff’s ultimate contraction of asbestos-related disease . . . .” (Id. at
p. 958.)
       Union Carbide contends Plaintiffs’ medical evidence was inadequate to establish
legal causation under the Rutherford test. In particular, Union Carbide emphasizes the
following testimony by Plaintiffs’ medical expert, Dr. Eugene Mark, which it claims
improperly conflates a threshold showing of exposure with proof of legal causation:
              Question: “If [Mr. Izell] was exposed to asbestos supplied by
              Union Carbide that went into some of these various asbestos-
              containing joint compounds, would the Union Carbide asbestos . . .
              have been a contributing cause of his mesothelioma as well?”
              Answer: “All of the asbestos together contributes to cause
              mesothelioma. The asbestos fibers don’t come into the body labeled
              Union Carbide. They come in as asbestos fibers with certain
              physical, chemical, and biological principles. And those asbestos
              fibers, all of them together in total, contributed to cause this
              disease.” (Italics added.)
       Union Carbide asserts the foregoing testimony cannot be squared with
Rutherford’s two-step causation test. Under Dr. Mark’s approach, Union Carbide argues,
“it is only the first step—proof of exposure—that matters, because every exposure
contributes to the overall increase in risk”; thus, “[t]he second step would be wholly
unnecessary, since proof of exposure automatically equates with proof that the exposure
constituted a ‘substantial factor.’ ” This argument does not withstand scrutiny.
       To begin, the purported fallacy Union Carbide claims—that the “second step [of
the Rutherford test] would be wholly unnecessary” under Dr. Mark’s approach—
disregards the fact that Dr. Mark’s expert medical testimony is the evidence that satisfies
Rutherford’s second step. In other words, proof of exposure establishes legal causation


                                              14
only if the jury accepts Dr. Mark’s expert medical testimony that all exposures constitute
a substantial factor contributing to the risk of developing mesothelioma. This is not
inconsistent with Rutherford’s two-step causation test. Nothing in Rutherford precludes a
plaintiff from establishing legal causation through opinion testimony by a competent
medical expert to the effect that every exposure to respirable asbestos contributes to the
risk of developing mesothelioma. On the contrary, Rutherford acknowledges the
scientific debate between the “every exposure” and “insignificant exposure” camps, and
recognizes that the conflict is one for the jury to resolve. (See Rutherford, supra,
16 Cal.4th at pp. 984, 985 [discussing jury’s resolution of conflict between defense expert
opinion that “a very light or brief exposure could be considered ‘insignificant or at least
nearly so’ ” in assessing increased risk of cancer and plaintiffs’ expert’s contrary opinion
that “each exposure, even a relatively small one, contributed to the occupational ‘dose’
and hence to the risk of cancer”; noting jury “rejected defendant’s argument that such a
small contribution should be considered insubstantial”].)5
       In any event, Union Carbide’s argument ignores the distinction Dr. Mark drew
between significant exposures that contributed to Mr. Izell’s risk of contracting the
disease and “trivial exposures” that would not have been substantial factors increasing his
risk. In particular, Dr. Mark testified that asbestos fibers had to be “respirable and put
into the air” and Mr. Izell needed to have “breathed it in” for the exposure to constitute a
“substantial contributing factor” toward his mesothelioma. In contrast, Dr. Mark testified
that if Mr. Izell had been exposed to asbestos in a “wet slurry” this would be a “trivial
exposure, and I would not be able to say that that was a contributing factor.” Contrary to
Union Carbide’s characterization, Dr. Mark did not opine that every exposure constituted


5
       Similar to the defense expert in Rutherford, Union Carbide’s expert testified that
some asbestos exposures, such as earlier ones, create a greater risk of developing
mesothelioma, while exposure to Union Carbide’s chrysotile asbestos creates no risk at
all. As in Rutherford, the jury here could resolve the conflict between the competing
expert opinions and conclude, based on Dr. Mark’s testimony, that even a single exposure
to respirable asbestos fibers was a substantial factor in increasing Mr. Izell’s risk of
developing mesothelioma.

                                             15
a substantial factor. Rather, he testified that only those exposures in which the asbestos-
containing product was “dry enough so that asbestos fibers could be released into the
air,” and the asbestos became “airborne” and Mr. Izell “breathed it in” would be
significant enough to contribute to his risk of contracting cancer.
       As discussed above, Plaintiffs presented sufficient evidence for the jury to
conclude that Mr. Izell was exposed to Union Carbide asbestos contained in Hamilton
Red Dot joint compound. Mr. Izell testified that he not only saw his workers apply
Hamilton Red Dot in its wet form, but he also watched them sand the dried product, and
inhaled the resulting dust when it became airborne. Viewed in the light most favorable to
the judgment, this evidence, coupled with Dr. Mark’s expert testimony, is sufficient to
establish in reasonable medical probability that exposure to Union Carbide asbestos was a
substantial factor contributing to Mr. Izell’s risk of contracting mesothelioma. (See
Hernandez v. Amcord, Inc. (2013) 215 Cal.App.4th 659, 676 [testimony regarding “dust
which would become airborne and settle on [the plaintiff’s] face” and expert testimony
“suggesting that if an individual is exposed to many different asbestos-containing
products, each of those products would contribute to an increased risk of asbestos-related
disease, as long as the asbestos was inhaled and retained in the worker’s body” held
sufficient to establish legal causation under Rutherford].)6




6
       Indeed, the evidence in this case, including Dr. Mark’s expert medical testimony,
was substantively similar to the evidence presented at trial in Rutherford. In Rutherford,
the plaintiffs’ causation showing included factual evidence of the decedent’s exposure to
the defendant’s product, expert testimony from an epidemiologist who opined as to the
cause of mesothelioma generally, and expert medical testimony on the relationship
between asbestos exposure and lung cancer. Specifically, the plaintiffs’ medical expert,
like Dr. Mark, offered an opinion “to the effect that each exposure, even a relatively
small one, contributed to the occupational ‘dose’ and hence to the risk of cancer.”
(Rutherford, supra, 16 Cal.4th at p. 984.) The Supreme Court held this evidence was
sufficient for a jury to determine legal causation. (Id. at p. 985.)

