The June 4, 2024 Ninth Circuit Court of Appeals decision in Sidibe v. Sutter Health marks a potential shift in how rule of reason antitrust cases are approached and adjudicated. The opinion underscores the significance of historical evidence in antitrust trials and places considerable emphasis on analyzing the purpose behind challenged conduct. 

In Sidibe, plaintiffs were a class of consumers insured by health plans that contracted with Sutter Health. The class alleged that Sutter Health, a major healthcare provider in Northern California, charged supracompetitive rates to these health plans, which were then passed on to the class in the form of higher premiums in violation of federal and California antitrust laws.

At the District Court level, the jury found for Sutter Health. On appeal, the Ninth Circuit reversed and remanded for a new trial. The reversal was largely based on two factors: exclusion of pre-2006 evidence and jury instruction errors.

The Ninth Circuit criticized the exclusion of pre-2006 evidence, arguing that the exclusion deprived the jury of essential context necessary to understand Sutter’s market power and strategic intentions. The Court emphasized the importance of the historical evidence, pointing to a 1998 memo by Sutter’s CFO estimating a potential gain of $198 million per year from systemwide contracting. The majority wrote that, “Excluding such evidence stripped the jury of the full narrative required to assess Sutter’s market conduct comprehensively.”

Judge Bumatay’s dissent, however, defended the District Court’s discretion in managing the trial proceeding and evidentiary limits, arguing that the exclusion of pre-2006 evidence was a practical measure to avoid overwhelming the jury with historical context not directly relevant to the damages period. He likened the process to understanding a long-running soap opera, where too much historical detail can confuse, rather than clarify, the present issues.

The majority also faulted the District Court for failing to instruct the jury to consider Sutter’s purpose. In the original trial, the District Court accepted Sutter’s proposed instructions, which omitted the word “purpose” and focused solely on the “effect” of Sutter’s conduct. The Ninth Circuit majority, however, noted that California’s model jury instructions and the California Supreme Court interpretations consistently incorporate both purpose and effect in the rule-of-reason analysis, constituting a prejudicial error that necessitated a new trial. The Court wrote, “Failing to instruct the jury to consider purpose misstates the law,” thus establishing a precedent that purpose is a critical element in the rule-of-reason analysis.

Judge Bumatay’s dissent criticized the majority for creating what he perceived as a new, unfounded legal requirement: mandatory consideration of anti-competitive purpose in all rule-of-reason cases. He contended that this approach contradicts established precedent, nothing that neither the California Supreme Court nor federal law mandates purpose as an essential element. Instead, purpose is merely one of several factors that may be considered, depending on the case specifics. As the dissent explained, “The California Supreme Court has only ever described anti-competitive purpose as one of several factors a jury may consider when assessing such a claim.”

The Ninth Circuit’s ruling in Sidibe has potentially far-reaching implications. Traditionally, a rule-of-reason analysis balances the anti-competitive effects of conduct against its pro-competitive justifications. The Ninth Circuit’s emphasis on intent suggests that the motivations behind business practices should play a crucial role in determining their legality.

This raises important questions about the appropriate circumstances for analyzing purpose in antitrust cases. Should intent be considered in all antitrust cases, even under the rule of reason? The majority opinion suggests so, but this stance could lead to more complex and extended trials as courts delve deeper into the historical context of corporate conduct. This complexity must be balanced against the risk of overwhelming juries and the practical limitations of trial management, as highlighted by the dissent. Legal professionals must navigate these complexities to effectively advocate for their clients and uphold competitive practices.

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Photo of David Munkittrick David Munkittrick

David Munkittrick is a litigator and trial attorney. His practice focuses on complex and large-scale antitrust, copyright and entertainment matters in all forms of dispute resolution and litigation, from complaint through appeal.

David has been involved in some of the most significant antitrust…

David Munkittrick is a litigator and trial attorney. His practice focuses on complex and large-scale antitrust, copyright and entertainment matters in all forms of dispute resolution and litigation, from complaint through appeal.

David has been involved in some of the most significant antitrust matters over the past few years, obtaining favorable results for Fortune 500 companies and other clients in bench and jury trials involving price discrimination and group boycott claims. His practice includes the full range of antitrust matters and disputes: from class actions to competitor suits and merger review. David advises antitrust clients in a range of industries, including entertainment, automotive, pharmaceutical, healthcare, agriculture, hospitality, financial services, and sports.

David also advises music, publishing, medical device, sports, and technology clients in navigating complex copyright issues and compliance. He has represented some of the most recognized names in entertainment, including Sony Music Entertainment, Lady Gaga, U2, Madonna, Daft Punk, RCA Records, BMG Music Publishing, Live Nation, the National Academy of Recording Arts and Sciences, Universal Music Group and Warner/Chappell.

David maintains an active pro bono practice, supporting clients in the arts and in immigration proceedings. He has been repeatedly recognized as Empire State Counsel by the New York State Bar Association for his pro bono service, and is a recipient of Proskauer’s Golden Gavel Award for excellence in pro bono work.

When not practicing law, David spends time practicing piano. He recently made his Carnegie Hall debut at Weill Recital Hall with a piano trio and accompanying a Schubert lieder.

David frequently speaks on antitrust and copyright issues, and has authored or co-authored numerous articles and treatise chapters, including:

  • Causation and Remoteness, the U.S. Perspective, in GCR Private Litigation Guide.
  • Data Breach Litigation Involving Consumer Class Actions, in Proskauer on Privacy: A Guide to Privacy and Data Security Law in the Information Age.
  • Location Privacy: Technology and the Law, in Proskauer on Privacy: A Guide to Privacy and Data Security Law in the Information Age.
  • FTC Enforcement of Privacy, in Proskauer on Privacy: A Guide to Privacy and Data Security Law in the Information Age.
  • The Role of Experts in Music Copyright Cases, Intellectual Property Magazine.
  • Nonprofit Education: A Historical Basis for Tax Exemption in the Arts, 21 NYSBA Ent., Arts, & Sports L.J. 67
  • A Founding Father of Modern Music Education: The Thought and Philosophy of Karl W. Gehrkens, Journal of Historical Research in Music Education
  • Jackson Family Wines, Inc. v. Diageo North America, Inc. Represented Diageo in trademark infringement litigation
Evelyn Blanco

Evelyn T. Blanco is an associate with the Litigation Department, holding the distinguished Silver Scholar award from Proskauer. During her Summer Associate secondment, Evelyn interned with NBC Universal, gaining firsthand experience in the dynamic Entertainment Industry.

Evelyn earned her J.D., graduating cum laude

Evelyn T. Blanco is an associate with the Litigation Department, holding the distinguished Silver Scholar award from Proskauer. During her Summer Associate secondment, Evelyn interned with NBC Universal, gaining firsthand experience in the dynamic Entertainment Industry.

Evelyn earned her J.D., graduating cum laude from Duke University School of Law. Her academic journey included a full-time externship with the District of Columbia Office of the Attorney General’s Antitrust and Nonprofit Enforcement Section, providing her with valuable insights into the inner workings of the legal system. Evelyn’s commitment to pursuing justice further led her to serve as a student attorney in both the Duke Wrongful Convictions Clinic and the Duke Children’s Law Clinic. Additionally, she generously devoted her time to several Pro Bono projects for the Duke Immigrant and Refugee Project.

Before embarking on her legal career, Evelyn spent several years as a paralegal, specializing in Employment and Tort matters. This rich and diverse background underscores her expertise as a professional in the field of litigation.