                                             16
       2.      Substantial Evidence Supports the Jury’s Apportionment of Comparative
               Fault
       After making liability findings as to each defendant, the jury was asked in the
special verdict form to assign “a percentage of responsibility” to those defendants found
liable for Plaintiffs’ injuries and “those entities or product descriptions named on the
chart below that you determine contributed to Bobbie Izell’s harm.” In addition to the
five defendants and Mr. Izell, the chart listed six other entities that were not parties to the
trial—three joint compound manufacturers (Georgia Pacific, Hamilton, and Kelly-
Moore), two asbestos suppliers (Carey Canadian and Johns-Manville), and an unnamed
asbestos-cement pipe manufacturer. The verdict form instructed the jury that the “total of
your apportionment must equal 100%.” (Boldface omitted.)
       The jury apportioned 65 percent fault to Union Carbide, 20 percent to Kaiser-
Gypsum, 10 percent to the three other defendants, and one percent fault to each of the
five non-defendant joint compound manufacturers and asbestos suppliers. The jury
apportioned no fault to the unnamed asbestos-cement pipe manufacturer or Mr. Izell.
Union Carbide contends the jury’s allocations are not supported by substantial evidence.
We disagree.
       “On review for substantial evidence, we ‘consider the evidence in the light most
favorable to the prevailing party, giving that party the benefit of every reasonable
inference and resolving conflicts in support of the judgment. [Citation.]’ [Citation.]
Under this standard, ‘ “the appellate court may not substitute its judgment for that of the
jury or set aside the jury’s finding if there is any evidence which under any reasonable
view supports the jury’s apportionment. [Citation.]” ’ ” (Pfeifer v. John Crane, Inc.
(2013) 220 Cal.App.4th 1270, 1286 (Pfeifer).)
       As discussed above, the evidence established Union Carbide asbestos was a legal
cause of Plaintiffs’ injuries. Thus, under established law, Union Carbide “ ‘undisputedly
had the burden to establish concurrent or alternate causes by proving: that [Mr. Izell] was
exposed to defective asbestos-containing products of other companies; that the defective
designs of the other companies’ products were legal causes of the plaintiffs’ injuries; and


                                              17
the percentage of legal cause attributable to the other companies.’ ” (Stewart v. Union
Carbide Corp. (2010) 190 Cal.App.4th 23, 33 (Stewart).) In the absence of such proof,
or if the jury’s finding is supported by any reasonable view of the evidence, the
comparative fault allocation cannot be disturbed. (See Pfeifer, supra, 220 Cal.App.4th at
p. 1286 [absent evidence “quantifying [plaintiff’s] exposure to asbestos from the other
sources . . . the jury reasonably allocated a 70 percent share of comparative fault to
[appellant]”].)
              a.      The asbestos-cement pipe manufacturer
       Union Carbide argues the jury’s allocation of zero percent fault to the asbestos-
cement pipe manufacturer cannot be squared with the evidence or Plaintiffs’ theory of
causation in this case. Union Carbide relies on Mr. Izell’s testimony that he “chiseled”
cement pipe and “busted it up” while working on construction projects “during the ‘60s
and ‘70s,” coupled with testimony by Plaintiffs’ materials expert, Dr. William Longo,
that chiseling cement pipe would result in exposure to “elevated levels of crocidolite
asbestos fibers.” Union Carbide contends “this evidence strongly suggests that exposure
to asbestos-cement pipe played a major role in causing Mr. Izell’s disease,” and, in view
of Plaintiffs’ purported theory that “any exposure, however small, contributes to the
overall dose,” required the jury to allocate some portion of fault to the cement pipe
manufacturer.
       As we explained in connection with our discussion of causation, Plaintiffs’
medical expert did not testify, as Union Carbide suggests, that “any exposure” constitutes
a substantial factor toward increasing the risk of contracting mesothelioma. Rather,
Dr. Mark testified the asbestos fibers had to be “respirable and put into the air” and
Mr. Izell needed to have “breathed [them] in” for the exposure to constitute a “substantial
contributing factor.” Though Dr. Longo’s testimony concerning “elevated levels” might
have supported an inference that chiseling cement pipe put respirable asbestos fibers into
the air, this evidence did not require the jury to find that Mr. Izell inhaled asbestos fibers
when performing this work.



                                              18
       For its part, Union Carbide did not question Mr. Izell about his cement pipe
exposure. It elicited no testimony concerning the conditions under which he worked with
the cement pipe—such as whether he wore a mask or took other protective measure—nor
did it confirm, in contrast to the evidence concerning Mr. Izell’s exposure to joint
compound, that he inhaled dust from the cement pipe. Absent such evidence, the jury
was free to find that Mr. Izell’s admitted exposure to asbestos-cement pipe was not a
legal cause of his injuries. 7 (See Stewart, supra, 190 Cal.App.4th at p. 33 [despite
plaintiff’s admission that he was exposed to asbestos from many sources, jury reasonably
allocated 85 percent share of comparative fault to Union Carbide where it submitted no
evidence detailing plaintiff’s exposure from other sources]; Sparks v. Owens–Illinois, Inc.
(1995) 32 Cal.App.4th 461, 477-479 [jury reasonably found that defendant’s asbestos-
based product was sole cause-in-fact of plaintiff’s mesothelioma when defendant
submitted no evidence specifying extent of plaintiff’s exposure to asbestos from other
manufacturers’ products].)
              b.     The asbestos suppliers
       Union Carbide contends the jury’s allocation of 65 percent fault to it, but only one
percent fault to Johns-Manville and Carey Canadian, was “disproportionate and
unsupported,” given evidence that Johns-Manville was the “biggest” and Carey Canadian
was “a large” asbestos supplier. Additionally, Union Carbide emphasizes that Mr. Izell


7
       Union Carbide also challenges the trial court’s exclusion of an interrogatory
response in which Mr. Izell stated he had been “exposed to CertainTeed’s asbestos
cement pipe throughout the 1960’s and 1970’s” and “personally used and was exposed,
as well as personally supervised in his general contractor supervisory role, to
CertainTeed’s asbestos cement pipe when it was chiseled, sawed and otherwise
destroyed.” The trial court excluded the response because it concerned a defendant—
CertainTeed—that had been granted summary judgment, and the parties had stipulated,
consistent with Code of Civil Procedure section 437c, subdivisions (n)(1) and (3), that
CertainTeed would not be mentioned at trial. We find no abuse of discretion. Moreover,
insofar as the interrogatory response did nothing to fill the evidentiary void concerning
whether Mr. Izell actually inhaled respirable asbestos while working with cement pipe,
Union Carbide was not prejudiced by the ruling.


                                              19
claimed he was exposed to asbestos in joint compound throughout the 1960’s and 1970’s,
while it did not begin selling asbestos for use in joint compound until 1967. Thus, Union
Carbide argues, even if Mr. Izell was exposed to some of its asbestos, “the overwhelming
evidence is that he was exposed to far more asbestos supplied by Johns-Manville and
Carey [Canadian].”
       In view of the date Union Carbide entered into the joint compound market, it is
reasonably likely that Mr. Izell was exposed to asbestos from other suppliers. But this
fact alone does not require, or even necessarily support, an inference that Mr. Izell was
exposed to asbestos from Johns-Manville or Carey Canadian or some other asbestos
supplier. Once Plaintiffs established Union Carbide asbestos was a legal cause of Mr.
Izell’s injury, Union Carbide had the burden to establish concurrent or alternate causes by
proving that Mr. Izell was exposed to another supplier’s asbestos, that the exposure was a
legal cause of his injuries, and the “ ‘percentage of legal cause attributable to the other
[supplier].’ ” (Stewart, supra, 190 Cal.App.4th at p. 33.) As Union Carbide has argued,
this required proof, beyond speculation, that Mr. Izell inhaled dust containing Johns-
Manville or Carey Canadian asbestos before significant fault could be allocated to either
of these companies. (Ibid.; McGonnell, supra, 98 Cal.App.4th at p. 1105; Dumin, supra,
28 Cal.App.4th at p. 656.)
       In contrast to the evidence demonstrating that Union Carbide was Hamilton’s
exclusive asbestos supplier when Mr. Izell inhaled dust from Red Dot joint compound,
there was no evidence of an exclusive relationship between Johns-Manville or Carey
Canadian and any joint compound manufacturer. As Union Carbide argues in its opening
brief, without proof that either entity was “the sole asbestos supplier to any of the
manufacturers,” establishing exposure beyond speculation required it “to prove not only
that Mr. Izell came into contact with specific asbestos-containing products, but also that
the asbestos in those products was supplied by [Johns-Manville or Carey Canadian],
rather than another asbestos supplier.” In allocating only nominal fault to these entities,
the jury apparently determined Union Carbide did not carry its burden. This was not an
unreasonable finding based on this record. (Stewart, supra, 190 Cal.App.4th at p. 33.)


                                              20
              c.     The joint compound manufacturers
       Union Carbide contends there is “no evidence” supporting the jury’s allocation of
three percent total fault to the non-defendant joint compound manufacturers (Georgia
Pacific, Hamilton, and Kelly-Moore), versus 20 percent fault to Kaiser Gypsum. In view
of Mr. Izell’s testimony that he recalled seeing Georgia Pacific and Hamilton joint
compound on his jobsites more frequently than Kaiser Gypsum, Union Carbide argues
the jury was compelled to allocate a greater proportion of comparative fault to these
entities—because, if Kaiser Gypsum joint compound was defective, then “so too were the
asbestos-containing joint compounds sold by the other manufacturers.”
       The court in Pfeifer rejected a similar argument, reasoning the jury was permitted
to consider the egregiousness of a defendant’s conduct in apportioning the defendant a
greater share of comparative fault for the plaintiff’s injuries. In that case, the defendant
asbestos supplier, JCI, challenged the jury’s finding allocating it 70 percent of the fault
for the plaintiff’s cancer, versus only 12.5 percent for the Navy. (Pfeifer, supra,
220 Cal.App.4th at pp. 1286, 1289.) JCI argued the evidence compelled a larger
allocation of fault for the Navy, because the duration of plaintiff’s Naval service
accounted for nearly half his exposure to asbestos-containing products. (Id. at p. 1289.)
The Pfeifer court rejected JCI’s argument, holding “the jury was permitted to increase
JCI’s share of liability because it determined that JCI’s misconduct was more egregious
than the Navy’s misconduct.” (Ibid.) The court explained, “the evidence supported the
inference that JCI was consciously indifferent to the dangers that its products posed to
consumers [citation], while the Navy was merely negligent regarding those dangers
during [the plaintiff’s] period of service [citation]. The evidence was thus sufficient to
support the jury’s allocation of comparative fault, in view of the differences in the length
and gravity of JCI’s and the Navy’s misconduct.” (Id. at pp. 1289-1290.)
       So too here, the evidence supported an inference that Kaiser Gypsum’s conduct
was more egregious than that of the other joint compound manufacturers, and the jury
found Kaiser Gypsum acted with “malice, oppression or fraud.” (Boldface omitted.) In
1965, an internal Kaiser Gypsum memorandum detailed studies linking asbestos


                                             21
inhalation to lung cancer and mesothelioma, and advised Kaiser Gypsum employees to
“use a respirator with a filter especially designed for asbestos dust.” Notwithstanding
these internal measures, the evidence also showed that as late as 1970, Kaiser Gypsum’s
sales staff was advised to tell customers that “there was no asbestos in Kaiser Gypsum’s
products.” And, the evidence showed the sales staff carried this message to customers
because, as one Kaiser Gypsum sales person put it, “[i]f you had asbestos in your
product[,] it would be negative towards sales.” The evidence was sufficient to support
the jury’s allocation of greater fault to Kaiser Gypsum, given the gravity of its
misconduct. (Pfeifer, supra, 220 Cal.App.4th at p.1290; see also Daly v. General Motors
Corp. (1978) 20 Cal.3d 725, 742 [observing principles of comparative fault “elevate
justice and equity above the exact contours of a mathematical equation”].)
       3.     Substantial Evidence Supports the Amount of Compensatory Damages after
              Remittitur
       We next consider Union Carbide’s contention that the compensatory damages
award, in the remitted amount of $6 million for Mr. and Mrs. Izell’s past and future
noneconomic damages and loss of consortium is excessive and unsupported by the
evidence. We begin with the well-settled principles that prescribe our circumscribed
scope of review.
       “The amount of damages is a fact question, first committed to the discretion of the
jury and next to the discretion of the trial judge on a motion for new trial. They see and
hear the witnesses and frequently, as in this case, see the injury and the impairment that
has resulted therefrom. As a result, all presumptions are in favor of the decision of the
trial court [citation]. The power of the appellate court differs materially from that of the
trial court in passing on this question. An appellate court can interfere on the ground that
the judgment is excessive only on the ground that the verdict is so large that, at first
blush, it shocks the conscience and suggests passion, prejudice or corruption on the part
of the jury.” (Seffert v. Los Angeles Transit Lines (1961) 56 Cal.2d 498, 506-507
(Seffert).)



                                              22
       “ ‘[W]here the trial court has required a remission as a condition to denying a new
trial “a verdict is reviewed on appeal as if it had been returned in the first instance by the
jury in the reduced amount.” [Citations.]’ ” (West v. Johnson & Johnson Products, Inc.
(1985) 174 Cal.App.3d 831, 877 (West).) “If the award appears excessive as a matter of
law, . . . the reviewing court has a duty to act in order to correct the injustice.” (Major v.
Western Home Ins. Co. (2009) 169 Cal.App.4th 1197, 1213.) “The reviewing court does
not act de novo, however. As we have observed, the trial court’s determination of
whether damages were excessive ‘is entitled to great weight’ because it is bound by the
‘more demanding test of weighing conflicting evidence than our standard of review under
the substantial evidence rule . . . .’ [Citation.] All presumptions favor the trial court’s
determination [citation], and we review the record in the light most favorable to the
judgment [citation].” (Fortman v. Hemco, Inc. (1989) 211 Cal.App.3d 241, 259.)
       In the instant case, the trial court’s statement of decision thoughtfully sets forth the
competing evidence, the court’s observations of the witnesses’ demeanor, and the court’s
factual findings supporting its reduction of compensatory damages to $6 million.
Accordingly, we quote the trial court’s decision in its entirety:
              “Bobbie Izell, age 86 at the time of trial, was diagnosed with
       mesothelioma in July of 2011, approximately 11 months before the trial.
       He and his wife Helen had been married for 65 years, and were living
       comfortably in retirement near family. Bobbie Izell, who had a successful
       career in building and selling homes, was diagnosed with mesothelioma, a
       fatal lung disease, during a doctor visit for an unrelated ailment. He had
       liters of fluid drained from his lungs.
              “Mr. Izell was not terribly expressive about the effect of his
       diagnosis and disease at the time of trial. Much of the evidence concerning
       the effect of the disease came from Mrs. Izell. From their combined
       testimony, there was evidence that Mr. Izell became very depressed after
       the diagnosis, and went through a ‘real bad spell.’ Mrs. Izell had to work
       all the time to lift his spirits. She described how Mr. Izell would try to hide


                                              23
his feelings from the outside world; however, she knew him well enough to
see the pain he was feeling inside. Mrs. Izell testified that Mr. Izell had
experienced grief, anxiety, and emotional problems since his diagnosis.
       “Physically, Mr. Izell became increasingly reliant on a walker. At
the time of trial, Mr. Izell walked with a cane with much difficulty. At
times Mr. Izell would fall if he did not have something for support, and one
time fell onto a barbed wire fence. His energy level was low. He would go
back to bed after breakfast, wake up in time for lunch, and go back to bed.
He had difficulty speaking at times, with his voice ‘giving way.’ Mr. and
Mrs. Izell could not do the things they used to do before the diagnosis.
       “There was testimony regarding the expected course of the disease
from Dr. Eugene Mark, a medical doctor and professor of pathology at
Harvard Medical School. He described how the disease will inevitably
spread into the chest and cover the lung. It will grow into the lung and
chest wall. The severe pain will require pain medication. [Mr. Izell] will
lose his appetite and weight, experience depression, and pass away. He
could expect to live another 2 to 3 years. Mrs. Izell, of course, would
experience his demise right along with him.
       “Defendants rightly point out countervailing evidence concerning
damages. Mr. Izell’s hospital visit was due to a fall on a nail, not from any
symptoms related to the disease. Mr. Izell had other infirmities as well as
his lung disease. He had arthritis in his joints, and had had falls before his
diagnosis, and had used a walker in the past. He had kidney problems,
gout, and hypertension. He was able to participate in activities that did not
require a great deal of physical efforts, such as gardening and watching
television. These were all factors for the jury to consider in determining
damages for both Mr. and Mrs. Izell.




                                      24
              “Based on this evidence, the award of damages for past
       noneconomic losses of $5,000,000 and future noneconomic losses of
       $10,000,000 each was clearly excessive. This does not mean, however, that
       the evidence did not support a significant award. For a man of Mr. Izell’s
       age, his normal life expectancy would have been an additional 5 years. At
       the time of trial his life expectancy was 2 to 3 years. The jury was charged
       with the responsibility of determining the effects on Mr. and Mrs. Izell of
       living with what is, in essence, a death sentence, with an inevitable painful
       demise. The jury had the opportunity to hear and evaluate the testimony,
       and to determine the consequences of the disease. Based on the evidence,
       and reasonable inferences that could be drawn therefrom, the Court finds
       that an award of past noneconomic damages in the sum of $1,000,000 and
       future noneconomic damages of $2,000,000, as to each plaintiff, is fair and
       reasonable.”
       In its briefs, Union Carbide largely ignores our presumption of correctness by
downplaying the evidence that supports the trial court’s findings, while highlighting the
“countervailing” evidence the court thoughtfully considered in significantly reducing the
jury’s award. For instance, Union Carbide acknowledges “Plaintiffs are right that . . . Mr.
Izell had fluid drained from his lungs,” but emphasizes “he had no chemotherapy or
surgery.” It continues, “Plaintiffs are also right that Mr. Izell testified that his voice was
sometimes weaker and he used his walker more after his diagnosis,” but stresses “it is
also undisputed that Mr. Izell was 85 when diagnosed and suffering from a number of
unrelated infirmities, . . . which had already caused him to use a walker.” With respect to
Mrs. Izell’s loss of consortium damages, Union Carbide contends “[t]here was no
evidence in her scant 10-pages worth of testimony to suggest that Mrs. Izell had suffered
physical or emotional injuries as a result of her husband’s diagnosis,” noting “[s]he
testified that her husband still helped around the house and showed affection for her after
his diagnosis.”



                                              25
       The trial court’s statement of decision adequately resolves the conflicting evidence
Union Carbide seeks to relitigate on appeal, and the court’s thorough discussion of the
evidence and witnesses’ demeanor fully dispels any suggestion that Mr. and Mrs. Izell
have not suffered significant physical and emotional anguish since learning of Mr. Izell’s
cancer. Though we recognize the remitted amount remains on the high-end of
noneconomic damage awards discussed in reported mesothelioma decisions—particularly
for plaintiffs of the Izells’ advanced age—this alone is not sufficient to second guess the
trial judge, who presided over the four-week trial and personally observed “the injury and
the impairment that has resulted.”8 (Seffert, supra, 56 Cal.2d at pp. 506-507; Daggett v.
Atchison, T. & S. F. Ry. Co. (1957) 48 Cal.2d 655, 666 [“While a reviewing court, in
passing upon the question [of excessive damages], may consider amounts awarded in
similar cases [citations], in the final analysis the question in each case must be
determined from its own peculiar facts and circumstances [citation] and it cannot be held
as a matter of law that a verdict is excessive simply because the amount may be larger
than is ordinarily allowed in such cases.”].)




8
       We also reject Union Carbide’s assertion that the jury’s “passion or prejudice”
with respect to compensatory damages, necessarily infected its liability and comparative
fault determinations. Even if an excessive damage award is the product of passion and
prejudice, it does not necessarily follow that the verdict as to liability was similarly
influenced. (West, supra, 174 Cal.App.3d at pp. 876-877; Sharp v. Automobile Club of
So. Cal. (1964) 225 Cal.App.2d 648, 652-653.) As we have discussed, substantial
evidence supports the liability and comparative fault findings. Further, given our
conclusion that the evidence supports the trial court’s remitted compensatory damage
award, we need not consider Union Carbide’s contentions concerning the improper
closing argument by Plaintiffs’ counsel. In view of the court’s thorough discussion of the
evidence, we are confident the trial judge was not swayed by counsel’s entreaties to
“make a difference.”


                                                26
       4.     The Punitive Damage Award Is Not Unconstitutionally Excessive
       Lastly, Union Carbide contends the $18 million punitive damage award is
unconstitutionally excessive when compared to its 65 percent share of the reduced
$6 million compensatory damage award. Reviewing this contention under the following
well-established principles, we cannot conclude the award was unconstitutionally
arbitrary in relation to the reprehensibility of Union Carbide’s conduct and the magnitude
of harm suffered by Plaintiffs.
       Punitive damages may be imposed to further a state’s legitimate interests in
punishing unlawful conduct and deterring its repetition. (BMW of North America, Inc. v.
Gore (1996) 517 U.S. 559, 568 (Gore).) The amount of punitive damages offends due
process under the Fourteenth Amendment as arbitrary only if the award is “ ‘grossly
excessive’ ” in relation to the state’s legitimate interests in punishment and deterrence.
(Id. at p. 568; see also State Farm Mut. Ins. v. Campbell (2003) 538 U.S. 408, 416-417
(State Farm).)
       A court determining whether a punitive damages award is excessive under the due
process clause must consider three guideposts: “(1) the degree of reprehensibility of the
defendant’s misconduct; (2) the disparity between the actual or potential harm suffered
by the plaintiff and the punitive damages award; and (3) the difference between the
punitive damages awarded by the jury and the civil penalties authorized or imposed in
comparable cases. [Citation.]” (State Farm, supra, 538 U.S. at p. 418.) The defendant’s
financial condition also is a permissible consideration under the due process clause in
determining the amount of punitive damages necessary to further the state’s legitimate
interests in punishment and deterrence. (Simon v. San Paolo U.S. Holding Co., Inc.
(2005) 35 Cal.4th 1159, 1185-1186 (Simon).)




                                             27
       On appeal, we defer to findings of fact if they are supported by substantial
evidence, and we independently assess each of the three guideposts to determine de novo
whether the punitive damages award is excessive under the due process clause. (State
Farm, supra, 538 U.S. at p. 418; Cooper Ind., v. Leatherman Tool Grp. (2001) 532 U.S.
424, 436; Simon, supra, 35 Cal.4th at p. 1172 & fn. 2.) The reviewing court’s
“constitutional mission is only to find a level higher than which an award may not go; it
is not to find the ‘right’ level in the court’s own view. While we must . . . assess
independently the wrongfulness of a defendant’s conduct, our determination of a
maximum award should allow some leeway for the possibility of reasonable differences
in the weighing of culpability. In enforcing federal due process limits, an appellate court
does not sit as a replacement for the jury but only as a check on arbitrary awards.”
(Simon, at p. 1188.)
              a.       The reduction in the compensatory award did not mandate retrial of
                       punitive damages
       Before examining the State Farm guideposts, we first will address Union
Carbide’s contention that, “given the dramatic reduction in compensatory damages,
California law required the trial court either to grant a new trial . . . or to reduce the
punitive damages to the level the jury selected.” In support of this argument, Union
Carbide principally relies upon Frommoethelydo v. Fire Ins. Exchange (1986) 42 Cal.3d
208 (Frommoethelydo) and Auerbach v. Great Western Bank (1999) 74 Cal.App.4th 1172
(Auerbach).
       In Frommoethelydo, the plaintiff obtained a judgment for $15,271 in general
damages, $250,000 for emotional distress, and $1.25 million for punitive damages in an
action for misconduct by an insurer in dealing with a claim for stolen property.
(Frommoethelydo, supra, 42 Cal.3d at p. 211.) Our Supreme Court held the plaintiff
could not recover emotional distress or general damages that were based on the insurer’s
privileged report of plaintiff’s claim to the Bureau of Fraudulent Claims, and reduced the
compensatory award from $265,271 to $8,771. (Id. at pp. 211, 220.) Then, citing the
rule requiring reasonable proportionality between punitive and compensatory damages


                                               28
(see Neal v. Farmers Ins. Exchange (1978) 21 Cal.3d 910, 928), the Frommoethelydo
court held “[t]he award of punitive damages may not be upheld since most of the
compensatory damages must be set aside.” (Frommoethelydo, at p. 220.)
       In Auerbach, a jury found the defendant bank liable on contract and fraud claims
and awarded the plaintiff $207,155 for each, together with $2.6 million in punitive
damages. (Auerbach, supra, 74 Cal.App.4th at p. 1184.) The Court of Appeal reversed
the judgment on the contract claim and held the recoverable compensatory damages on
the fraud claim were limited to $6,750. (Id. at pp. 1189, 1192.) The court then addressed
the punitive damages award, stating, “We cannot . . . simply reduce the damages and
modify the award on the fraud cause of action at this stage. Because the jury was misled
about the amount of compensatory damages it could award, its punitive damage award is
suspect. Although there is no fixed ratio, punitive damages must be proportional to
recoverable compensatory damages. [Citation.] Because the punitive damages are out of
proportion to the actual damages suffered by the [plaintiffs], the punitive damage claim
will have to be retried.” (Id. at p. 1190.)
       Union Carbide contends Frommoethelydo and Auerbach draw a bright line rule
requiring a new trial on punitive damages whenever a compensatory damage award is
“dramatically reduced.” We read these cases differently. Contrary to the rule advanced
by Union Carbide, the courts’ focus in Frommoethelydo and Auerbach was not simply on
the magnitude of the compensatory damage reduction, but rather on the effect the
reduction had on the proportionality between compensatory and punitive damages.
       In Frommoethelydo, after the Supreme Court set aside most of the compensatory
damages, the resulting ratio of punitive to compensatory damages was 142.5 to 1.
Similarly in Auerbach, after the Court of Appeal’s reduction, the resulting ratio of the
jury’s punitive damage award to the reduced compensatory damages was 385 to 1. The
United States Supreme Court has held “few awards exceeding a single-digit ratio between
punitive and compensatory damages . . . will satisfy due process.” (State Farm, supra,
538 U.S. at p. 425.) Likewise, our Supreme Court stated that ratios significantly greater
than 9 or 10 to 1 raise a “presumption” of invalidity. (Simon, supra, 35 Cal.4th at


                                              29
p. 1182.) Although Frommoethelydo and Auerbach did not expressly rely on
constitutional standards in reversing the punitive damage awards, it is clear that such
grossly disproportionate awards could not withstand constitutional scrutiny.9 (See Behr
v. Redmond (2011) 193 Cal.App.4th 517, 536-537 [rejecting contention that “an award of
punitive damages must be reversed and retried whenever the Court of Appeal reduces an
award of compensatory damages”].)
       Here, the ratio of the jury’s punitive damage award to Union Carbide’s share of
compensatory damages (after the trial court’s reduction) is 4.62 to 1. As this ratio is not
presumptively invalid, we must assess Union Carbide’s due process challenge under the
State Farm guideposts.
              b.     The punitive damage award withstands constitutional scrutiny under
                     the State Farm guideposts
       Union Carbide argues the punitive damage award is unconstitutionally excessive
under two of the three State Farm guideposts—the degree of reprehensibility of the
defendant’s misconduct and the relationship between the punitive damage award and the
harm suffered by the plaintiff. We conclude the award is constitutional under each
guidepost.




9
       The other cases cited by Union Carbide similarly recognize that punitive damages
must be reasonably proportionate to the harm suffered, and thus hold, if compensatory
damages are to be retried, punitive damages must be retried too. (See Liodas v. Sahadi
(1977) 19 Cal.3d 278, 284 [when a trial court has “granted a new trial on the issue of
compensatory damages” “[e]xemplary damages must be redetermined as well”]; Ramona
Manor Convalescent Hospial v. Care Enterprises. (1986) 177 Cal.App.3d 1120, 1144
[reversing judgment on “the issue of damages with directions to the trial court to set the
matter for retrial as to the issue of damages, both compensatory and punitive”]; see also
Service Employees Internat. Union, Local 250 v. Colcord (2008) 160 Cal.App.4th 362,
375 [“because the trial court based the amount of punitive damages that it assessed
against [the defendant], in part, on the aggregate amount of compensatory damages
awarded, the court, on remand, should have an opportunity to reconsider the amount of
this punitive damage award if it chooses to do so”].)


                                             30
                     (i)     Degree of reprehensibility
       The degree of reprehensibility of the defendant’s conduct is the most important
indicator of the reasonableness of a punitive damages award. (State Farm, supra, 538
U.S. at p. 419; Gore, supra, 517 U.S. at p. 575.) In assessing the reprehensibility of a
defendant’s conduct, we are to consider whether “[(1)] the harm caused was physical as
opposed to economic; [(2)] the tortious conduct evinced an indifference to or a reckless
disregard of the health or safety of others; [(3)] the target of the conduct had financial
vulnerability; [(4)] the conduct involved repeated actions or was an isolated incident; and
[(5)] the harm was the result of intentional malice, trickery, or deceit, or mere accident.
[Citation.] The existence of any one of these factors weighing in favor of a plaintiff may
not be sufficient to sustain a punitive damages award; and the absence of all of them
renders any award suspect. It should be presumed a plaintiff has been made whole for his
injuries by compensatory damages, so punitive damages should only be awarded if the
defendant’s culpability, after having paid compensatory damages, is so reprehensible as
to warrant the imposition of further sanctions to achieve punishment or deterrence.”
(State Farm, at p. 419.)
       Independently assessing these factors in view of the evidence presented at trial, we
must agree with the apparent findings of the jury and trial court that Union Carbide’s
culpability was so reprehensible as to warrant punitive damages to achieve the state’s
legitimate interest in deterring such conduct.
       The first reprehensibility factor—whether the harm caused was physical as
opposed to economic—clearly weighs in favor of high reprehensibility. Due to his
exposure to Union Carbide’s asbestos, Mr. Izell has contracted a terminal cancer from
which he will die in two to three years. (See Bullock v. Philip Morris USA, Inc. (2011)
198 Cal.App.4th 543, 561 (Bullock II) [“The harm caused by Philip Morris’s misconduct
was physical rather than economic because the evidence shows that Bullock suffered a
debilitating and terminal illness, lung cancer, as a result of Philip Morris’s fraudulent
scheme”].)



                                              31
       With respect to the second factor, the evidence also shows Union Carbide acted
with a reprehensible indifference to the health and safety of others. In 1967, Union
Carbide produced an internal report concluding that low levels of exposure to asbestos
cause mesothelioma, which can occur after only “a brief exposure, which may be as little
as three months.” Though acknowledging a “general inference that Crocidolite [asbestos]
is more liable to produce mesothelioma,” the report cautioned that “[e]xoneration of
[Union Carbide’s] Chrysotile [asbestos] has not been made” and “that on the basis of
present evidence, we are not entitled under any circumstances to state that our material is
not a health hazard.” Echoing this concern, in 1968, Union Carbide’s Associate Medical
Director reported, “[i]t is generally held that much less exposure to asbestos increases the
possibility of mesothelioma formation,” and thus advised, “I don’t see that we have any
choice in a position except to admit that asbestos is carcinogenic under certain
conditions.” Despite these admonitions, Union Carbide chose not to warn its customers
about the risk of cancer, stating in 1975, “cancer is a very emotional word and there is a
strong possibility that people will react to it far beyond the real danger involved. . . . [¶]
We cannot predict with certainty what effect the use of the proposed [cancer warning]
will have on our business, but the general feeling here is that it is likely to vary
somewhere between serious and fatal.” All this suggests Union Carbide knew the
dangers of its product, but failed to warn consumers of those dangers, while seeking to
maintain profits from the sale of asbestos. (See Stewart, supra, 190 Cal.App.4th at
pp. 34-35, 38 [reviewing same evidence and rejecting Union Carbide’s assertion that
punitive damages were unconstitutionally excessive because its conduct was on the “low
end of the reprehensibility scale”].)
       The same evidence also establishes reprehensibility with regard to the fourth and
fifth factors—whether the conduct involved repeated actions, and whether the harm was
the result of intentional malice, trickery, or deceit. Unquestionably, Union Carbide’s
continued sales of asbestos for more than decade after it internally recognized low levels




                                              32
of exposure could cause mesothelioma establishes repeated conduct.10 Further, as Union
Carbide acknowledged, had it warned of the known risk of cancer, the result may have
been “fatal” for its asbestos business, but it also likely would have prevented Mr. Izell
from being exposed to its dangerous product. All told, four of the five factors weigh in
favor of finding high reprehensibility.11

10
        Union Carbide also argues the $18 million punitive damage award is
unconstitutional insofar as it was ostensibly based on Plaintiffs’ counsel’s suggestion that
the jury award $1 million for every year that Union Carbide sold asbestos after learning
of its dangers. Union Carbide contends this argument invited the jury to impermissibly
punish Union Carbide for harm caused to others, because Mr. Izell was exposed to
asbestos for only eight of the 18 years in question. Though due process does not permit
courts or juries, in the calculation of punitive damages, to adjudicate the merits of other
parties’ hypothetical claims against a defendant under the guise of the reprehensibility
analysis, this does not mean that the defendant’s similar wrongful conduct toward others
should not be considered in determining the amount of punitive damages. (Bullock v.
Philip Morris USA, Inc. (2008) 159 Cal.App.4th 655, 690-691.) As our Supreme Court
stated in Johnson v. Ford Motor Co. (2005) 35 Cal.4th 1191, “[t]o consider the
defendant’s entire course of conduct in setting or reviewing a punitive damages award,
even in an individual plaintiff’s lawsuit, is not to punish the defendant for its conduct
toward others. An enhanced punishment for recidivism does not directly punish the
earlier offense; it is, rather, ‘ “ ‘a stiffened penalty for the last crime, which is considered
to be an aggravated offense because a repetitive one.’ ” ’ . . . By placing the defendant’s
conduct on one occasion into the context of a business practice or policy, an individual
plaintiff can demonstrate that the conduct toward him or her was more blameworthy and
warrants a stronger penalty to deter continued or repeated conduct of the same nature.”
(Id. at p. 1206, fn. 6.) Here, the jury, in fixing punitive damages based on the
reprehensibility of Union Carbide’s conduct, could properly consider the number of years
Union Carbide sold asbestos after learning of its hazards, without impermissibly
punishing the company for harm caused to others.
11
        The third reprehensibility factor, “whether . . . the target of the conduct had
financial vulnerability” (State Farm, supra, 538 U.S. at p. 419), ordinarily is relevant
only if financial vulnerability made the target more vulnerable to the defendant’s
wrongful conduct or exacerbated the harm, such as where the harm caused by the
defendant’s conduct was economic. (See Gore, supra, 517 U.S. at p. 576 [“infliction of
economic injury, especially when done intentionally through affirmative acts of
misconduct [citation] or when the target is financially vulnerable, can warrant a
substantial penalty”], cited in State Farm, at p. 419.) As economic injury is not at issue
here, this factor is not germane to our analysis.


                                              33
                     (ii)   Disparity between actual harm and punitive damages
       Due process requires that punitive damages bear a “ ‘reasonable relationship’ ” to
the actual or potential harm to the plaintiff. (Gore, supra, 517 U.S. at p. 580.) Thus,
“courts must ensure that the measure of punishment is both reasonable and proportionate
to the amount of harm to the plaintiff and to the general damages recovered.” (State
Farm, supra, 538 U.S. at p. 426.)
       The United States Supreme Court has “consistently rejected the notion that the
constitutional line is marked by a simple mathematical formula.” (Gore, supra, 517 U.S.
at p. 582; State Farm, supra, 538 U.S. at pp. 424-425.) As State Farm explains, the due
process limitation is elastic, rather than rigid, and depends on the circumstances:
“[B]ecause there are no rigid benchmarks that a punitive damages award may not surpass,
ratios greater than those we have previously upheld may comport with due process where
‘a particularly egregious act has resulted in only a small amount of economic damages.’
[Citations.] The converse is also true, however. When compensatory damages are
substantial, then a lesser ratio, perhaps only equal to compensatory damages, can reach
the outermost limit of the due process guarantee. The precise award in any case, of
course, must be based upon the facts and circumstances of the defendant’s conduct and
the harm to the plaintiff.” (State Farm, at p. 425.)
       In view of the “multimillion dollar” compensatory damage award for
noneconomic losses, Union Carbide argues “any punitive award greater than [its] share of
the compensatory award would be constitutionally excessive.” We disagree.
       To begin, though Union Carbide’s $3.9 million share of the reduced compensatory
damage award may be substantial in the abstract, “we believe that whether the
compensatory damages are ‘small’ or ‘substantial’ within the meaning of State Farm,
supra, 538 U.S. at page 425, depends, in substantial part, on the defendant’s financial
condition.” (Bullock II, supra, 198 Cal.App.4th at p. 565, fn. 11.) This is because “the
state’s legitimate interests in punishment and deterrence are not served if the amount of
punitive damages is so small relative to the defendant’s wealth as to constitute only a
nuisance or a routine cost of doing business (Simon, supra, 35 Cal.4th at p. 1185), and


                                             34
because a punitive damages award violates due process only if the award is ‘ “ ‘grossly
excessive’ in relation to these interests” ’ (ibid., quoting Gore, supra, 517 U.S. at
p. 568).” (Bullock II, at p. 565, fn. 11.) Here, Union Carbide stipulated to a present net
worth of $4.2 billion. In view of its financial condition, and the highly reprehensible
conduct discussed above, we cannot hold that punitive damages equal to less than five
times Union Carbide’s share of compensatory damages exceeded the amount necessary to
serve the state’s legitimate interest in punishment and deterrence.
         Nor are we persuaded by Union Carbide’s contention that a one-to-one ratio was
mandated because the compensatory award here consisted entirely of noneconomic
damages. To be sure, some cases have recognized that a noneconomic award may be
“high enough that it appears to include a punitive component,” thereby reducing the
permissible ratio of punitive to compensatory damages. (Bankhead v. ArvinMeritor, Inc.
(2012) 205 Cal.App.4th 68, 90 (Bankhead), italics added; see also Walker v. Farmers Ins.
Exchange (2007) 153 Cal.App.4th 965, 974 [jury’s award of substantial emotional
distress damages, in the court’s view, contained a “punitive element” so as to support
only a one-to-one ratio].) Here, however, we need not speculate from what “appears” to
be included in a jury’s verdict, because we have the trial court’s thorough recitation of the
harm suffered by Plaintiffs that it considered in setting the amount of compensatory
damages. The trial court’s thoughtful analysis is set forth above in its entirety; there is no
appearance that the court included a punitive component in the reduced compensatory
award.




                                             35
       Finally, Union Carbide attempts to establish equivalency with Roby v. McKesson
Corp. (2009) 47 Cal.4th 686, in which our Supreme Court concluded a one-to-one ratio
between compensatory and punitive damages was the federal constitutional limit where
the defendant’s conduct involved a “relatively low degree of reprehensibility” and the
compensatory verdict included a substantial award of noneconomic damages. (Id. at
p. 719, italics added.) As we discussed with respect to the reprehensibility guidepost, that
is not the case here.12 (See Stewart, supra, 190 Cal.App.4th at p. 38.)
                                      DISPOSITION
       The judgment is affirmed. Plaintiffs are entitled to their costs.


       CERTIFIED FOR PARTIAL PUBLICATION




                                                  KLEIN, P. J.
I concur:




                     ALDRICH, J.




12
        As for Union Carbide’s policy arguments, we note they have been largely rejected
by other courts (see Bankhead, supra, 205 Cal.App.4th at p. 88; Stevens v. Owens-
Corning Fiberglas Corp. (1996) 49 Cal.App.4th 1645, 1668), and we have no cause to
address them here. While considerations about the current leadership of Union Carbide
and the volume of other asbestos litigation it faces might have been relevant to the jury or
trial court in setting punitive damages, these issues are not among the guideposts that
direct our constitutional mission “to find a level higher than which an award may not go.”
(Simon, supra, 35 Cal.4th at p. 1188.)


                                             36
Kitching, J., Concurring and Dissenting.


       I concur with my colleagues on all issues except the affirmance of the $18 million
punitive damages award. On this issue, I respectfully dissent.
       After determining “the jury clearly should have reached a different verdict or
decision as to compensatory damages,” and reducing the award by 80 percent—from
$30 million to $6 million—the trial court declined to disturb the jury’s $18 million
punitive damages award, concluding a “3:1 ratio of punitive to compensatory damages is
reasonable.” In my view, the significant reduction of the jury’s compensatory damage
award requires a new trial on the amount of punitive damages.
       “Although a trial court’s approval of the punitive damage award (by denial of a
motion for new trial) is entitled to significant weight [citation], deference is not
abdication. It is the duty and responsibility of an appellate court to intervene where the
award is so grossly disproportionate or palpably excessive as to raise a presumption that
it was the product of passion and prejudice.” (Dumas v. Stocker (1989) 213 Cal.App.3d
1262, 1266; Neal v. Farmers Ins. Exchange (1978) 21 Cal.3d 910, 928 (Neal) [“[A]n
appellate court may reverse [a punitive damages] award ‘only “ ‘[w]hen the award as a
matter of law appears excessive, or where the recovery is so grossly disproportionate as
to raise a presumption that it is the result of passion or prejudice.’ ” ’ ”].) “Appellate
courts must scrutinize punitive damage verdicts because they ‘constitute a windfall,
create the anomaly of excessive compensation, and are therefore not favored in the
law.’ ” (Las Palmas Associates v. Las Palmas Center Associates (1991) 235 Cal.App.3d
1220, 1258.)
       “ ‘[E]xemplary damages must bear a reasonable relation to actual damages’
[citation] even though no fixed ratio exists to determine the proper proportion.” (Liodas
v. Sahadi (1977) 19 Cal.3d 278, 284 (Liodas).) In assessing whether a recovery is
“grossly disproportionate,” a “relevant yardstick is the amount of compensatory damages
awarded; in general, even an act of considerable reprehensibility will not be seen to
justify a proportionally high amount of punitive damages if the actual harm suffered
thereby is small.” (Neal, supra, 21 Cal.3d at p. 928.) Because the calculation of punitive
damages involves a fluid process that defies strict adherence to a rigid formula, the
proper proportion that punitive damages should bear to compensatory damages is a
question committed, in the first instance, to the jury’s determination. (Walker v. Signal
Companies, Inc. (1978) 84 Cal.App.3d 982, 998; Gagnon v. Continental Casualty Co.
(1989) 211 Cal.App.3d 1598, 1602 (Gagnon).) In view of these complimentary
principles, when a substantial reduction in compensatory damages makes the
proportionality of the jury’s punitive award “suspect,” appellate courts have held that the
cause should be remanded for a new trial on the amount of punitive damages. (Auerbach
v. Great Western Bank (1999) 74 Cal.App.4th 1172, 1190 (Auerbach); see also Liodas, at
p. 284 [holding, when a trial court has “granted a new trial on the issue of compensatory
damages” “[e]xemplary damages must be redetermined as well,” because “ ‘exemplary
damages must bear a reasonable relation to actual damages’ ”].)
       In Frommoethelydo v. Fire Ins. Exch. (1986) 42 Cal.3d 208, our Supreme Court
reversed a $1,250,000 punitive damage award and held a new trial was required after
reducing the compensatory damage award from $265,271 to $8,771. (Id. at pp. 211,
220.) The court explained that “[t]he award of punitive damages may not be upheld since
most of the compensatory damages must be set aside.” (Id. at p. 220.) Similarly, in
Auerbach, the court remanded a $2.6 million punitive damage award after compensatory
damages were reduced from $207,155 to $6,750. (Auerbach, supra, 74 Cal.App.4th at
p. 1190.) Recognizing that “punitive damages must be proportional to recoverable
compensatory damages,” the Auerbach court concluded the substantial reduction in
compensatory damages made the punitive damage award “suspect,” because it indicated
“the jury was misled about the amount of compensatory damages it could award.” (Ibid.
[“Because the punitive damages are out of proportion to the actual damages suffered by
the Auerbachs, the punitive damage claim will have to be retried.”].)




                                             2
       At the outset, I note two issues that militate against applying the customary degree
of deference to the trial court’s decision in this case. First is the fact that the court used
the incorrect compensatory damage figure in determining a “3:1 ratio of punitive to
compensatory damages is reasonable.” As both parties agree, the court should have
compared the punitive damage award to Union Carbide’s 65 percent share of the
compensatory damages ($3.9 million), which yields a ratio of 4.62 to 1. Second, in ruling
on Union Carbide’s new trial motion, the trial court was exclusively concerned with
whether its reduction of the compensatory damages required it to make a corresponding
reduction in punitive damages to preserve the jury’s original ratio. In addressing this
issue, the trial court correctly followed the rule stated in McGee v. Tucoemas Federal
Credit Union (2007) 153 Cal.App.4th 1351—that “a reduction in compensatory damages
does not mandate a corresponding reduction in punitive damages,” as “[t]here is no
requirement that the original ratio between compensatory and punitive damages as
measured by the jury remain.” (Id. at p. 1362.) However, by narrowly focusing on this
issue, the trial court failed to consider whether its decision to reduce the jury’s
compensatory damage award by $24 million made the same jury’s $18 million punitive
damage award “suspect,” and thereby subject to a new trial. (Auerbach, supra,
74 Cal.App.4th at p. 1190.)
       In my view, the trial court’s 80 percent reduction of the compensatory damages
presents two possibilities with respect to the propriety of the jury’s punitive damage
award. One is that the jury acted with passion or prejudice, both in awarding $24 million
more in compensatory damages than was supported by the evidence, and also in awarding
punitive damages almost five times greater than the remitted amount of compensatory
damages apportioned to Union Carbide. The other is that the jury followed the court’s
instruction and, in awarding punitive damages roughly equivalent to the amount of
compensatory damages apportioned to Union Carbide, chose a number bearing a
“reasonable relationship” to the harm the jury believed Plaintiffs suffered as a result of




                                               3
Union Carbide’s misconduct.1 If the first scenario is the case, Union Carbide was plainly
entitled to a new trial. However, even if the second scenario is accurate, this still makes
the punitive damage award “suspect,” because, as the trial court found here, the “jury was
misled about the amount of compensatory damages it could award.” (Auerbach, supra,
74 Cal.App.4th at p. 1190.) In either event, given the trial court’s significant reduction of
the compensatory damage award, and the jury’s crucial role in determining, without
passion or prejudice, the “proper proportion punitive damages should bear to the injury
suffered” (Gagnon, supra, 211 Cal.App.3d at p. 1602), I conclude punitive damages
should be retried.


       CERTIFIED FOR PARTIAL PUBLICATION




                                                  KITCHING, J.




1
      The jury’s original verdict apportioned 65 percent of the $30 million
compensatory damage award to Union Carbide, or $19.5 million—slightly more than the
$18 million punitive damage award.

                                              4
